No. 19-3, December 2016
Index
- Contents: International Finance 19/3
- External and Macroeconomic Adjustment in the Larger Euro‐Area Countries
- Is There a Too‐Big‐to‐Fail Discount in Excess Returns on German Banks’ Stocks?
- New Perspectives on the Great Depression: A Review Essay
- Sovereign Credit Risk Co‐Movements in the Eurozone: Simple Interdependence or Contagion?
- The Conceptual Foundations of Macroprudential Policy: A Roadmap
- The Interplay Between Public and Private External Debt Stocks