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Volatility and the welfare costs of financial market integration. (1998). Aizenman, Joshua ; Agénor, Pierre-Richard.
In: Policy Research Working Paper Series.
RePEc:wbk:wbrwps:1974.

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Cited: 9

Citations received by this document

Cites: 19

References cited by this document

Cocites: 31

Documents which have cited the same bibliography

Coauthors: 0

Authors who have wrote about the same topic

Citations

Citations received by this document

  1. Norms, Legitimacy, and Global Financial Governance. (2006). Geoffrey R D Underhill, ; Zhang, Xiaoke.
    In: WEF Working Papers.
    RePEc:wef:wpaper:0013.

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  2. Growth, Uncertainty and Finance. (2005). Varvarigos, Dimitrios ; Blackburn, Keith .
    In: Money Macro and Finance (MMF) Research Group Conference 2005.
    RePEc:mmf:mmfc05:12.

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  3. Growth, Uncertainty and Finance. (2005). Varvarigos, Dimitrios ; Blackburn, Keith .
    In: The School of Economics Discussion Paper Series.
    RePEc:man:sespap:0525.

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  4. Growth, Uncertainty and Finance.. (2005). Varvarigos, D ; Blackburn, K.
    In: Centre for Growth and Business Cycle Research Discussion Paper Series.
    RePEc:man:cgbcrp:48.

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  5. PENSION REFORM AND CAPITAL MARKETS: ARE THERE ANY (HARD) LINKS?. (2002). Walker, Eduardo ; Lefort, Fernando.
    In: Abante.
    RePEc:pch:abante:v:5:y:2002:i:2:p:77-149.

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  6. Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors?. (1999). Turnovsky, Stephen J ; Aizenman, Joshua.
    In: Working Papers.
    RePEc:udb:wpaper:0044.

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  7. Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors?. (1999). Turnovsky, Stephen J ; Aizenman, Joshua.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:7004.

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  8. Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors?. (1999). Turnovsky, Stephen J ; Aizenman, Joshua.
    In: Discussion Papers in Economics at the University of Washington.
    RePEc:fth:washer:0044.

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  9. Financial Crisis and Credit Crunch as a Result of Inefficient Financial Intermediation—with Reference to the Asian Financial Crisis. (1998). Chan-Lau, Jorge ; Chen, Zhaohui.
    In: International Finance.
    RePEc:wpa:wuwpif:9804001.

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References

References cited by this document

  1. Agenor, Pierre-Richard, and Joshua Aizenman, Contagion and Volatility with Imperfect Credit Markets, IMF Staff Papers, 45 (June 1998), 207-35.

  2. Aizenman, Joshua, Capital Mobility in a Second-Best World: Moral Hazard with Costly Financial Intermediation, Working Paper No. 6703, National Bureau of Economic Research (August 1998).

  3. Bernanke, Ben S., and Mark Gertler, Agency Costs, Net Worth and Business Fluctuations, American Economic Review, 79 (March 1989), 14-31.

  4. Boyd, John H., and Bruce D. Smith, How Good are Standard Debt Contracts?, Stochastic versus Nonstochastic Monitoring in a Costly State Verification Environment, Journal of Business, 67 (October 1994), 539-61.

  5. Bulow, Jeremy I., and Kenneth Rogoff, A Constant Recontracting Model of Sovereign Debt, Journal of Political Economy, 97 (February 1989), 155-78.

  6. Claessens, Stijn, and Tom Glaessner, Internationalization of Financial Services in East Asia, unpublished, the World Bank (September 1997).
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  7. Claessens, Stijn, Ash Demirgiic-Kunt, and Harry Huizinga, How Does Foreign Entry Affect the Domestic Banking Market?, unpublished, the World Bank (February 1998).

  8. Demirgtic-Kunt, Ash, and Harry Huizinga, Determinants of Commercial Bank Interest Margins and Profitability: Some International Evidence, Policy Research Working Paper No. 1913, the World Bank (March 1998).

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  10. Eichengreen, Barry, and Ashoka Mody, What Explains Changing Spreads on Emerging-Market Debt: Fundamentals or Market Sentiment?, Working Paper No. 6408, National Bureau of Economic Research (February 1998).

