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From home bias to Euro bias: Disentangling the effects of monetary union on the European financial markets. (2010). Balli, Hatice ; Basher, Syed ; Ozer-Balli, Hatice .
In: Journal of Economics and Business.
RePEc:eee:jebusi:v:62:y::i:5:p:347-366.

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Cited: 31

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Cites: 35

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  1. The portfolio holdings of euro area investors: Looking through investment funds. (2022). Carvalho, Daniel.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:120:y:2022:i:c:s0261560621001704.

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  2. Re-evaluating cryptocurrencies contribution to portfolio diversification -- A portfolio analysis with special focus on German investors. (2020). Hoffmann, Ingo ; Schmitz, Tim.
    In: Papers.
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  3. .

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  4. Determinants of sector of holders international equity holdings. (2019). Balli, Hatice ; Basher, Syed ; Wang, Aihua ; Karimova, Amira.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:63:y:2019:i:c:p:329-338.

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  5. Unraveling the Financial Contagion in European Stock Markets During Financial Crises: Multi-Timescale Analysis. (2018). Masih, Abul ; Dewandaru, Ginanjar.
    In: Emerging Markets Finance and Trade.
    RePEc:mes:emfitr:v:54:y:2018:i:4:p:859-880.

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  6. Market standards in financial contracting: The Euro’s effect on debt securities. (2018). Engert, Andreas ; Hornuf, Lars.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:85:y:2018:i:c:p:145-162.

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  7. Determinants of capital flows to emerging and advanced economies between 1990 and 2011. (2017). Liwiski, Pawe ; Brzozowski, Micha ; Tchorek, Grzegorz.
    In: Portuguese Economic Journal.
    RePEc:spr:portec:v:16:y:2017:i:1:d:10.1007_s10258-016-0126-5.

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  8. The impacts of immigrants and institutions on bilateral tourism flows. (2016). Balli, Hatice ; Louis, Rosmy Jean.
    In: Tourism Management.
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  9. Newton meets Van Leeuwenhoek: Identifying international investors’ common currency preferences. (2016). Vermeulen, Robert ; Boermans, Martijn.
    In: Finance Research Letters.
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  10. What can wavelets unveil about the vulnerabilities of monetary integration? A tale of Eurozone stock markets. (2016). Masih, Abul ; Mansur, A ; Dewandaru, Ginanjar.
    In: Economic Modelling.
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  11. Contagion across Eurozones sovereign spreads and the Core-Periphery divide. (2015). Valentini, Enzo ; CROCI ANGELINI, Elisabetta ; Farina, Francesco.
    In: Working Papers.
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  12. The impact of the Hizmet movement on Turkeys bilateral trade. (2015). Balli, Faruk ; Civan, Abdulkadir ; Uras, Oguz .
    In: Economic Modelling.
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  13. Financial exposure to the euro area before and after the crisis: home bias and institutions at home. (2015). Floreani, Vincent ; Habib, Maurizio Michael.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20151799.

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  14. Financial exposure to the euro area before and after the crisis: home bias and institutions at home. (2015). Floreani, Vincent Arthur ; Habib, Maurizio Michael.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20141799.

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  15. International business cycle co-movement: the role of FDI. (2014). Stokman, Ad ; Jansen, W. Jos ; AD C. J. STOKMAN, .
    In: Applied Economics.
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  16. The Ability of Global Stock Exchange Mechanisms to Mitigate Home Bias: Evidence from Euronext. (2014). Vulcheva, Maria ; Wang, Xue ; Pownall, Grace.
    In: Management Science.
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  17. Equity home bias, financial integration, and regulatory reforms: implications for emerging Asia. (2014). Park, Cyn-Young ; Mercado, Rogelio V..
    In: Chapters.
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  18. The determinants of the volatility of returns on cross-border asset holdings. (2014). Balli, Faruk ; Basher, Syed ; Rana, Faisal .
    In: CAMA Working Papers.
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  19. The determinants of the volatility of returns on cross-border asset holdings. (2014). Balli, Faruk ; Basher, Syed ; Rana, Faisal .
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:44:y:2014:i:c:p:1-23.

