Have a personal or library account? Click
here
to login
Paradigm
reference-global.com
Content
Services
Paradigm
Partners
Contact
Journals
Journal of Central Banking Theory and Practice
Volume 8 (2019): Issue 2 (May 2019)
Volume 8 (2019): Issue 2 (May 2019)
Journal of Central Banking Theory and Practice
Open Access
Download
Download
Journal details
Journal details
For authors
Table of contents
Documents
Previous issue
Journal of Central Banking Theory and Practice
Next issue
All volumes and issues in this journal
Volume 14 (2025)
Volume 13 (2024)
Volume 12 (2023)
Volume 11 (2022)
Volume 10 (2021)
Volume 9 (2020)
Volume 8 (2019)
Issue 3 (September 2019)
Issue 2 (May 2019)
Issue 1 (January 2019)
Volume 7 (2018)
Volume 6 (2017)
Volume 5 (2016)
Volume 4 (2015)
Volume 3 (2014)
10 articles
Open Access
|
May 2019
Abstract
Central Bank Communication and Monetary Policy Predictability under Uncertain Economic Conditions
Jonne O. Lehtimäki
and
Marianne Palmu
Open Access
|
May 2019
Abstract
A Model of Crisis Prevention (Based on managing change, quality management and risk management)
Radoica Luburić
Open Access
|
May 2019
Abstract
The Swiss National Bank’s fear of float
Kristin Berthold
and
Georg Stadtmann
Open Access
|
May 2019
Abstract
Forecasting CEMAC’s foreign exchange reserves in presence of unanticipated changes in oil prices: an interrupted time series modelling
Giscard Assoumou-Ella
Open Access
|
May 2019
Abstract
Impact of Sovereign Debt Credit Rating Revision on Banking Industry: Evidence from G7 Countries
Reza Tahmoorespour
,
Mohamed Ariff
and
Alireza Zarei
Open Access
|
May 2019
Abstract
Basel III LCR Requirement and Banks’ Deposit Funding: Empirical Evidence from Emerging Markets
Tafirei Mashamba
and
Rabson Magweva
Open Access
|
May 2019
Abstract
Leverage Ratio and its Potential For Enhancing the Effectiveness of Capital Regulation
Lukáš Pfeifer
and
Zdeněk Pikhart
Open Access
|
May 2019
Abstract
Monetary Policy and Economic Growth in Lebanon
Ali Awdeh
Open Access
|
May 2019
Abstract
Using External Financing in a One Factor Model Measuring the Volatility of Market Risk of Vietnam's Banking Industry During and After the Global Crisis
Dinh Tran Ngoc Huy
Open Access
|
May 2019
Abstract
Market Share, Concentration Ratio and Profitability: Evidence from Indonesian Islamic Banking Industry
M. Nur Rianto Al Arif
and
Tara Bilqis Awwaliyah
eISSN:
2336-9205
|
Language:
English
|
Publication frequency:
3 times per year
Published by:
Central Bank of Montenegro
In partnership with:
Paradigm Publishing Services
Related subjects:
Business and economics
,
Business management
,
Business management, other
Journal RSS Feed