Naoyuki Yoshino
#162,941
Most Influential Person Now
Japanese economist
Naoyuki Yoshino's AcademicInfluence.com Rankings
Naoyuki Yoshinoeconomics Degrees
Economics
#3519
World Rank
#3987
Historical Rank
Monetary Economics
#102
World Rank
#106
Historical Rank
Macroeconomics
#322
World Rank
#341
Historical Rank

Download Badge
Economics
Naoyuki Yoshino's Degrees
- Bachelors Economics University of Tokyo
Similar Degrees You Can Earn
Why Is Naoyuki Yoshino Influential?
(Suggest an Edit or Addition)Naoyuki Yoshino's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- The way to induce private participation in green finance and investment (2019) (297)
- Sustainable Solutions for Green Financing and Investment in Renewable Energy Projects (2020) (166)
- The basket-peg, dollar-peg, and floating: A comparative analysis (2001) (162)
- Energy and Food Security: Linkages through Price Volatility (2019) (145)
- Covid-19 and Optimal Portfolio Selection for Investment in Sustainable Development Goals (2020) (105)
- Importance of Green Finance for Achieving Sustainable Development Goals and Energy Security (2019) (99)
- Major Challenges Facing Small and Medium-Sized Enterprises in Asia and Solutions for Mitigating Them (2016) (95)
- Modelling the social funding and spill-over tax for addressing the green energy financing gap (2019) (92)
- Analysis of Credit Ratings for Small and Medium-Sized Enterprises: Evidence from Asia (2015) (87)
- Response of macro variables of emerging and developed oil importers to oil price movements (2016) (72)
- An Estimation of the Impact of Oil Shocks on Crude Oil Exporting Economies and Their Trade Partners (2013) (72)
- Economic Impacts of Carbon Tax in a General Equilibrium Framework: Empirical Study of Japan (2022) (65)
- Asian Development Bank Institute (2019) (61)
- Optimal credit guarantee ratio for small and medium-sized enterprises’ financing: Evidence from Asia (2019) (57)
- Analyzing the Characteristics of Green Bond Markets to Facilitate Green Finance in the Post-COVID-19 World (2021) (56)
- Monetary Policies and Oil Price Determination: An Empirical Analysis (2014) (53)
- Macroeconomic Effects of Oil Price Fluctuations on Emerging and Developed Economies in a Model Incorporating Monetary Variables (2015) (48)
- Trade linkages and transmission of oil price fluctuations (2017) (47)
- Monetary policy and oil price fluctuations following the subprime mortgage crisis (2014) (46)
- Alternatives to Private Finance: Role of Fiscal Policy Reforms and Energy Taxation in Development of Renewable Energy Projects (2018) (44)
- Why Is Green Finance Important? (2019) (44)
- An Impact Evaluation of Investment in Infrastructure: The Case of the Railway Connection in Uzbekistan (2015) (43)
- Energy insecurity in Asia: A multi-dimensional analysis (2019) (43)
- THE ENERGY–POLLUTION–HEALTH NEXUS: A PANEL DATA ANALYSIS OF LOW- AND MIDDLE-INCOME ASIAN COUNTRIES (2020) (42)
- Analytical framework on credit risks for financing small and medium-sized enterprises in Asia (2015) (38)
- The Current State of the Japanese Economy and Remedies (2002) (35)
- Impact of the Fukushima Nuclear Disaster on the Oil-Consuming Sectors of Japan (2017) (34)
- An Analysis of Challenges Faced by Japan’s Economy and Abenomics (2014) (33)
- The Role of Infrastructure in Economic Development ∗ † ( Preliminary Version ) (2000) (33)
- Effectiveness of the Easing of Monetary Policy in the Japanese Economy, incorporating Energy Prices (2014) (33)
- Pro-cyclicality of the Basel Capital Requirement Ratio and Its Impact on Banks∗ (2011) (31)
- Global imbalances and the development of capital flows among Asian countries (2012) (31)
- The Role of SMES in Asia and Their Difficulties in Accessing Finance (2018) (31)
- An 'Expanded Equation' Approach to Weak-Exogeneity Tests in Structural Systems and a Monetary Application (1990) (30)
- Three Arrows of 'Abenomics' and the Structural Reform of Japan: Inflation Targeting Policy of the Central Bank, Fiscal Consolidation, and Growth Strategy (2014) (30)
- LEVERAGING ON ENERGY SECURITY TO ALLEVIATE POVERTY IN ASIAN ECONOMIES (2022) (29)
- Empirical analysis of factors influencing the price of solar modules (2018) (29)