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  20. Can Network Effects Impede Optimal Contracting in Debt Securities?. (2013). Engert, Andreas ; Hornuf, Lars.
    In: Annual Conference 2013 (Duesseldorf): Competition Policy and Regulation in a Global Economic Order.
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  21. The Icelandic and Irish Banking Crises: Alternative Paths to a Credit-Induced Collapse. (2013). Howden, David.
    In: MPRA Paper.
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  22. International Income Risk-Sharing and the Global Financial Crisis of 2008--2009. (2013). Balli, Hatice ; Basher, Syed.
    In: MPRA Paper.
    RePEc:pra:mprapa:43720.

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  23. International Income Risk-Sharing and the Global Financial Crisis of 2008- 2009. (2013). Balli, Hatice ; Basher, Syed.
    In: CAMA Working Papers.
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  24. Impacts of exported Turkish soap operas and visa-free entry on inbound tourism to Turkey. (2013). Balli, Hatice ; Cebeci, Kemal .
    In: Tourism Management.
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  25. International income risk-sharing and the global financial crisis of 2008–2009. (2013). Balli, Hatice ; Basher, Syed.
    In: Journal of Banking & Finance.
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  26. Integracja finansowa w Europie po wprowadzeniu euro. Przegląd literatury. (2012). Rogowski, Wojciech ; Pawłowska, Małgorzata ; Olszewski, Krzysztof.
    In: MPRA Paper.
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  27. Current account imbalances and systemic risk within a monetary union. (2012). CROCI ANGELINI, Elisabetta ; Farina, Francesco.
    In: Journal of Economic Behavior & Organization.
    RePEc:eee:jeborg:v:83:y:2012:i:3:p:647-656.

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  28. Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk?. (2011). Balli, Hatice.
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:63:y::i:2:p:89-106.

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  29. Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk?. (2011). Balli, Hatice.
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:63:y:2011:i:2:p:89-106.

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  30. Income insurance and the determinants of income insurance via foreign asset revenues and foreign liability payments. (2011). Balli, Hatice ; Basher, Syed.
    In: Economic Modelling.
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  31. Balancing Imbalances: Improving Economic Governance in the EU after the Crisis. (2011). , Marcobuti ; Buti, Marco.
    In: CESifo Forum.
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  11. Time-varying Diversification Benefits: The Impact of Capital Market Integration on European Portfolio Holdings. (2011). Horobet, Alexandra ; Dumitrescu, Sorin .
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  12. Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk?. (2011). Balli, Hatice.
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  42. Endogeneities of Optimum Currency Areas: What brings Countries Sharing a Single Currency Closer together?. (2005). Mongelli, Francesco ; De Grauwe, Paul ; DeGrauwe, Paul.
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  43. Are the new and old EU countries financially integrated?. (2004). Chris R. A. Geiregat, ; Dvorak, Tomas .
    In: Department of Economics Working Papers.
    RePEc:wil:wileco:2004-09.

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  44. The Euro and European Financial Market Integration. (2004). Bartram, Söhnke ; Taylor, Stephen ; Wang, Yaw-Huei.
    In: Money Macro and Finance (MMF) Research Group Conference 2004.
    RePEc:mmf:mmfc04:49.

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  45. Developing statistical indicators of the integration of the euro area banking system. (2004). Manna, Michele.
    In: Working Paper Series.
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  46. Country pair-correlations as a measure of financial integration: the case of the Euro equity markets. (2004). Croci, Manuela .
    In: Working Papers.
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  47. Divergent Inflation Rates in EMU. (2003). Lane, Philip ; Honohan, Patrick.
    In: Trinity Economics Papers.
    RePEc:tcd:tcduee:20034.

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  48. Divergent Inflation Rates in EMU. (2003). Lane, Philip ; Honohan, Patrick.
    In: The Institute for International Integration Studies Discussion Paper Series.
    RePEc:iis:dispap:iiisdp05.

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  49. An empirical analysis of international equity market co-movements: implications for informational efficiency. (2003). Croci, Manuela .
    In: Working Papers.
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  50. FOREIGN DIRECT INVESTMENTS IN ROMANIA IN THE CONTEXT OF ECONOMIC AND FINANCIAL CRISIS. (). ANDREEA, AVADANEI ; Bintintan, Petru ; Afrasinei, Catalin .
    In: Description: Managerial Challenges of the Contemporary Society.
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