Publikationen

N°14-34: Optimal Exchange Rate Policy in a Growing Semi-Open Economy, P. Bacchetta and K. Benhima, and Y. Kalantzis, 2014.

P. Bacchetta, K. Benhima, and Y. Kalantzis
Working Papers
1. Jan. 2014

N°14-33: The Perennial Challenge to Abolish Too-Big-To-Fail in Banking: Empirical Evidence from the New International Regulation Dealing with Global Systemically Important Banks, S. C. Moenninghoff, S. Ongena, and A. Wieandt, 2014.

S. Ongena, S. C. Moenninghoff and A. Wieandt
Working Papers
1. Jan. 2014
Upcoming

N°14-32: Multifamily Residential Asset and Space Markets and Linkages with the Economy, A. Chaney and M. Hoesli, 2014.

M. Hoesli, A. Chaney
Working Papers
1. Jan. 2014
Upcoming

N°14-31: Life Cycle Responses to Health Insurance Status, F. Pelgrin and P. St-Amour, 2014.

P. St-Amour, F. Pelgrin
Working Papers
1. Jan. 2014
Upcoming

N°14-30: Commonality in Liquidity and Real Estate Securities, M. Hoesli, A. Kadilli, and K. Reka, 2014.

M. Hoesli, A. Kadilli, and K. Reka
Working Papers
1. Jan. 2014
Upcoming

N°14-29: Generalized Risk Premia, P. Schneider, 2014.

P. Schneider
Working Papers
1. Jan. 2014
Upcoming

N°14-28: Financial Bubbles: Mechanisms and Diagnostics, P. Cauwels and D. Sornette, 2014.

D. Sornette, P. Cauwels
Working Papers
1. Jan. 2014
Upcoming

N°14-27: Household Inequality, Corporate Capital Structure and Entrepreneurial Dynamism, F. Braggion, M. Dwarkasing, and S. Ongena, 2014.

S. Ongena, F. Braggion, M. Dwarkasing
Working Papers
1. Jan. 2014
Upcoming

N°14-26: Bank Loan Announcements and Borrower Stock Returns Before and During the Recent Financial Crisis, C. Li and S. Ongena, 2014.

S. Ongena, C. Li
Working Papers
1. Jan. 2014
Upcoming

N°14-25: Physics and Financial Economics (1776-2014): Puzzles, Ising and Agent-Based Models, D. Sornette, 2014.

D. Sornette
Working Papers
1. Jan. 2014
Upcoming

N°14-24: Neglected Risk in Financial Innovation: Evidence from Structured Product Counterparty Exposure, M. Arnold, D. R. Schuette, and A. F. Wagner, 2014.

A. Wagner, M. Arnold, D. R. Schuette
Working Papers
1. Jan. 2014
Upcoming

N°14-23: Cumulative Prospect Theory and Mean Variance Analysis: A Rigorous Comparison, T. Hens and J. Mayer, 2014.

T. Hens, J. Mayer
Working Papers
1. Jan. 2014
Upcoming

N°14-22: Theory Matters for Financial Advice!, T. Hens and J. Mayer, 2014.

T. Hens, J. Mayer
Working Papers
1. Jan. 2014

N°14-21: News Dissemination and Investor Attention, R. Boulland, F. Degeorge, and E. Ginglinger, 2014.

F. Degeorge, R. Boulland and E. Ginglinger
Working Papers
1. Jan. 2014

N°14-20: Positional Portfolio Management, P. Gagliardini, C. Gourieroux, and M. Rubin, 2014.

P. Gagliardini, C. Gourieroux, and M. Rubin
Working Papers
1. Jan. 2014
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