No. 23-2, April 2018
Index
- Dividend policy and bank opacity
- Do credit ratings affect spread and return? A study of structured finance products
- Does the PPP condition hold for oil‐exporting countries? A quantile cointegration regression approach
- Examining drivers of trading volume in European markets
- Interest rate pass‐through: Divisia user costs of monetary assets and the federal funds rate
- Issue Information
- Reassessing the relationship between the financial sector and economic growth: Dynamic panel evidence
- Systemic banks, capital composition, and CoCo bonds issuance: The effects on bank risk
- The growth rate series in Kenya: Evidence of non‐linearities and factors behind the slow growth
- The volatility trap: Precautionary saving, investment, and aggregate risk