Journal of International Money and Finance, December 2020
Green Table of Contents
Volume 109
Is housing collateral important to the business cycle? Evidence from China
Yue Gai, Patrick Minford, Zhirong Ou
Article 102216
Speculative bubbles in segmented markets: Evidence from Chinese cross-listed stocks
Efthymios G. Pavlidis, Kostas Vasilopoulos
Article 102222
Capital controls spillovers
Valerio Nispi Landi
Article 102238
The evolution of purchasing power parity
Collin Rabe, Andrea Waddle
Article 102237
Risk, asset pricing and monetary policy transmission in Europe: Evidence from a threshold-VAR approach
Jörg Schmidt
Article 102235
Mundell meets Poole: Managing capital flows with multiple instruments in emerging economies
Ruy Lama, Juan Pablo Medina
Article 102193
The international effects of global financial uncertainty shocks
Dario Bonciani, Martino Ricci
Article 102236
Sovereign risk and asset market dynamics in the euro area
Erica Perego
Article 102234
How important are global factors for understanding the dynamics of international capital flows?
Markus Eller, Florian Huber, Helene Schuberth
Article 102221
Household debt, consumption and inequality
Berrak Bahadir, Kuhelika De, William D. Lastrapes
Article 102240
Drawing conclusions from structural vector autoregressions identified on the basis of sign restrictions
Christiane Baumeister, James D. Hamilton
Article 102250
Private and public debt interlinkages in bad times
Marco Bernardini, Lorenzo Forni
Article 102239
Price and wage inflation persistence across countries and monetary regimes
Giovanni Di Bartolomeo, Marco Di Pietro, Elton Beqiraj
Article 102255
Unconventional monetary policy and bank risk taking
Thomas Matthys, Elien Meuleman, Rudi Vander
Vennet
Article 102233
Cross-border capital flows and return dynamics in emerging stock markets: Relative roles of equity and debt flows
Deven Bathia, Christos Bouras, Riza Demirer, Rangan Gupta
Article 102258
Monetary policy news in the US: Effects on emerging market capital flows
Tatjana Dahlhaus, Garima Vasishtha
Article 102251
Sovereign default risk and credit supply: Evidence from the euro area
Olli Palmén
Article 102257
Long-run purchasing power parity redux
David H. Papell, Ruxandra Prodan
Article 102260