Hostname: page-component-78c5997874-t5tsf Total loading time: 0 Render date: 2024-11-13T09:40:46.683Z Has data issue: false hasContentIssue false

Prospects for Individual Economies

Published online by Cambridge University Press:  26 March 2020

Abstract

Image of the first page of this content. For PDF version, please use the ‘Save PDF’ preceeding this image.'
Type
The World Economy
Copyright
Copyright © 2012 National Institute of Economic and Social Research

Access options

Get access to the full version of this content by using one of the access options below. (Log in options will check for institutional or personal access. Content may require purchase if you do not have access.)

References

Arghyrou, M., Kontonikas, A., (2011), ‘The EMU sovereign-debt crisis: fundamentals, expectations and contagion’, European Commission Economic Paper, No. 436.Google Scholar
Attinasi, M.G., Checherita, C., Nickel, C., (2009), ‘What explains the surge in Euro area sovereign spreads during the financial crisis of 2007–09?’, European Central Bank Working Paper, No. 1131.Google Scholar
Bernoth, K., Erdogan, B., (2012), ‘Sovereign bond yield spreads: a time-varying coefficient approach’, Journal of International Money and Finance, 31, pp. 639656.CrossRefGoogle Scholar
Board of Governors of the Federal Reserve System (BGFRS), (2012), The U.S. Housing Market: Current Conditions and Policy Considerations, White Paper.Google Scholar
Bullard, J., (2012), ‘The U.S. monetary policy outlook’, presented at InvestMidwest Venture Capital Forum, St. Louis, Missouri, April 2012.Google Scholar
De Grauwe, P., Ji, Y., (2012), ‘Mispricing of sovereign risk and multiple equilibria in the Eurozone’, CEPS Working Document, No. 361.Google Scholar
Delong, J.B., Summers, L.H., (2012), ‘Fiscal policy in a depressed economy’, mimeo.CrossRefGoogle Scholar
ECB (2005), ‘Competitiveness and the export performance of the Euro Area’, by a Task Force of the Monetary Policy Committee of the European System of Central Banks, Occasional Paper Series No. 30.Google Scholar
ECB (2012), The Euro Area Bank Lending Survey, April 2012.Google Scholar
Euroframe, (2012), Economic assessment of the Euro Area, Winter 2011/2012 Report.Google Scholar
Gibson, H.D., Hall, S.G., Tavlas, G.S., (2012), ‘The Greek financial crisis: Growing imbalances and sovereign spreads’, Journal of International Money and Finance, 31, pp. 498516.CrossRefGoogle Scholar
Holland, D., Kirby, S., (2011), ‘Is there a resolution to the Euro Area debt crisis?National Institute Economic Review, 218, pp. F45F53.CrossRefGoogle Scholar
IMF (2011), People's Republic of China: Financial System Stability Assessment, IMF Country Report No. 11/321.Google Scholar
Schuknect, L., von Hagen, J., Wolswijk, G., (2010) ‘Government bond risk premiums in the EU revisited. The impact of the financial crisis’, European Central Bank Working Paper, No. 1152.Google Scholar