References contributed by pro164-24070
Aghion, Philippe, Philippe Bachetta and Abhijit Banerjee (2001), ‘Currency Crises and Monetary Policy in an Economy with Credit Constraints’, European Economic Review, 45(7), 1121–50.
Akerlof, George, and Paul Romer (1993), ‘Looting: The Economic Underworld of Bankruptcy for Profit’, Brookings Papers on Economic Activity, 2, 1–60.
- Allen, Franklin, and Douglas Gale (2000a), ‘Bubbles and Crises’, The Economic Journal, 110(460), 236–55.
Paper not yet in RePEc: Add citation now
- Allen, Franklin, and Douglas Gale (2000b), ‘Financial Contagion’, Journal of Political Economy, 108(1), 1–33.
Paper not yet in RePEc: Add citation now
- Baliño, Tomás, Adam Bennett and Eduardo Borensztein (1999), ‘Monetary Policy in Dollarized Economies’, IMF Occasional Paper No. 171, March.
Paper not yet in RePEc: Add citation now
- Bordo, Michael, Barry Eichengreen, Daniela Klingebiel and Maria Soledad MartinezPeria (2001), ‘Is the Crisis Problem Growing Severe?’, Economic Policy, 16(32), April, 51–82.
Paper not yet in RePEc: Add citation now
Burnside, Craig, Martin Eichenbaum and Sergio Rebelo (2001), ‘Hedging and Financial Fragility in Fixed Exchange Rate Regimes’, European Economic Review, 45(7), 1151–93.
- Calvo, Guillermo (2000a), ‘Capital Markets and the Exchange Rate: With Special Reference to the Dollarization Debate in Latin America’, mimeo, University of Maryland.
Paper not yet in RePEc: Add citation now
- Calvo, Guillermo (2000b), ‘The Case for Hard Pegs in the Brave New World of Global Finance’, mimeo, University of Maryland.
Paper not yet in RePEc: Add citation now
- Calvo, Guillermo (2002), ‘Globalization Hazard and Weak Government in Emerging Markets’, IADB Working Paper, February.
Paper not yet in RePEc: Add citation now
Calvo, Guillermo, and Carmen Reinhart (2001), ‘Fixing for Your Life’, Brookings Trade Forum, Washington DC: Brookings Institution, 1–57.
Calvo, Guillermo, and Carmen Reinhart (2002), ‘Fear of Floating’, Quarterly Journal of Economics, 117(2), 379–408.
Chang, Roberto, and Andrés Velasco (2000), ‘Exchange-Rate Policy for Developing Countries’, American Economic Review, 90, (May), 71–5.
- De la Torre, Augusto, Eduardo Levy Yeyati, and Sergio Schmukler (2003), ‘Living and Dying with Hard Pegs: The Rise and Fall of Argentina’s Currency Board’, forthcoming in Economia.
Paper not yet in RePEc: Add citation now
- De la Torre, Augusto, Roberto GarcÃa-Saltos and Yira Mascaró (2002), ‘Banking, Currency, and Debt Meltdown: Ecuador Crisis in the Late 1990s’, work in progress.
Paper not yet in RePEc: Add citation now
- De Long, J. Bradford, Andrei Shleifer, Lawrence H. Summers and Robert Waldmann (1990), ‘Noise Trader Risk in Financial Markets’, The Journal of Political Economy, 98(4), 703–38.
Paper not yet in RePEc: Add citation now
- Dooley, Michael P. (2000), ‘A Model of Crises in Emerging Markets’, The Economic Journal, 110(460), 256–72.
Paper not yet in RePEc: Add citation now
Eichengreen, Barry, and Ricardo Hausmann (1999), ‘Exchange Rates and Financial Fragility’, NBER Working Paper No. 7418, November.
Fischer, Stanley (2001), ‘Exchange Rate Regimes: Is the Bipolar View Correct?’, Distinguished Lecture on Economics in Government, delivered at the AEA meetings in New Orleans on 6 January 2001.
Frankel, Jeffrey (1999), ‘No Single Exchange Rate Regime is Right for All Countries or at All Times’, Graham Lecture, Princeton University. NBER Working Paper No. w7338, published as Essays in International Finance, No. 215, Princeton University Press: Princeton, August.
