Date Published:
Jun 01, 2008
Focus Area(s):
Code:
DP 2008-31

This paper distills some policy lessons from the financial services integration program in the European Union for East Asia. Focusing on the improved cross-border facilitation of financial flows rather than on general macroeconomic factors related to optimal currency area formation, the paper discusses some specific features of the EU’s financial sector liberalization program and the results achieved so far. Considering the institutional difference between EU and East Asia, it discusses what possible features of the EU experience will be replicable in the region.

Citations

This publication has been cited 10 times

In other Publications
  1. Chikako Iwata, Jose Ma. Luis Montecarlos, and Xiao Qi. 2015. Systemic risks of asean+3 financial integration: challenges, opportunities and the future. Revista Digital Mundo Asia Pacífico, 4, No. 5, 63-80. Universidad EAFIT.
  2. Gajewski, Krzysztof. 2012. Integracja finansowa w Europie po wprowadzeniu euro. Przegląd literatury [Financial integration in Europe after the introduction of the euro. A literature overview]. MPRA Paper 42482. University Library of Munich, Germany.
  3. Jang, Hong Bum. 2011. Financial integration and cooperation in East Asia: Assessment of recent developments and their implications. IMES Discussion Paper Series 11-E-05. Institute for Monetary and Economic Studies, Bank of Japan.
  4. Lee, Choong Lyol and Shinji Takagi. 2015. Assessing the financial landscape for the association of Southeast Asian nations economic community, 2015. Asia and the Pacific Policy Studies, 2, no. 1, 116-129 . Wiley Blackwell.
  5. Lee, Choong Lyol and Shinji Takagi. 2015. Assessing the financial landscape for the association of Southeast Asian nations economic community, 2015. Asia and the Pacific Policy Studies 201510. Crawford School of Public Policy, The Australian National University.
  6. Rehman, Jamshaid ur et. al. 2022. In search of common currency anchor for Asean+3+3 countries. Journal of Policy Research, 8, No. 3, 237-264. Research Foundation for Humanity.
  7. Winkler, Adalbert. 2012. The financial crisis: A wake-up call for strengthening regional monitoring of financial markets and regional coordination of financial sector policies?. Implications of the Global Financial Crisis for Financial Reform and Regulation in Asia, chapter 7. Edward Elgar Publishing.
  8. Winkler, Adalbert. 2010. The financial crisis: A wake-up call for strengthening regional monitoring of financial markets and regional coordination of financial sector policies?. ADBI Working Papers 199. Asian Development Bank Institute.
  9. Winkler, Adalbert. 2010. The financial crisis: A wake-up call for strengthening regional monitoring of financial markets and regional coordination of financial sector policies?. Finance Working Papers 22022. East Asian Bureau of Economic Research.
  10. Winkler, Adalbert. 2010. The financial crisis: A wake-up call for strengthening regional monitoring of financial markets and regional coordination of financial sector policies?. Working Papers id:3021. eSocialSciences.


Main Menu

Secondary Menu