  11. Hausmaun, Ricardo, and Michael Gavin, Overcoming Volatility, in Economic and Social Progress in Latin America, Special Report, Inter-American Development Bank (Washington DC: 1995).
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  12. Hellpman, Elhanan, The Simpile Analytics of Debt-Equity Swaps~ American Economic Review, 79 (June 1989), 440-51.
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  13. Levine, Ross, Foreign Banks, Financial Development, and Economic Growth, in international Financial Markets, ed. by Claude E. Barfield, American Enterprise Institute Press (Washington DC: 1996).
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  14. Milgrom, Paul, and D. J. Roberts, Limit Pricing and Entry under Incomplete Information: An Equilibrium Analysis, Econometrica, 50 (- 1982), 443-59.

  15. Obstfeld, Maurice, Risk-Taking, Global Diversification, and Growth, American Economic Review, 85 (December 1994), 1310-29.

  16. Sussman, Oren, A Theory of Financial Development, in Finance and Development: Issues and Experience, ed. by Alberto Giovannini, Cambridge University Press (Cambridge: 1993).
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  17. The Global Capital Market: benefactor or Hindrance?, Working Paper No. 6559, National Bureau of Economic Research (May 1998). Forthcoming, Journal of Economic Perspectives.
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  18. Townsend, Robert M., Optimal Contracts and Competitive Markets with Costly State Verification, Journal of Economic Theory, 21 (October 1979), 265-93.

  19. Williamson, Stephen D., Costly Monitoring, Financial Intermediation, and Equilibrium Credit Rationing, Journal of Monetary Economics, 18 (September 1986), 159-79.

Cocites

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  1. International propagation of shocks: an evaluation of contagion effects for some Latin American countries. (2011). Ramirez, Manuel ; Martínez, Constanza ; Martinez, Constanza.
    In: Macroeconomics and Finance in Emerging Market Economies.
    RePEc:taf:macfem:v:4:y:2011:i:2:p:213-233.

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  2. An alternative method to measure the likelihood of a financial crisis in an emerging market. (2007). Metin Özcan, Kivilcim ; Metin-ozcan, Kıvılcım, ; Ozlale, Umit .
    In: Physica A: Statistical Mechanics and its Applications.
    RePEc:eee:phsmap:v:381:y:2007:i:c:p:329-337.

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  3. Are International Interest Rate Differentials Driven by the Risk Premium? The Case of Asian Countries. (2007). Bouvatier, Vincent.
    In: Economics Bulletin.
    RePEc:ebl:ecbull:v:5:y:2007:i:6:p:1-14.

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  4. Are International Interest Rate Differentials Driven by the Risk Premium? The Case of Asian Countries. (2007). Bouvatier, Vincent.
    In: Economics Bulletin.
    RePEc:ebl:ecbull:eb-07e40001.

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  5. Growth, Uncertainty and Finance. (2005). Varvarigos, Dimitrios ; Blackburn, Keith .
    In: Money Macro and Finance (MMF) Research Group Conference 2005.
    RePEc:mmf:mmfc05:12.

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  6. Currency crises and the real economy: The role of banks. (2004). Disyatat, Piti.
    In: European Economic Review.
    RePEc:eee:eecrev:v:48:y:2004:i:1:p:75-90.

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  7. Measuring the Probability of Crises in the Turkish Economy. (2003). Metin Özcan, Kivilcim ; Gunay, Asli ; Ozlale, Umit ; Metin-Ozcan, Kivilcim .
    In: Middle East and North Africa.
    RePEc:ekd:003304:330400032.

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  8. Crisis bancarias y contagio: evidencia empírica. (2003). Santor, Eric.
    In: Monetaria.
    RePEc:cml:moneta:v:xxvi:y:2003:i:3:p:293-344.

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  9. Banking Crises and Contagion: Empirical Evidence. (2003). Santor, Eric.
    In: Staff Working Papers.
    RePEc:bca:bocawp:03-1.

