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The Real Effects of Financial (Dis)Integration: A Spatial Equilibrium Analysis of Europe

https://doi.org/10.2139/ssrn.2743909
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20/20 checkable references clean · checked 2026-08-27

Every reference with a DOI in the deposited reference list resolved to a known work in Crossref or DataCite at the dated check, and none carried a retraction, withdrawal, or removal notice.

2 without a DOI — not checked. A reference deposited without a DOI is never matched by title or guessed at; it stays outside the checked set, and this line discloses that.

The 20 checked references that resolve
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The Great Trade Collapse of 2008–09: An Inventory Adjustment?
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The geography of trade in goods and asset holdings
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International Real Business Cycles
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Bank Regulation and Supervision in 180 Countries from 1999 to 2011
resolves10.5089/9781451863291.001
The External Wealth of Nations Mark II
resolves10.3386/w12697
Is the International Diversification Potential Diminishing? Foreign Equity Inside and Outside the US
resolves10.1016/b978-0-444-52980-0.00007-4
Numerical Methods for Large-Scale Dynamic Economic Models
resolves10.1016/j.jinteco.2015.02.001
Banking across borders
resolves10.1257/aer.90.1.30
Collateral Damage: Effects of the Japanese Bank Crisis on Real Activity in the United States
resolves10.1257/aer.98.2.535
A Century of Global Equity Market Correlations
resolves10.1257/aer.98.5.1766
The Costs of Remoteness: Evidence from German Division and Reunification
resolves10.1111/j.1540-6261.2010.01555.x
Does Credit Competition Affect Small‐Firm Finance?
resolves10.1787/5kghwnhkkjs8-en
Macroeconomic Impact of Basel III
resolves10.1111/j.1540-6261.2009.01472.x
Presidential Address: Sophisticated Investors and Market Efficiency
resolves10.3386/w3566
Tastes and Technology in a Two-Country Model of the Business Cycle: Explaining International Comovements
resolves10.1111/geer.12039
Sovereign Default Risk and Banks in a Monetary Union
resolves10.1007/bf01584249
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The 2 references without a DOI — listed, not checked
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no DOI — not checkedcreates a dataset of capital control restrictions on both inflow and outflows of 10 categories of assets for 100 countries over the period of 1995-2013. The figure reports the overall restrictions index over the last 20 years in the 14 European Countries in our sample for which Fern�ndez et al. (2015) (FRU) report their measure. Luxembourg is not in the dataset of
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