Discussion paper DP5017 Explaining The Equity Risk Premium Patrick Minford Laurian Lungu 23 Apr 2005 International Macroeconomics G12
Discussion paper DP4376 Inflation Targeting and Debt: Lessons from Brazil Francesco Giavazzi Carlo A. Favero 23 May 2004 International Macroeconomics E44 E62
Discussion paper DP3148 Macroeconomic Sources of FOREX Risk Michael R. Wickens Peter N Smith 1 Jan 2002 Financial Economics International Macroeconomics F10 G10
Discussion paper DP3041 Moral Hazard and the US Stock Market: The Idea of a 'Greenspan Put' Marcus Miller Paul Weller 1 Nov 2001 Financial Economics International Macroeconomics D84 E52 G12
Discussion paper DP2412 Should Argentina Adopt The US Dollar? Andrew Hughes Hallett Myrvin L. Anthony 28 Apr 2000 International Macroeconomics E42 E58 F33
Discussion paper DP2392 Risk Premia In The Term Structure Of Interest Rates: A Panel Data Approach Christian Wolff Dennis Bams 29 Feb 2000 Financial Economics E43 G12
Discussion paper DP2379 Options For The Exchange Rate Policies Of The EU Accession Countries (And Other Emerging Market Economies) Peter Bofinger Timo Wollmershäuser 29 Feb 2000 Transition Economics E42 F33 F36 F41
Discussion paper DP1353 Labour Contracts, Operating Leverage and Asset Pricing Jean-Pierre Danthine John B Donaldson 29 Feb 1996 Financial Economics International Macroeconomics E32 G12
Discussion paper DP1231 Nominal Rigidity and Monetary Uncertainty in a Small Open Economy Neil Rankin 31 Aug 1995 International Macroeconomics E44 F41
Discussion paper DP1099 Real Interest Rates and Central Bank Operating Procedures Matthew B Canzoneri Harris Dellas 31 Jan 1995 International Macroeconomics E43 E52 E58