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1. A small open economy with the Balassa-Samuelson effect

2. Agent-based risk assessment model of the European banking network

3. Announced regime switch: optimal policy for transition period

4. Assessing inflation persistence: micro evidence on an inflation targeting economy

5. Banking crises and reversals in financial reforms

7. Credit ratings and their information value: evidence from the recent financial crisis

8. Credit rationing and public support of commercial credit

9. Decision-making in the household and material deprivation

10. Determinants of the choice of exchange rate regime in resource-rich countries