- Small and Medium-Sized Enterprise (SME) Credit Risk Analysis Using Bank Lending Data: An Analysis of Thai SMEs (2016) (28)
- Financing Infrastructure in Asia and the Pacific: Capturing Impacts and New Sources (2018) (27)
- Hometown Investment Trust Funds: An Analysis of Credit Risk (2014) (27)
- Declined effectiveness of fiscal and monetary policies faced with aging population in Japan (2017) (26)
- The Impact of Monetary and Tax Policy on Income Inequality in Japan (2019) (26)
- Financial Education in Asia: Assessment and Recommendations (2015) (26)
- Financial Literacy in Japan: Determinants and Impacts (2017) (25)
- On the economic interdependence between China and Japan: Challenges and possibilities (2009) (25)
- Determinants of the Russia and Asia–Pacific energy trade (2021) (25)
- Overview of Financial Inclusion, Regulation, and Education (2016) (25)
- Postal Savings and Fiscal Investment in Japan: The Pss and the Filp (2003) (25)
- Causes and Remedies of the Japan's Long‐Lasting Recession: Lessons for China (2016) (24)
- Response of Stock Markets to Monetary Policy: The Tehran Stock Market Perspective (2014) (24)
- The Role of Public Works in the Political Business Cycle and the Instability of the Budget Deficits in Japan (2010) (24)
- International Remittances and Poverty Reduction: Evidence from Asian Developing Countries (2017) (23)
- The 'Highway Effect' on Public Finance: Case of the Star Highway in the Philippines (2015) (21)
- Impact of infrastructure on tax revenue: Case study of high-speed train in Japan (2017) (20)
- Which Side of the Economy Is Affected More by Oil Prices: Supply or Demand? (2013) (20)
- Choices of Optimal Monetary Policy Instruments Under the Floating and the Basket-Peg Regimes (2012) (20)
- The Effectiveness of the Negative Interest Rate Policy in Japan (2017) (20)
- Decline of oil prices and the negative interest rate policy in Japan (2017) (20)
- Alternatives to Bank Finance: Role of Carbon Tax and Hometown Investment Trust Funds in Developing Green Energy Projects in Asia (2017) (19)
- Impact of World Oil Prices on an Energy Exporting Economy Including Monetary Policy (2018) (19)
- The necessity of financial inclusion for enhancing the economic impacts of remittances (2021) (19)
- The Postal Savings System, Fiscal Investment and Loan Program, and Modernization of Japan’s Financial System (2000) (19)
- The Background of Hometown Investment Trust Funds (2013) (19)
- Determinants of international remittance inflow in Asia-Pacific middle-income countries (2020) (19)
- Changes in Economic Effect of Infrastructure and Financing Methods (2016) (19)
- Social funding of green financing: An application of distributed ledger technologies (2020) (19)
- Exogeneity of world oil prices to the Russian Federation’s economy and monetary policy (2018) (18)
- Dynamic Transition of Exchange Rate Regime in China (2014) (17)
- Impact of Infrastructure Investment on Tax: Estimating Spillover Effects of the Kyushu High-Speed Rail Line in Japan on Regional Tax Revenue (2016) (17)
- Hometown Investment Trust Funds (2013) (17)
- Optimal Credit Guarantee Ratio for Asia (2016) (17)
- Monetary Policy, Oil Prices and the Real Macroeconomic Variables: An Empirical Survey on China, Japan and the United States (2016) (16)
- Japan's Lost Decade: Lessons for Other Economies (2015) (16)
- Analyzing the factors influencing the demand and supply of solar modules in Japan – Does financing matter (2020) (16)
- A Comparative Analysis of Exchange Rate Regimes (2003) (15)
- Role of the Credit Risk Database in Developing SMEs in Japan: Lessons for the Rest of Asia (2015) (15)
- SMEs in Developing Asia: New Approaches to Overcoming Market Failures (2016) (15)
- Optimal branching strategy, local financial development, and SMEs’ performance (2020) (15)
- Economic Impacts of Oil Price Fluctuations in Developed and Emerging Economies (2014) (14)
- A Comprehensive Evaluation Framework on the Economic Performance of State-Owned Enterprises (2019) (14)
- Power purchase agreements with incremental tariffs in local currency: An innovative green finance tool (2021) (14)
- Central and Local Government Relations in Asia (2017) (13)
- The Stabilization of an Open Economy with Capital Controls: An Analysis Using Malaysian Data* (2003) (13)