Frankel, Jeffrey, Sergio Schmukler and Luis Servén (2002), ‘Global Transmission of Interest Rates: Monetary Independence and the Currency Regime’, NBER Working Paper No. 8828, March, forthcoming in Journal of International Money and Finance.
- Friedman, Milton (1953), ‘The Case for Flexible Exchange Rates’, in M. Friedman, (ed.), Essays in Positive Economics, University of Chicago Press, 159–203.
Paper not yet in RePEc: Add citation now
Gavin, Michael, and Ricardo Hausmann (1996), ‘The Roots of Banking Crises: The Macroeconomic Context’, IADB Working Paper No. 318, January.
Goldstein, Morris (2002), Managed Floating Plus. Washington, DC: Institute for International Economics.
Hausmann, Ricardo, Ugo Panizza and Ernesto Stein (2001), ‘Why do Countries Float the Way They Float?’, Journal of Development Economics, 66(2), 387–414.
- Honohan, Patrick, and Anqing Shi (2002), ‘Deposit Dollarization and the Financial Sector in Emerging Economies’, World Bank Policy Research Working Paper No. 2748, January.
Paper not yet in RePEc: Add citation now
- Ize, Alain, and Eduardo Levy Yeyati (2001), ‘Financial Dollarization’, Journal of International Economics, forthcoming.
Paper not yet in RePEc: Add citation now
Ize, Alain, and Eric Parrado (2002), ‘Dollarization, Monetary Policy, and the PassThrough’, mimeo, International Monetary Fund.
Kaminsky, Graciela, and Carmen Reinhart (1999), ‘The Twin Crises: The Causes of Banking and Balance-of-Payments Problems’, The American Economic Review, 89 (June), 473–500.
- Krugman, Paul (2001), ‘Notes on Depreciation, the Yen, and the Argentino’, New York Times, December 28.
Paper not yet in RePEc: Add citation now
- LarraÃn, Felipe, and Andrés Velasco (2001), ‘Exchange-Rate Policy in Emergingmarket Economies: The Case for Floating’, published as Essays in International Finance, No. 224, Princeton University Press: Princeton, December.
Paper not yet in RePEc: Add citation now
- Levy Yeyati, Eduardo, and Federico Sturzenegger (2001), ‘Deeds vs. Words: Classifying Exchange Rate Regime’, Universidad Torcuato Di Tella mimeo.
Paper not yet in RePEc: Add citation now
- McKinnon, Ronald, and Huw Pill (1997), ‘Credible Economic Liberalizations and Overborrowing’, American Economic Review, 87(2), 189–93.
Paper not yet in RePEc: Add citation now
Mishkin, Frederic (1999), ‘Lessons from the Asian Crisis’, Journal of International Money and Finance, 18(4), 709–23.
Mishkin, Frederic (2001), ‘Financial Policies and the Prevention of Financial Crises in Emerging Market Countries’, in Martin Feldstein (ed.), Economic and Financial Crises in Emerging Market Countries, University of Chicago Press, forthcoming.
- Mishkin, Frederic, and Miguel Savastano (2001), ‘Monetary Policy Strategies in Latin America’, Journal of Development Economics, 66, 415–44.
Paper not yet in RePEc: Add citation now
- Mundell, Robert (1961), ‘The Theory of Optimum Currency Areas’, American Economic Review, 51(September), 657–65.
Paper not yet in RePEc: Add citation now
Obstfeld, Maurice (1998), ‘The Global Capital Market: Benefactor or Menace?’, Journal of Economic Perspectives, 12(Fall), 9–30.
Obstfeld, Maurice, and Alan Taylor (2002), ‘Globalization and Capital Markets’, NBER Working Paper No. 8846, March, forthcoming in the NBER conference volume edited by Michael Bordo, Alan Taylor and Jeffrey Williamson.
Obstfeld, Maurice, and Kenneth Rogoff (1996), Foundations of International Macroeconomics. Cambridge, MA: MIT Press.
- Roubini, Nouriel (2001), ‘Should Argentina Dollarize or Float? The Pros and Cons of Alternative Exchange Rate Regimes and Their Implications for Domestic and Foreign Debt Restructuring/Reduction’, mimeo, New York University, December.
Paper not yet in RePEc: Add citation now
Stulz, René M. (1999), ‘Globalization of Equity Markets and the Cost of Capital’, Journal of Applied Corporate Finance, Fall, 8–25.