The Euro area and the financial crisis

Cited by

  1. Genov, N.: In: The Eurozone crisis: conditions and effects of risk management. Megatrend Revija = Megatrend Review, Vol 10, No. 4, 2013. p. 158.
  2. Kundera, J.: In: Euro crisis and the EMU institutional reforms. Equilibrium, Vol. 8, No. 1, 2013. p. 30.
  3. Samborska, M. – Orlowska, W.: In: Union proposals for regulating measures to counter the crisis. Europe of founding fathers: investment in the common future. Olsztyn: University of Warmia and Mazury, 2013, p. 94.
  4. Wolski, R. – Zaleczna, M.: In: Analysis of the financial situation of medium-sized and large enterprises of the construction sector in selected Central European coutries. Real Estate Management and Valuation, Vol. 22, No. 3, 2014. p. 83.
  5. Wanna, J. – Lindquist, E. A. – de Vries, J.: The Global Financial Crisis and its Budget Impacts in OECD Nations: Fiscal Responses and Future Challenges. Edward Elgar Publishing, 2015, 368 pp.
  6. Mazurek, J.: A Comparison Of GDP Growth Of European Countries During 2008-2012 From The Regional And Other Perspectives. Comparative Economic Research, Volume 18, Number 3, 2015
  7. Anton, Roman, A.: Monetary Development and Transmission in the Eurosystem, MPRA Paper 67323, University Library of Munich, Germany, October 2015.
  8. Su, Hungdah. 2016. “Why Did EU’S Bailout to Greece Fail?“ In: Economic Analysis of Law Review. Vol. 7, No. 2, 417-442