- Navigating Low-Carbon Finance Management at Banks and Non-Banking Financial Institutions (2019) (12)
- The sovereign debt crisis: why Greece, but not Japan? (2014) (12)
- Economic Impacts of Oil Price Fluctuations in Developed and Developing Economies (2016) (12)
- Japanese financial service firms in East and Southeast Asia: Location pattern and strategic response in changing economic conditions (2009) (12)
- WINDOW GUIDANCE BY THE BANK OF JAPAN: WAS LENDING CONTROLLED? (1999) (12)
- Quality infrastructure and natural disaster resiliency: A panel analysis of Asia and the Pacific (2021) (11)
- A model for calculating optimal credit guarantee fee for small and medium-sized enterprises (2020) (11)
- Introductory Remarks: What’s Behind the Recent Oil Price Drop? (2016) (11)
- Performance Differential between Private and State-owned Enterprises: An Analysis of Profitability and Solvency (2020) (11)
- MACROECONOMIC VOLATILITY UNDER HIGH ACCUMULATION OF GOVERNMENT DEBT: LESSONS FROM JAPAN (2012) (11)
- Empirical Analysis of Oil Price Determination Based on Market Quality Theory (2013) (11)
- Aging Population and its Impacts on Fiscal Sustainability (2019) (11)
- The Housing Challenge in Emerging Asia: Options and Solutions (2016) (10)
- Volatility Linkages between Energy and Food Prices: Case of Selected Asian Countries (2018) (10)
- Performance Differential Between Private and State-Owned Enterprises: An Analysis of Profitability and Leverage (2019) (10)
- Estimating Dual Deposit Insurance Premium Rates and Forecasting Non-Performing Loans: Two New Models (2015) (10)
- Assessment of the channels of transmission of oil price fluctuations to the economy (2018) (10)
- SME Credit Risk Analysis Using Bank Lending Data: An Analysis of Thai SMEs (2015) (9)
- Japan’s Lost Decade: Lessons for Asian Economies (2017) (9)
- Financial Literacy and Fintech Adoption in Japan (2020) (9)
- Greenness Index: IPO performance and portfolio allocation (2021) (9)
- Explicit and Implicit Analysis of Infrastructure Investment: Theoretical Framework and Empirical Evidence (2016) (9)
- Default risks, moral hazard and market-based solution: Evidence from renewable energy market in Bangladesh (2020) (8)
- Monetary policy and the oil market (2016) (8)
- Demystifying Rising Inequality in Asia (2019) (8)
- Achieving Energy Security in Asia (2019) (8)
- Dynamic Analysis of the Exchange Rate Regime: Policy Implications for Emerging Countries in East Asia (2015) (8)
- The Effectiveness of Japan's Negative Interest Rate Policy (2017) (8)
- Change in the Flow of Funds and the Fiscal Rules Needed for Fiscal Stabilization (2013) (8)
- Financial Inclusion, Regulation, and Education: Asian Perspectives (2017) (8)
- Assessment of the Trade Integration Pattern Between the Russian Federation and East/Southeast Asian Economies Using the Panel Gravity Framework* (2020) (8)
- From Window Guidance to Interbank Rates: Tracing the Transition of Monetary Policy in Japan and China (2018) (8)
- Routledge Handbook of Banking and Finance in Asia (2018) (7)
- Fair premium rate of the deposit insurance system based on banks’ creditworthiness (2019) (7)
- Land Acquisition and Infrastructure Development through Land Trust Laws: A Policy Framework for Asia (2018) (6)
- FINANCIAL INCLUSION, FINANCIAL STABILITY AND INCOME INEQUALITY: INTRODUCTION (2017) (6)
- Dynamic Effect of Change in Exchange Rate System -From the Fixed Exchange Rate Regime to the Basket-peg or Floating Regime (2011) (6)
- Exchange rate regime switching in Malaysia and Singapore in response to China’s move to a basket peg: A DSGE analysis (2016) (6)
- Quality Infrastructure Investment: Ways to Increase the Rate of Return for Infrastructure Investments (2019) (6)
- Unconventional monetary policy and income disparity in an aging society (2021) (6)
- The Optimal Basel Capital Requirement to Cope with Pro-cyclicality: A Theoretical Approach * (2009) (6)
- The Basel Capital Requirement, Lending Interest Rate, and Aggregate Economic Growth: An Empirical Study of Viet Nam (2019) (5)
- Trading and Ordering Patterns of Market Participants in High Frequency Trading Environment: Empirical Study in the Japanese Stock Market (2018) (5)
- Regional Economic Integration in Asia: Challenges and Recommended Policies (2020) (5)
