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John Beirne
John Beirne
Principal Economist, Macroeconomics Research Division, Asian Development Bank
Adresse e-mail validée de adb.org
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The pricing of sovereign risk and contagion during the European sovereign debt crisis
J Beirne, M Fratzscher
Journal of international Money and Finance 34, 60-82, 2013
7252013
Volatility spillovers and contagion from mature to emerging stock markets
J Beirne, GM Caporale, M Schulze‐Ghattas, N Spagnolo
Review of International Economics 21 (5), 1060-1075, 2013
3172013
Global and regional spillovers in emerging stock markets: A multivariate GARCH-in-mean analysis
J Beirne, GM Caporale, M Schulze-Ghattas, N Spagnolo
Emerging markets review 11 (3), 250-260, 2010
2782010
The impact of the Eurosystem's covered bond purchase programme on the primary and secondary markets
J Beirne, L Dalitz, J Ejsing, M Grothe, S Manganelli, F Monar, B Sahel, ...
ECB Occasional Paper, 2011
2122011
Exchange rate pass-through in central and eastern European EU Member States
J Beirne, M Bijsterbosch
Journal of Policy Modeling 33 (2), 241-254, 2011
1582011
Feeling the heat: Climate risks and the cost of sovereign borrowing
J Beirne, N Renzhi, U Volz
International Review of Economics & Finance 76, 920-936, 2021
1532021
Climate change and sovereign risk
U Volz, J Beirne, N Ambrosio Preudhomme, A Fenton, E Mazzacurati, ...
SOAS University of London, Asian Development Bank Institute, World Wide Fund …, 2020
1152020
Macroprudential policies, capital flows, and the structure of the banking sector
J Beirne, C Friedrich
Journal of International Money and Finance 75, 47-68, 2017
112*2017
COVID‐19, asset markets and capital flows
J Beirne, N Renzhi, E Sugandi, U Volz
Pacific Economic Review 26 (4), 498-538, 2021
104*2021
Interdependence and contagion in global asset markets
J Beirne, J Gieck
Review of International Economics 22 (4), 639-659, 2014
992014
Volatility spillovers of unconventional monetary policy to emerging market economies
A Apostolou, J Beirne
Economic Modelling 79, 118-129, 2019
80*2019
The EONIA spread before and during the crisis of 2007–2009: The role of liquidity and credit risk
J Beirne
Journal of International Money and Finance 31 (3), 534-551, 2012
692012
Bracing for the typhoon: Climate change and sovereign risk in Southeast Asia
J Beirne, N Renzhi, U Volz
Sustainable Development 29 (3), 537-551, 2021
622021
What matters for private investment in renewable energy?
D Azhgaliyeva, J Beirne, R Mishra
Climate Policy 23 (1), 71-87, 2023
54*2023
Global oil prices and the impact of China
J Beirne, C Beulen, G Liu, A Mirzaei
China Economic Review 27, 37-51, 2013
482013
The performance impact of firm ownership transformation in China: mixed ownership vs. fully privatised ownership
GS Liu, J Beirne, P Sun
Journal of Chinese Economic and Business Studies 13 (3), 197-216, 2015
43*2015
Financial cycles in asset markets and regions
J Beirne
Economic Modelling 92, 358-374, 2020
192020
The side effects of national financial sector policies: framing the debate on financial protectionism
R Beck, J Beirne, F Paternò, J Peeters, J Ramos-Tallada, C Rebillard, ...
ECB Occasional Paper, 2015
192015
Educational inputs and outcomes before the transition from communism
J Beirne, NF Campos
Economics of Transition 15 (1), 57-76, 2007
192007
Weather-related disasters and inflation in the euro area
J Beirne, Y Dafermos, A Kriwoluzky, N Renzhi, U Volz, J Wittich
Journal of Banking & Finance 169, 107298, 2024
14*2024
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