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European Financial Integration and Equity Returns: A Theory-Based Assessment. (2003). Danthine, Jean-Pierre ; Adjaoute, Kpate.
In: FAME Research Paper Series.
RePEc:fam:rpseri:rp84.

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  1. A novel high?frequency indicator of financial integration for monitoring the impact of COVID-19. (2023). Zito, Alessandro ; Mongelli, Francesco Paolo ; Kochanska, Urszula ; Borgioli, Stefano.
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  2. Brexit and global equity fund capital reallocation. (2022). Wang, Xiaohu ; Hu, Yichuan ; Gao, Xiang.
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  3. Frankel and Rose’s Introduction to the Endogeneity of Optimality: A Model Limited to the European Monetary Experience. (2021). Mathieu, Alban.
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  4. Financial integration in Europe through the lens of composite indicators. (2020). Kremer, Manfred ; Zaharia, Sonia ; Hoffmann, Peter.
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  5. Financial integration in Europe through the lens of composite indicators. (2019). Kremer, Manfred ; Zaharia, Sonia ; Hoffmann, Peter.
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  6. Time-varying importance of country and industry factors in European corporate bonds. (2016). Verschoor, Willem ; Zwinkels, Remco ; Qian, Zhaowen ; Pieterse-Bloem, Mary .
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  7. Testing stock market convergence: a non-linear factor approach. (2015). Caporale, Guglielmo Maria ; Kuzin, Vladimir ; Erdogan, Burcu .
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  8. European financial market dependence: An industry analysis. (2015). Bartram, Söhnke ; Wang, Yaw-Huei.
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  9. Financial markets in CEE countries and their role in transmission of euro area monetary policy shocks. (2015). Wierzbowska, Agata .
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    RePEc:aad:ejbejj:v:10:y:2015:i:2:p:732.

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  10. Euro conversion and return dynamics of European financial markets: a frequency domain approach. (2014). Grossmann, Axel ; Simpson, Marc ; Giudici, Emiliano.
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  11. A Nonlinear Model to Estimate the Long Term Correlation between Market Capitalization and GDP per capita in Eastern EU Countries. (2014). Lupu, Radu ; Calin, Adrian Cantemir ; Albu, Lucian.
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  12. Country and industry convergence of equity markets: International evidence from club convergence and clustering. (2014). Miller, Stephen ; Apergis, Nicholas ; Christou, Christina.
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  14. Sectoral equity returns and portfolio diversification opportunities across the GCC region. (2013). Balli, Faruk ; Basher, Syed ; Louis, Rosmy Jean.
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  16. What Is the Degree of Convergence among Developed Equity Markets?. (2012). Dorodnykh, Ekaterina .
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  22. 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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  23. 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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  24. Towards a common European Monetary Union risk free rate. (2011). Mayordomo, Sergio ; Schwartz, Eduardo S ; Pea, Juan Ignacio.
    In: CNMV Working Papers.
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  25. 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 .
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  26. Financial Integration in European Countries: Some Panel Evidence. (2010). Ferreira, Candida.
    In: Working Papers Department of Economics.
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  27. Equity Interconnections in Major European Markets. (2010). Vasila, Anna ; Alexakis, Panayiotis .
    In: European Research Studies Journal.
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  28. 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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  29. Are Capital Markets Integrated? A Test of Information Transmission within the European Union. (2009). Lupu, Radu ; Horobet, Alexandra .
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  30. Openness and geographic neutrality: How do they contribute to international banking integration?. (2009). Tortosa-Ausina, Emili ; perez, francisco ; Arribas, Iván.
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  31. Sectoral Equity Returns in the Euro Region: Is There any Room for Reducing the Portfolio Risk?. (2009). Balli, Hatice.
    In: MPRA Paper.
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  32. Does the Law of One Price Hold in Euro-Area Retail Banking? An Empirical Analysis of Interest Rate Differentials across the Monetary Union. (2009). Affinito, Massimiliano ; Farabullini, Fabio .
    In: International Journal of Central Banking.
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  33. Extreme coexceedances in new EU member states stock markets. (2009). Ranaldo, Angelo ; Christiansen, Charlotte.
    In: Journal of Banking & Finance.
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  34. Are fundamentals still relevant for European economies in the post-Euro period?. (2009). Laopodis, Nikiforos.
    In: Economic Modelling.
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  35. Testing for Convergence in Stock Markets: A Non-Linear Factor Approach. (2009). Caporale, Guglielmo Maria ; Erdogan, Burcu ; Kuzin, Vladimir .
    In: CESifo Working Paper Series.
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  36. Changes in investors risk appetite - an assessment of financial integration and interdependence. (2009). Tam, Chi-sang ; Fung, Laurence Kang-por ; Yu, Ip-wing .