- Role of SMEs in Asia and the financing challenges they face (2019) (5)
- Water Insecurity and Sanitation in Asia (2019) (5)
- The COVID-19 Crisis: Policy Recommendations for Japan (2020) (5)
- Remedies for mitigating Asian SMEs’ access-to-finance difficulties (2018) (5)
- Attract Private Financing to Infrastructure Investment by Injecting Spillover Tax Revenues (2017) (5)
- Avoiding the Middle-income Trap in Asia: The Role of Trade, Manufacturing, and Finance (2018) (5)
- Adjustments of Capital Account Restrictions and Exchange Rate Regimes in East Asia (2015) (5)
- Housing Policies for Asia: A Theoretical Analysis by Use of a Demand and Supply Model (2015) (5)
- Enhancing Financial Connectivity Between Asia and Europe: Implications for Infrastructure Convergence Between the Two Regions* (2020) (5)
- A comprehensive method for credit risk assessment of small and medium-sized enterprises based on Asian data (2018) (5)
- International comparison of bubbles and bubble indicators (2014) (5)
- Unlocking SME Finance in Asia (2019) (5)
- Local Financial Development, Access to Credit and SMEs’ Performance: Evidence From Bangladesh (2018) (4)
- Impact of Quantitative Easing and Tax Policy on Income Inequality: Evidence from Japan (2018) (4)
- Response of Stock Markets to Monetary Policy: An Asian Stock Market Perspective (2014) (4)
- Remittance Inflows, Financial Inclusion, and Economic Development: An Empirical Analysis of the World Sample (2019) (4)
- Promoting Better Lifetime Planning Through Financial Education (2016) (4)
- A NOTE ON POPULATION AGING AND EFFECTIVENESS OF FISCAL POLICY (2020) (4)
- ADBI Working Paper Series THE ENERGY–POLLUTION–HEALTH NEXUS: A PANEL DATA ANALYSIS OF LOW- AND MIDDLE-INCOME ASIAN NATIONS (2020) (4)
- Causes and Remedies for Japan's Long-Lasting Recession: Lessons for the People's Republic of China (2015) (4)
- Central and Local Government Relations in Asia: Achieving Fiscal Sustainability (2017) (4)
- Determinants of International Remittance Inflows in Middle-Income Countries in Asia and the Pacific (2019) (4)
- Series SOLUTIONS FOR SMALL AND MEDIUM-SIZED ENTERPRISES ’ DIFFICULTIES IN ACCESSING FINANCE : ASIAN EXPERIENCES (2017) (4)
- Which Nonlinearity in the Phillips Curve ? (2007) (4)
- High-quality infra structure and land acquisition for infrastructure development through land trusts (2019) (4)
- The Response of Macro Variables of Emerging and Developed Oil Importers to Oil Price Movements (2015) (4)
- Deciphering the Message in Japanese Deflation Dynamics (2004) (4)
- Monetary Stabilization with Interest Rate Instruments in Japan: A Linear Quadratic Control Analysis (1992) (4)
- A Simulation of the Macroeconomic Impact of ODA with the Debt Factor: The Philippine Experience (1995) (3)
- Identification of Systemically Important Financial Institutions and Implications for Financial Architecture in Korea (2013) (3)
- Dynamic Transition of the Exchange Rate Regime in the People's Republic of China (2014) (3)
- Russian Federation–East Asia Liquefied Natural Gas Trade Patterns and Regional Energy Security (2019) (3)
- Japan’s Lost Decade: Causes and Remedies (2017) (3)
- Optimal Fiscal Policy Rule for Achieving Fiscal Sustainability: A Japanese Case Study (2015) (3)
- Financing infrastructure using floating-interest-rate infrastructure bond (2021) (3)
- ENERGY INSECURITY, RENEWABLE ENERGY AND ECONOMIC GROWTH (2020) (3)
- The Implications of Ultra-Low and Negative Interest Rates for Asia (2018) (3)
- Global Shocks and the New Global and Regional Financial Architecture: Asian Perspectives (2018) (3)
- Credit Risk Reduction Effect on Small and Medium-sized Enterprise Finance Through the use of Bank Account Information (2018) (3)
- How Did Monetary Policy Inflate Oil Prices Following the Subprime Mortgage Crisis (2016) (3)
- Dynamic Effect of a Change in the Exchange Rate System: From a Fixed Regime to a Basket-Peg or a Floating Regime (2015) (3)
- Dynamic Shift to a Basket-Peg or Floating Regime in East Asian Countries in Response to the People's Republic of China's Transition to a New Exchange Rate Regime (2015) (3)
- Fintech for Asian SMEs (2019) (3)
- Financial Inclusion, Financial Regulation, and Financial Education in Asia (2016) (3)
