Latest issue

02 May 2018
2018, Volume 71 - Issue 2

SOME INTERNATIONAL FINANCIAL CONTRIBUTIONS: EMPIRICAL RESULTS AND POLICY IMPLICATIONS

Main topics:

Assessing Portfolio Market Risk in the BRICS Economies: Use of Multivariate GARCH Models

Bank Competition, Risk Concentration and Risk-taking in the UAE Banking Industry

Linear and Nonlinear Attractors in Purchasing Power Parity

Direct and Indirect Forecasting of Cross Exchange Rates

Does the Expectation Hypothesis of the Term Structure Hold in Korea after the Financial Crisis? Some Empirical Evidence (1999-2017)

Contents

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Economia Internazionale
/ International Economics

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Genoa Chamber of Commerce
Economia Internazionale / International Economics

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Archive of the Review

In this section you will find all issues of the review. From digitized numbers of 1970 until the latest years of the journal.

Previous Issues (abstracts, 2010-2015)

2018, Volume 71 - Issue 101 February 2018

2017, Volume 70 - Issue 420 October 2017

2017, Volume 70 - Issue 301 August 2017

2017, Volume 70 - Issue 202 May 2017

2017, Volume 70 - Issue 101 February 2017

2016, Volume 69 - Issue 413 October 2016

2016, Volume 69 - Issue 301 August 2016

2016, Volume 69 - Issue 206 May 2016

2016, Volume 69 - Issue 123 February 2016