
Frank Strobel's
Course & Research Material
Course material (now on
WebCT ):
-
International Macroeconomics & Financial Markets
- International
Economy
- Economics of Banking
- Economics of Financial Markets
Selected research papers (also at
IDEAS,
SSRN and
SelectedWorks):
-
Financial Fragility and Crisis Union in the Asia-Pacific Region (Global
Economy Journal, 9(2), March 2009)
-
Joining European Monetary Union: a real options perspective (Scottish
Journal of Political Economy, 54(1), February 2007)
-
Leaving EMU: a real options perspective (Applied Economics, 37(13), July
2005)
- Monetary
integration and inflation preferences: a real options analysis (European
Economic Review, 49(4), May 2005)
-
International tax arbitrage, financial parity conditions and preferential
capital gains taxation (Quantitative Finance, 5(2), April 2005)
- Marriage and the value of waiting (Journal of Population Economics, 16(3),
August 2003)
- International tax
arbitrage, tax evasion and interest parity conditions (Research in
Economics, 55(4), December 2001)
-
When to leave a monetary union? (Revue Economique, 52(2), March 2001)
- Does uncertainty matter for loan
charge-offs? (with
L. Lepetit & D.G. Dickinson), mimeo.
- Uncertainty and Switching in
the Mortgage Market (with C. Gondat-Larralde), mimeo.
Contact details:
Dr Frank Strobel
Department of
Economics
University of Birmingham
Birmingham B15 2TT, UK
Office hours (during term time): Monday & Tuesday
1-2 pm
Email:
(CV &
pic )
Last modified on
10/12/2009 by FS.