- Three Arrows of “Abenomics” and the Further Remedy for the Japanese Economy (2017) (3)
- Utilising Green Finance for Sustainability: Empirical Analysis of the Characteristics of Green Bond Markets (2021) (3)
- Body Physical Measurement Using Kinect for Vitual Dressing Room (2017) (3)
- Comparison of Static and Dynamic Analyses on Exchange Rate Regimes in East Asia (2015) (3)
- Greenness, mood, and portfolio allocation: A cross-country analysis (2021) (2)
- Optimal fiscal policy rule for achieving fiscal sustainability: the Japanese case (2019) (2)
- Decreased Effectiveness of Fiscal and Monetary Policies in Japan's Aging Society (2017) (2)
- Comment on “Estimating Non- K eynesian Effects for J apan” (2012) (2)
- INTRODUCTION: WAYS TO ACHIEVE GREEN ECONOMIC RECOVERY AND MITIGATE GREENHOUSE GASES IN THE POST-COVID-19 ERA (2022) (2)
- Dynamic Effects of Changes in the Exchange Rate System (2016) (2)
- ADBI Working Paper Series EFFECTS OF INFRASTRUCTURE PROJECTS ON GOVERNMENT REVENUE: THE CASE OF EXPRESSWAY PROJECTS IN THE NORTHERN MIDLAND AND MOUNTAINOUS AREA OF VIET NAM (2020) (2)
- Framework for analysis of the instrument problem in monetary theory (1982) (2)
- Japan's Monetary Policy Transition, 1955-2004 (2007) (2)
- HOUSEHOLD INCOME DYNAMICS IN A LOWER-INCOME SMALL OPEN ECONOMY: A COMPARISON OF BANKING AND CROWDFUNDING REGIMES (2017) (2)
- Summary of General Discussion on Navigating Policy Responses at the National Level in the Midst of the Global Financial Crisis: The Experience of Indonesia (2009) (2)
- Gender and Corporate Success: An Empirical Analysis of Gender-Based Corporate Performance on a Sample of Asian Small and Medium-Sized Enterprises (2019) (2)
- Role of International Remittances as an Economic Instrument for Poverty Eradication in Line with Sustainable Development Goals (2020) (2)
- Innovative Financing for City Infrastructure Investment by Increasing the Rate of Return from Spillover Tax Revenues (2019) (2)
- Impact of Expansionary Monetary Policy on Crude Oil Prices (2016) (2)
- Establishment of the Credit Risk Database: Concrete Use to Evaluate the Creditworthiness of SMEs (2019) (2)
- Credit risk analysis of small and medium-sized enterprises based on Thai data (2018) (2)
- Energy Insecurity in Asia Challenges, Solutions, and Renewable Energy (2020) (2)
- 8. Global Financial Crisis and Policy Issues in Japan (2010) (2)
- Summary of General Discussion on “Pro-cyclicality of the Basel Capital Requirement Ratio and Its Impact on Banks” (2011) (2)
- Local government finance in Japan : Can irresponsible borrowing be avoided? (2004) (2)
- Economic Issues in Contemporary Japan: Money, Banking and Foreign Investment (2000) (2)
- Quality Infrastructure and Natural Disaster Resiliency (2019) (1)
- Finding stability in a time of prolonged crisis: Unconventional policy rules for Japan (2016) (1)
- Investment in Startups and Small Business Financing (2021) (1)
- Japan's new prime minister and the Postal Savings System (2001) (1)
- Inducing private finance to water supply and inland water transport using spillover tax revenues (2019) (1)
- How to Avoid Household Debt Overhang? An Analytical Framework and Analysis for India (2019) (1)
- Innovative Measures for Infrastructure Investments: Illustrating Land Trust Scheme and Spillover Effect (2019) (1)
- Quality Infrastructure Investment and Land Trust in the face of COVID19 crisis-G20 Insights (2020) (1)
- Trading and Ordering Patterns of Market Participants in High Frequency Trading Environment: Empirical Study in the Japanese Stock Market (2017) (1)
- An Empirical Analysis of Monetary Policy Reactions and Monetary Policy Instruments in Japan (1995) (1)
- Establishment of the Credit Risk Database (2019) (1)
- Empirical Analysis of Global Oil Price Determinants at the Disaggregated Level Over the Last Two Decades (2019) (1)
- A Model for Utilizing Spillover Taxes and Community-Based Funds to Fill the Green Energy Financing Gap in Asia (2018) (1)
- No. 54 (2000): Public Banking in Germany and Japan's Fiscal Investment and Loan Program: a Comparison (1999) (1)
- Japan’s Postwar Monetary Policies: Taylor Rules or Something Else? (2017) (1)
- Optimal Dynamic Path during the Transition of Exchange Rate Regime: Analysis of the People’s Republic of China (PRC), Malaysia, and Singapore (2017) (1)
