Tài chánh học


Trang chủ | Sách mới | Bản thân | Bài giảng | Bài tập | Thông báo

(JOF)

Tiếng Việt

Nghĩa, NT, 2006, "Tài chánh công Việt Nam trước ngưỡng cửa gia nhập WTO," Tạp chí Nghiên cứu Kinh tế 342.

 

Toàn văn : FE01.pdf | Herd bahaviour in financial markets | Financial sector regulators | Preserving financial stability | Financial reforms |

Trang liên quan :  Bộ Tài chánh |

Bài tham khảo :

Tiếng Việt

Anh, LV, 2008, "Khủng hoảng tài chánh - Mô hình lý thuyết và nguy cơ đối với Việt Nam trong quá trình hội nhập hiện nay," Tạp chí Khoa học 24.

English

Abiad, B, 2008, "The Quality Effect : Does Financial Liberalization Improve Capital Allocation ?" Journal of Development Economics 87. Khi cần bài viết này, vui lòng email cho lekhuongninh@gmail.com.

Almunia, M, 2009, "From Great Depression to Great Credit Crisis : Differences, Similarities, and Lessons," NBER WP 15542.

BIS, 2008, "Financial Market Developments and Their Implication for Monetary Policy."

BIS, 2008, "Understanding Asset Prices : An Overview," BIS Paper 34.

Bond, E et al., 2007, "Credit Rationing, Risk Aversion and Industrial Evolution in Developing Countries," NBER WP.

Caballero, R, 2010, "The "Other" Imbalance and the Financial Crisis," NBER WP 15636.

Cohen, A, 2009, "Testing for Adverse Selection in Insurance Markets," NBER WP 15586.

Curdia, V, 2009, "Credit Fictions and Optimal Monetary Policy," BIS WP 278.

Haan, M, "Harmful Monitoring," SOM WP.

Jermann, U., 2009, "Macroeconomic Effects of Financial Crisis," NBER WP 15338.

Johnson, S, 1999, "Corporate Governance in the Asian Financial Crisis," WDI WP 297.

Kendall, J, 2009, "Local Financial Development and Growth," World Bank Policy Research Working Paper 4838.

Krishnamurthy, A, 2009, "How Debt Markets Have Malfunctioned in the Crisis," NBER WP 15542.

Lensink, R, 2006, "On Signaling and Debt Maturity Choice," SOM WP.

Mudd, S, 2009, "Once Bitten, Twice Shy : Experiences of a Banking Crisis and Expectations of Future Crises," WDI WP 969.

Shiller, RJ, 2006, "Tools for Financial Innovation : Neoclassical versus Behavioural Finance," Financial Review 41.

Shiller, RJ, 2005, "Behavioural Economics and Institutional Innovation," Souther Economics Journal 72(2).

Shiller, RJ, 2003, "From Efficient Markets Theory to Behavioral Finance," Journal of Economic Perspectives 17(1), Winter.

Shiller, RJ, 1999, "Human Behaviour and the Efficiency of the Financial System," Handbbok of Macroeconomics.

Shiller, RJ, 1995, "Conversation, Information and Herd Behaviour," American Economic Review (May).

Shiller, RJ, 1993, "Measuring Asset Values for Cash Settlements in Derivatives Markets," Journal of Finance XLVIII(3).

Shiller, RJ, 1984, "A Simple Account of the Long-Term Behaviour of Interest Rates," AEA Proceedings and Papers.

Tadesse, S, 2007, "National Culture and Financial Systems," WDI WP 884.