Table of contents for International finance and monetary policy / Gleb P. Severov (editor).

Bibliographic record and links to related information available from the Library of Congress catalog.

Note: Contents data are machine generated based on pre-publication provided by the publisher. Contents may have variations from the printed book or be incomplete or contain other coding.


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TABLE OF CONTENTS:
Preface; Interest Groups and Monetary Policy Management (Giovanni Di Bartolomeo, University of Rome La Sapienza, Italy); Global Divergence (David-Mayer Foulkes, Centro de Investigación y Docencia Económicas, Mexico); Learning to Live with the Float: Turkey's Experience 2001-2003 (Faruk Selcuk and Oya Ardyc); Managing External Volatility: Central Bank Options in Low-Income Countries (Stephen O'Connell et al., Swarthmore College, USA); The Choice of Exchange Rate Regimes in Transition Economies: Evolution and Determination (Jizhong Zhou and Jürgen von Hagen, University of Bonn, Germany); Star-Garch Models for Stock Market Interactions in the Pacific Basin Region, Japan and US (Giorgio Busetti, Monte Paschi Alternative Investment, Italy and Matteo Manera, University of Milano-Bicocca, Italy); Nonlinear Tools for Analyzing and Forecasting Financial Time Series: An Application to US Interest Rates (Nicolas Wesner, MODEM University, France); the Macroeconomy and the Yield Curve: The Search for a Unified Approach (Zeno Rotundi, University of Ferrara, Italy); The Effect of Government Ownership on Bank Profitability and Risk: The Spanish Experiment (Ana Isabel Fern ndez et al.); Liquidity Consequences of Lockup Expirations (Charles Cao, Penn State University, USA); Index.

Library of Congress Subject Headings for this publication:

International finance.
Monetary policy.