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Marcel Fratzscher

21 published titles

Risk sharing, finance and institutions in international portfolios

1 edition

  • Centre for Economic Policy Research
  • 2007
  • Details

The role of Central Bank transparency for guiding private sector forecasts

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2009
  • Details

Asset prices, exchange rates and the current account

1 edition

  • Centre for Economic Policy Research
  • 2009
  • Details

Asset prices, news shocks and the current account

1 edition

  • Centre for Economic Policy Research
  • 2010
  • Details

Identifying the global transmission of the 2007-09 financial crisis in a GVAR model

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2010
  • Details

Politics and monetary policy

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2010
  • Details

Monetary policy shocks and portfolio choice

1 edition

  • Centre for Economic Policy Research
  • 2010
  • Details

Macroprudential policy and central bank communication

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2010
  • Details

Monetary policy in the media

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2011
  • Details

Capital flows, push versus pull factors and the global financial crisis

1 edition

  • Centre for Economic Policy Research
  • 2011
  • Details

130 years of fiscal vulnerabilities and currency crashes in advanced economies

1 edition

  • Centre for Economic Policy Research
  • 2011
  • Details

China's dominance hypothesis and the emergence of a tri-polar global currency system

1 edition

  • Centre for Economic Policy Research
  • 2011
  • Details

Capital controls and foreign exchange policy

1 edition

  • Centre for Economic Policy Research
  • 2012
  • Details

The scapegoat theory of exchange rates : the first tests

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2012
  • Details

Liquidity, risk and the global transmission of the 2007-08 financial crisis and the 2010-11 sovereign debt crisis

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2012
  • Details

Capital controls and macroprudential measures : what are they good for?

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2014
  • Details

Drivers of structural change in cross-border banking since the global financial crisis

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • 2014
  • Details

Bubble thy neighbor : portfolio effects and externalities from capital controls

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • Details

The pricing of sovereign risk and contagion during the European sovereign debt crisis

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • Details

Monetary policy, bank bailouts and the sovereign-bank risk nexus in the Euro area

1 edition

  • Centre for Economic Policy Research
  • Details

Euro area government bonds : integration and fragmentation during the sovereign debt crisis

(Contributor)

1 edition

  • Centre for Economic Policy Research
  • Details

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