- Exploring the relationship between energy prices and food prices (2020) (1)
- Solutions for SMEs’ difficulties in accessing finance: Asian experiences (2017) (1)
- Impact of the Fukushima Nuclear Disaster: Analysis on Japan’s Oil Consuming Sectors (2017) (1)
- Revisiting the Public Debt Stability Condition: Rethinking the Domar Condition (2020) (1)
- Session 3: Financial Inclusion and Financial Education (2015) (1)
- Economic Burden of Neurological Disorders in an Aging Society, the Example of Japan: A Panel Data Analysis (2020) (1)
- The Credit Guarantee System and Policy-based Finance for Small- and Medium-sized Enterprises and a Database of Small- and Medium-sized Enterprises (Japanese) (2015) (1)
- Determining the optimal structure of government debt in Indonesia (2015) (1)
- Unlocking Private Investment in Sustainable Infrastructure in Asia (2022) (1)
- Monetary Policy in the Japanese Economy Incorporating Energy Prices (2016) (1)
- Fiscal Policy Conditions for Government Budget Stability and Economic Recovery: Comparative Analysis of Japan and Greece (2018) (1)
- INTERNAL AND EXTERNAL DETERMINANTS OF HOUSING PRICE BOOM IN HONG KONG (2020) (1)
- How Does Population Aging Affect the Effectiveness of Monetary and Fiscal Policies (2019) (1)
- Quality infrastructure investment in the face of the Covid-19 crisis: Sustainability, profitability, and demand versus resilience-G20 Insights (2020) (1)
- High-Speed Rail Services in Asia (2019) (1)
- Implementing Land Trust in Bangladesh as a Strategy for Financing Infrastructure and Sustainable Land Management (2019) (1)
- Financing Infrastructure Investment Through Spillover Tax Revenue Sharing: Evidence from Some Asian Countries (2020) (1)
- Impacts of Universal Health Coverage: Financing, Income Inequality, and Social Welfare (2016) (1)
- Internal and External Determinants of Housing Price Booms in Hong Kong, China (2019) (1)
- Spillover Capture Financing for Infrastructure Projects: Implications for Asia (2020) (1)
- Quantities and Prices in China’s Monetary Policy Transmission From Window Guidance to Interbank Rates (2019) (1)
- Exchange Rate Policy in the Pacific: An Evaluation of Currency Basket Regimes (2017) (1)
- Land Acquisition in Asia (2019) (1)
- Trade and Exchange Rates: The Joint Declaration of the Macroeconomic Policy Authorities of TPP Countries (2019) (1)
- Dynamic Analysis of Exchange Rate Regimes: Policy Implications for Emerging Countries in Asia (2014) (1)
- Nonlinear tail dependence between the housing and energy markets (2020) (1)
- Improving the Government Debt Market Quality by Determining the Optimal Structure of Government Debt Portfolio (2013) (1)
- Summary of General Discussion on “Lessons from Thailand's Fiscal Policy” (2015) (0)
- Comments by Naoyuki Yoshino, on Gains from Trade Liberalization between Heterogeneous Countries: Implications for the Korea–Japan FTA (2016) (0)
- Book Notes (2004) (0)
- Modeling the Russian Federation - Asia and the Pacific Energy Trade (2019) (0)
- KNOWING THE UNKNOWNS – FRESH INSIGHTS FROM AN UNKNOWN STOCK MARKET (2022) (0)
- An Empirical Analysis of the Properties of Non-life Insurance Market in Japan and Its Economies of Scale (1994) (0)
- Comments by Jeffrey Frankel and Kiyohiko Nishimura; and Discussion (2002) (0)
- Conclusion (2019) (0)
- Summary of General Discussion on “Motivations for Bilateral Aid Allocation in Korea: Humanitarian, Commercial, or Diplomatic?” (2015) (0)
- An Empirical Analysis of the Changes in the Government Agencies and The Postal Savings System in Japan (2002) (0)
- Cost–Benefit Analysis of Spillover Tax Revenues of High-Speed Rail in Taipei,China (2023) (0)
- Introduction (2018) (0)
- BACK MATTER (2019) (0)
- A note on the optimal choice of monetary and fiscal policy (1982) (0)
- Summary of General Discussion on “Trade Environment Changes and the Expansion of Private Chinese Exports” (2013) (0)
- Summary of General Discussion on “Thailand: Post-Crisis Rebalancing” (2012) (0)
- Welfare and Competition under the Co‐Existence of Private Financial Institutions and Government Financial Institutions (1996) (0)
- Hard Pegs Versus Intermediate Currency Arrangements in the Pacific (2015) (0)
