Archive


Zoran Mastilo, Filip Barić, Adis Puška
Challenges and Opportunities of Implementing Digital Payment Systems in Southeast European Countries

Hatem Al-Hindawi, Ala’ Bashayreh, Samer Abdelhadi
The Alignment of Monetary Policy in Foreign Countries with the Federal Reserve Bank’s Monetary Policy: Evidence from Fixed and Floating Exchange Rate Regimes

Sevasti–Maria Karakosta, Nikolaos A. Kyriazis
Can Stablecoins Prevent Price Increases and Financial Instability? An Economic and Legal Perspective

Nezir Köse, Ali Talih Süt
An Implicit Credibility Index for the Central Banks that Implemented Inflation-Targeting Regime

Ljubomir Obradović, Zoran Grubišić
The Impact of Monetary Policy on Economic Growth in SEE Countries: A Multivariate Approach

Salma Gallas, Houssam Bouzgarrou, Montassar Zayati
Analyzing Macroeconomic Variables and Stress Testing Effects on Credit Risk: Comparative Analysis of European Banking Systems

Bilal Ahmed Memon, Gulhayo Nusratova
Do Financial Markets and Safe-Haven Assets Affect CBDCs? Examining the Nexus between CBDC, Stock Index, Metal Commodity Futures, Oil Price, and Volatility

Any Flore Djoumessi Djoukouo, Knut Lehre Seip
Assessment of the Relationship between Central Bank Interest Rate, Inflation and Growth in Central Africa Countries with the New Leading-Lagging Method

Tuğba EYCEYURT BATIR, Adem BABACAN
The Relationship between Asset Size and Performance in Islamic Banks: An Application with SWARA-AHP-COPRAS Methods in the Covid-19 Era


Ricardo Ramalhete Moreira
A Note on Structural Uncertainty, Flexibility and Monetary Policy Credibility: An Inflation Targeting Approach for the Post-Covid Period

Paresh Kumar Narayan
Editorial: The 13th BMEB International Conference Special Issue of Journal of Central Banking, Theory and Practice


Shikha Singh and Mandira Sarma
Financial Structure and Stability: An Empirical Exploration

Bayront Yudit Rumondor and Pakasa Bary
Capital Flows and Bank Risk-Taking Behavior: Evidence From Indonesia

Tai-Hock Kuek, Chin-Hong Puah and M. Affendy Arip
Financial Vulnerability and Economic Dynamics in Malaysia

Bijoy Rakshit and Samaresh Bardhan
Does Bank Competition Enhance or Hinder Financial Stability? Evidence from Indian Banking


Rani Wijayanti and Sagita Rachmanira
Early Warning System for Government Debt Crisis in Developing Countries


Dat Thanh Nguyen and Viet Anh Hoang
Monetary Consequences of Fiscal Stress in a Game Theoretic Framework


Aditya Anta Taruna, Cicilia Anggadewi Harun and Raquela Renanda Nattan
Macroprudential Liquidity Stress Test: An Application to Indonesian Banks


Teck-Lee Wong, Wee-Yeap Lau and Tien-Ming Yip
Cashless Payments and Economic Growth: Evidence from Selected OECD Countries


Berry A. Harahap, Pakasa Bary and Anggita Cinditya M. Kusuma
The Determinants of Indonesia’s Business Cycle


Zulquar Nain and Bandi Kamaiah
Uncertainty and Effectiveness of Monetary Policy: A Bayesian Markov Switching-VAR Analysis


Muhammad Tahir, Haslindar Ibrahim, Abdul Hadi Zulkafli and Muhammad Mushtaq
Influence of Exchange Rate Fluctuations and Credit Supply on Dividend Repatriation Policy of U.S. Multinational Corporations

Nur Annisa Hasniawati, Eva R. Lase and Akhis R. Hutabarat
Indonesian Household Payment Choice: A Nested Logit Analysis