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  37. Financial Integration of Stock Markets among New EU Member States and the Euro Area. (2008). Komarek, Lubos ; Komarkova, Zlatuse ; Babecký, Jan.
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  38. Extreme Coexceedances in New EU Member States Stock Markets. (2008). Ranaldo, Angelo ; Christiansen, Charlotte.
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  39. Centre Rules the Markets. (2008). Ferreira, Miguel ; Alves, Paulo.
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    In: MPRA Paper.
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  41. Realized portfolio selection in the euro area. (2008). MORANA, CLAUDIO.
    In: ICER Working Papers - Applied Mathematics Series.
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  42. Changes in Investors Risk Appetite - An Assessment of Financial Integration and Interdependence. (2008). Tam, Chi-sang ; Fung, Laurence ; Yu, Ip-wing .
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  43. European Economic and Monetary Integration, and the Optimum Currency Area Theory. (2008). Mongelli, Francesco.
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  44. Portfolio performance and the Euro: Prospects for new potential EMU members. (2008). Haselmann, Rainer ; Herwartz, Helmut.
    In: Journal of International Money and Finance.
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  45. Financial Integration of Stock Markets among New EU Member States and the Euro Area. (2008). Komarek, Lubos ; Babecký, Jan ; Komarkova, Zlatuse ; Babecky, Jan.
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  46. Regulation versus Competition on European Financial Markets. (2007). Ilie, Livia ; Horobet, Alexandra .
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  47. The Romanian Financial Market and the Financial Markets from EU - A Integration Analysis. (2007). PIRTEA, Marilen .
    In: MPRA Paper.
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  50. Influence of structural changes in transmission of information between stock markets: A European empirical study. (2007). Fernandez-Izquierdo, Maria Angeles ; Arago-Manzana, Vicent.
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  52. The Euro and European financial market dependence. (2007). Bartram, Söhnke ; Taylor, Stephen J. ; Wang, Yaw-Huei.
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  55. The Euro and Financial Integration. (2006). Waelti, Sébastien ; Lane, Philip ; Walti, Sebastien .
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  56. Macroeconomic Differentials and Adjustment in the Euro Area. (2006). SIEDSCHLAG, IULIA.
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  57. Economic Assessment of the Euro Area: Forecasts and Policy Analysis, Autumn Report 2006. (2006). Bergin, Adele ; Fitzgerald, John ; Traistaru-Siedschlag, Iulia ; Barrett, Alan.
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  58. The impact of the introduction of the Euro on foreign exchange rate risk exposures. (2006). Karolyi, G. ; Bartram, Söhnke.
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  60. European Union Enlargement and Equity Markets in Accession Countries. (2005). Dvorak, Tomas ; Podpiera, Richard.
    In: IMF Working Papers.
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  61. Portfolio diversification benefits within Europe: Implications for a US investor. (2005). Laopodis, Nikiforos.
    In: International Review of Financial Analysis.
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  62. European Union enlargement and equity markets in accession countries. (2005). Podpiera, Richard ; Dvorak, Tomas .
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  63. Endogeneities of optimum currency areas: what brings countries sharing a single currency closer together?. (2005). Mongelli, Francesco ; de Grauwe, Paul ; DeGrauwe, Paul ; Paolomongelli, Francesco.
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  64. Endogeneities of Optimum Currency Areas: What brings Countries Sharing a Single Currency Closer together?. (2005). Mongelli, Francesco ; De Grauwe, Paul ; DeGrauwe, Paul.
    In: Working Papers de Economia (Economics Working Papers).
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  65. Are the new and old EU countries financially integrated?. (2004). Chris R. A. Geiregat, ; Dvorak, Tomas .
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  66. 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.
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  67. Developing statistical indicators of the integration of the euro area banking system. (2004). Manna, Michele.
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  68. Country pair-correlations as a measure of financial integration: the case of the Euro equity markets. (2004). Croci, Manuela .
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  69. Divergent Inflation Rates in EMU. (2003). Lane, Philip ; Honohan, Patrick.
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  70. Divergent Inflation Rates in EMU. (2003). Lane, Philip ; Honohan, Patrick.
    In: The Institute for International Integration Studies Discussion Paper Series.
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  71. The euro area financial system: structure, integration and policy initiatives. (2003). Manganelli, Simone ; Maddaloni, Angela ; Hartmann, Philipp.
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  72. An empirical analysis of international equity market co-movements: implications for informational efficiency. (2003). Croci, Manuela .
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  74. FOREIGN DIRECT INVESTMENTS IN ROMANIA IN THE CONTEXT OF ECONOMIC AND FINANCIAL CRISIS. (). ANDREEA, AVADANEI ; Bintintan, Petru ; Afrasinei, Catalin .
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