- ESG/Green Investment and Allocation of Portfolio Assets (2021) (0)
- Summary of General Discussion on Why Don't Asians Invest in Asia The Determinants of Cross-Border Portfolio Holdings (2009) (0)
- Assessment of Trade Integration Patterns Between the Russian Federation and East Asian Economies Using Panel-Gravity Framework (2019) (0)
- FRONT MATTER (2019) (0)
- How to Avoid Household Debt Overhang?: An Analytical Framework and Analysis for India (2020) (0)
- Summary of General Discussion on The Korean Economic Adjustment to the World Financial Crisis (2011) (0)
- Summary of General Discussion on “Re-balancing China: Linking Internal and External Reforms” (2011) (0)
- Financial Education for Effective Pension Management: Challenges and Solutions (2016) (0)
- The International Review of Financial Consumers (2020) (0)
- SMEs and carbon neutrality in ASEAN: the need to revisit sustainability policies (2023) (0)
- Public Debt Stability in the People’s Republic of China: Rethinking the Domar Condition and Its Bond Market Application (2021) (0)
- An Aggregate-Level Macro Model for the Indian Economy (2020) (0)
- Enhancing Financial Connectivity between Asia and Europe: Implications for Infrastructure Convergence between the Two Regions (2020) (0)
- Yoshiro Tsutsui, Financial Markets and Banking Business:Economic Analysis of Industrial Organization (1989) (0)
- Summary of General Discussion on “Economic Policy Shifts in Sri Lanka: The Post-Conflict Development Challenge” (2013) (0)
- Summary of General Discussion on “Inclusive Urban Employment: How Does City Scale Affect Job Opportunities for Different People?” (2015) (0)
- Necessity of Developing a Comprehensive Evaluation Framework for State-owned enterprises (2021) (0)
- Abenomics, Growth Strategy and SME Finance (2014) (0)
- Reforming the Fee Structure of Investment Trusts to Increase Demand (2017) (0)
- Combining environmental taxation, spill-over effects and community-based financing in development of renewable energy projects in Asia (2019) (0)
- The Optimal Exchange Rate System in a Model of Two Countries with the Rest of the World : A Comparative Analysis of the Fixed Exchange Rate, Basket-Peg and Flexible Exchange Rate Regimes (2004) (0)
- Summary of General Discussion on Financial Crisis American Style (2009) (0)
- Measuring Concentration in the Japanese Loan and Deposit Markets (2022) (0)
- Exploring Community-Based Financing Schemes to Finance Social Protection (2020) (0)
- Improving the Financing Needs, Credit Rating of SMEs Needs, Credit Rating of SMEs (2012) (0)
- HOW QUALITY INFRASTRUCTURE CAN BRING PRIVATE SECTOR FINANCE INTO INFRASTRUCTURE INVESTMENT TO RECOVER FROM THE COVID-19 CRISIS (2021) (0)
- International comparison of bubbles and bubble indicators (2013) (0)
- Fiscal Rules in a Time of Prolonged Crisis: Debt and Deficit Targeting in Japan (2013) (0)
- Comments by Naoyuki Yoshino, on RMB Bloc in East Asia: Too Early to Talk About It? (2018) (0)
- An Empirical Evidence and Proposal on the Spillover Effects of Information and Communication Technology Infrastructure in India (2022) (0)
- Role of Hometown Investment Trust Funds and Spillover Taxes in Unlocking Private-Sector Investment into Green Projects (2019) (0)
- Optimal Credit Guarantee Ratio: Evidence from Asia (2016) (0)
- Financial Inclusion and Financial Education----Japan's Experience and Its Lessons to Asian Countries (2014) (0)
- Impacts of Universal Health Coverage: A Micro-Founded Macroeconomic Perspective (2015) (0)
- Spillover Effects of Digital Infrastructure and Financing (2022) (0)
- COVID-19 Easing Monetary Policy and Expected Consequences of Credit Guarantee to SMEs (2021) (0)
- Financial Education: What Can It Achieve? Research, Good Practices, and Evidence (2016) (0)
- Innovative Finance for Technological Progress (2022) (0)
- Japanese Banks' Decision Making Process in SME Lending: An analysis of the SME database and the utilization of investment and trust funds for SME financing (Japanese) (2011) (0)
- Global Governance of Public Goods: Asian and European Perspectives 12th edition Sessions summaries (2015) (0)
- Three-Dimensional Evaluation of Pharyngeal Morphology in Bimaxillary Surgery with and without Horseshoe Osteotomy in Skeletal Class III Cases. (2021) (0)