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  10. Business Cycles, Economic Crises, and the Poor. (2002). Agénor, Pierre-Richard ; PIERRE-RICHARD AGÉNOR, .
    In: Journal of Economic Policy Reform.
    RePEc:taf:jpolrf:v:5:y:2002:i:3:p:145-160.

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  11. High Frequency Contagion of Currency Crises in Asia. (2002). Ito, Takatoshi ; Hashimoto, Yuko .
    In: NBER Working Papers.
    RePEc:nbr:nberwo:9376.

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  12. Currency Crises and the Real Economy: The Role of Banks. (2002). Disyatat, Piti.
    In: Working Papers.
    RePEc:bth:wpaper:2002-08.

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  13. Contagion, Monsoons, and Domestic Turmoil in Indonesias Currency Crisis.. (2002). Saxena, Sweta ; Cerra, Valerie.
    In: Review of International Economics.
    RePEc:bla:reviec:v:10:y:2002:i:1:p:36-44.

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  14. Currency Crisis of Korea: Internal Weakness or External Interdependence?. (2001). Cho, Dong Chul ; Hong, Kiseok .
    In: NBER Chapters.
    RePEc:nbr:nberch:10739.

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  15. Currency Crises and the Real Economy; The Role of Banks. (2001). Disyatat, Piti.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2001/049.

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  16. The Russian default and the contagion to Brazil.. (2000). Goldfajn, Ilan ; Baig, Taimur.
    In: Textos para discussão.
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  17. Capital Flows to Emerging Markets: Liberalization, Overshooting, and Volatility. (2000). van Wincoop, Eric ; Bacchetta, Philippe.
    In: NBER Chapters.
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  18. Contagion, Monsoons, and Domestic Turmoil in Indonesia; A Case Study in the Asian Currency Crisis. (2000). Saxena, Sweta ; Cerra, Valerie.
    In: IMF Working Papers.
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  19. Globalisierung und unvollkommene Kapitalmärkte: Verschärft die Knappheit international anerkannter Sicherheiten Länderkrisen?. (1999). Fehn, Rainer .
    In: Discussion Paper Series.
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  20. Financial market contagion in the Asian crisis. (1999). Goldfajn, Ilan ; Baig, Taimur.
    In: Textos para discussão.
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  21. Contagion:: macroeconomic models with multiple equilibria. (1999). Masson, Paul.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:18:y:1999:i:4:p:587-602.

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  22. Capital market imperfections, greater volatilities, and rising unemployment: does venture capital help?. (1998). Fehn, Rainer .
    In: Discussion Paper Series.
    RePEc:zbw:wuewwb:24.

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  23. Volatility and the welfare costs of financial market integration. (1998). Aizenman, Joshua ; Agénor, Pierre-Richard.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:1974.

    Full description at Econpapers || Download paper

  24. Capital flows to Emerging Markets: Liberalization, Overshooting, and Volatility. (1998). van Wincoop, Eric ; Bacchetta, Philippe.
    In: Working Papers.
    RePEc:szg:worpap:9801.

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  25. On crises, contagion, and confusion. (1998). Reinhart, Carmen ; Kaminsky, Graciela.
    In: MPRA Paper.
    RePEc:pra:mprapa:13709.

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  26. Capital Mobility in a Second Best World -- Moral Hazard With Costly Financial Intermediation. (1998). Aizenman, Joshua.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:6703.

    Full description at Econpapers || Download paper

  27. Capital Flows to Emerging Markets: Liberalization, Overshooting, and Volatility. (1998). van Wincoop, Eric ; Bacchetta, Philippe.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:6530.

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  28. A rational expectations model of financial contagion. (1998). Kodres, Laura E. ; Pritsker, Matthew.
    In: Finance and Economics Discussion Series.
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  29. Capital Flows to Emerging Markets: Liberalization, Overshooting and Volatility. (1998). van Wincoop, Eric ; Bacchetta, Philippe.
    In: CEPR Discussion Papers.
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  30. Volatility and Financial Intermediation. (1997). Powell, Andrew ; Aizenman, Joshua.
    In: NBER Working Papers.
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  31. Borrowing Risk and the Tequila Effect. (1997). Agenor, Pierre-Richard.
    In: IMF Working Papers.
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