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Households financial portfolio choices: a comparison between France and Germany (1978-2009) Avouyi Dovi S., Borgy V., Pfister C., Scharnagl M., Sedillot F.
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Einige Anmerkungen zum Wesen der Deflation aus Sicht der Finanzstabilität Bleich D., Bleich T., Fendel R.
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Mitgliederschwund und Überalterung der Parteien: Prognose der Mitgliederzahlen bis 2040. Dose N., Fischer A.-K.
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The transmission of US financial stress: Evidence for emerging market economies Fink F., Schüler Y.
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Are insurers SIFIs? A MGARCH model to measure interconnectedness Podlich N., Wedow M.
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Does the euro dominate Central and Eastern European money markets? Kadow A., Cerrato M., MacDonald R., Straetmans S.
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The Two-Sided Effect of Financial Globalization on Output Volatility Meller B.
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What determines the dynamics of absolute excess returns on stock markets? Kurz C., Kurz-Kim J.-R.
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Monetary Policy and Stock Market Volatility Bleich D., Fendel R., Rülke J.-C.