- Exogeneity of world oil prices to the Russian Federation’s economy and monetary policy (2018) (0)
- Decline in Oil Prices and the Negative Interest Rate Policy in Japan (2016) (0)
- ADBI Working Paper Series QUALITY INFRASTRUCTURE AND NATURAL DISASTER RESILIENCY (2019) (0)
- General Discussion (2005) (0)
- Changing Behavior of Private Banks and Corporations and Monetary Policy in Japan (1995) (0)
- An Overview of the Issues and the Book (2019) (0)
- Economic Burden of Neurological Disorders in an Aging Society (Japan): A Panel Data Analysis (2020) (0)
- Summary of General Discussion on “Income Polarization in Asia” (2013) (0)
- ADBI Working Paper Series VOLATILITY LINKAGES BETWEEN ENERGY AND FOOD PRICES: CASE OF SELECTED ASIAN COUNTRIES (2018) (0)
- Summary of the General Discussion on “Monetary Policy Spillovers across the Pacific when Interest Rates Are at the Zero Lower Bound” (2016) (0)
- THE WIDER ECONOMIC IMPACTS OF TRANSPORTATION INFRASTRUCTURE (2020) (0)
- Financial Education in Japan: Challenges Presented by the Aging Population and Declining Birthrate (2016) (0)
- Introduction: Characteristics of Asian Financial Systems in Comparative Perspective (2018) (0)
- Summary of General Discussion on Firm Heterogeneity in the Choice of Offshoring: Evidence from Korean Manufacturing Firms (2010) (0)
- How to Avoid Household Debt Overhang? An Analysis for India (2019) (0)
- ADBI Working Paper Series DETERMINANTS OF INTERNATIONAL REMITTANCE INFLOWS IN MIDDLE- INCOME COUNTRIES IN ASIA AND THE PACIFIC (2019) (0)
- FRONT MATTER (2021) (0)
- Post-Pandemic Green Recovery in ASEAN (2023) (0)
- Summary of General Discussion on Indonesia's Slow Recovery after Meltdown by Iwan J. Azis (2008) (0)
- Green Bonds and Global Optimal Portfolio Allocation (2021) (0)
- Japan’s financial system and its challenges (2018) (0)
- Summary of General Discussion on “Improving the Lot of the Farmer: Development Challenges in Timor-Leste during the Second Decade of Independence” (2013) (0)
- Postal savings : reaching everyone in Asia (2018) (0)
- Impacts of Accelerated Depreciation and Government Loan Programs on Japanese Industrial Structure (1985) (0)
- Summary of General Discussion on A Comparative Analysis of China's and India's Recent Export Performances by Kaliappa Kalirajan and Kanhaiya Singh (2008) (0)
- Land Trust to Facilitate Development Through Land Transfer (2019) (0)
- The Spillover Effects of Water Supply Infrastructure Development: A Theoretical Model (2023) (0)
- Comments on “Overview of the Japanese Deficit Question” (2006) (0)
- Title An Empirical Analysis of Japanese Banking Behavior in a Period of Financial Instability (2021) (0)
- Attitudes Toward Land Acquisition in Indonesia (2019) (0)
- The sovereign debt crisis: why Greece, but not Japan? (2014) (0)
- Comments by Gordon de Brouwer, Kiyohiko G. Nishimura, and Juro Teranishi; and Discussion (2004) (0)
- ADBI Working Paper Series IMPACT OF FUKUSHIMA NUCLEAR DISASTER ON OIL-CONSUMING SECTORS OF JAPAN (2017) (0)
- The Impact of Intergenerational Transfers on Household Wealth Disparities in Japan and the United States (2016) (0)
- Target Audiences for Effective Financial Education (2016) (0)
- Summary of General Discussion on “How Effective Are Capital Controls in Asia?” (2012) (0)
- PAPER SERIES DP 2011-026 Dynamic Effect of Change in Exchange Rate System-Fr om the Fixed Exchange Rate Regime to the Basket-peg or Floating Regime (2011) (0)
- Understanding Fintech from a Macroeconomic Perspective (2021) (0)
- The Macroeconomic Effects of Fintech (2020) (0)
- Macroeconomic Impacts of Oil Price Fluctuations in a Trade Linked Case (2016) (0)
- Empirical Evalution of Corporate Restructuring (2003) (0)
- Comments by Lin See-Yan (2014) (0)
- Inducing Private Finance to Water Supply and Inland Water Supply and Inland Water Transport Using Spillover Tax Revenues (2019) (0)
- Summary of General Discussion on “International Stock Price Co-movement” (2013) (0)
- Summary of General Discussion on “Coping with Rising Inequality in Asia: How Effective Are Fiscal Policies?” (2013) (0)
This paper list is powered by the following services:
What Schools Are Affiliated With Naoyuki Yoshino?
Naoyuki Yoshino is affiliated with the following schools: