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Records found: 25
| DP15267 |
The Nonlinear Relationship Between Public Debt and Sovereign Credit Ratings Author(s): Metodij Hadzi-Vaskov and Luca Antonio Ricci Published: September 2020 |
| DP15108 |
Risk Preferences at the Time of COVID-19: An Experiment with Professional Traders and Students Author(s): Marco Angrisani, Marco Cipriani, Antonio Guarino, Ryan Kendall and Julen Ortiz de Zarate Pina Published: July 2020 |
| DP14826 |
J'Accuse! Antisemitism and Financial Markets in the time of the Dreyfus Affair Author(s): Quoc-Anh Do, Roberto Galbiati, Benjamin Marx and Miguel Angel Ortiz Serrano Published: May 2020 |
| DP14397 |
Global Recessions Author(s): Marco E. Terrones, Ayhan Kose and Naotaka Sugawara Published: February 2020 |
| DP14065 |
Chinese Financial Conditions and their Spillovers to the Global Economy and Markets Author(s): Rong Fu, Jeremy Lawson, Carolina Martinez and Abigail Watt Published: October 2019 |
| DP13990 |
The War Next Door and the Reds are Coming: The Spanish Civil War and the Portuguese Stock Market Author(s): Diogo Leitão, Jaime Pereira, João Pereira Santos and José Tavares Published: September 2019 |
| DP13330 |
Financial structure and income inequality Author(s): Michael Brei, Giovanni Ferri and Leonardo Gambacorta Published: November 2018 |
| DP11991 |
Much Ado About Nothing: Is the Market Affected by Political Bias? Author(s): Mancy Luo, Alberto Manconi and Massimo Massa Published: April 2017 |
| DP11263 |
Social Media and Corruption Author(s): Ruben Enikolopov, Maria Petrova and Konstantin Sonin Published: May 2016 |
| DP11225 |
Is there an alternative way to avoid another eurozone crisis to the Five Presidents' Report? Author(s): Michael R. Wickens Published: April 2016 |
| DP10629 |
Financial Markets where Traders Neglect the Informational Content of Prices Author(s): Erik Eyster, Matthew Rabin and Dimitri Vayanos Published: May 2015 |
| DP10488 |
Cutting out the Middleman: Crowdinvesting, Efficiency, and Inequality Author(s): Hans Peter Grüner and Christoph Siemroth Published: March 2015 |
| DP10232 |
Exchange Rates Dynamics with Long-Run Risk and Recursive Preferences Author(s): Robert Kollmann Published: November 2014 |
| DP9400 |
How Much do Bank Shocks Affect Investment? Evidence from Matched Bank-Firm Loan Data Author(s): Mary Amiti and David E. Weinstein Published: March 2013 |
| DP8810 |
Portfolio Allocation and International Risk Sharing Author(s): Gianluca Benigno and Hande Küçük Published: February 2012 |
| DP8713 |
Hope, Change, and Financial Markets: Can Obama's Words Drive the Market? Author(s): Sharmin Sazedj and José Tavares Published: December 2011 |
| DP8341 |
The Changing International Transmission of Financial Shocks: Evidence from a Classical Time-Varying FAVAR Author(s): Sandra Eickmeier, Wolfgang Lemke and Massimiliano Marcellino Published: April 2011 |
| DP8087 |
Adjusting to Capital Account Liberalization Author(s): Kosuke Aoki, Gianluca Benigno and Nobuhiro Kiyotaki Published: October 2010 |
| DP8080 |
Asset Prices, News Shocks and the Current Account Author(s): Marcel Fratzscher and Roland Straub Published: October 2010 |
| DP7944 |
Central Banks and the Financial System Author(s): Francesco Giavazzi and Alberto Giovannini Published: August 2010 |
| DP7941 |
Quantifying the Distortionary Fiscal Cost of ?The Bailout? Author(s): Francisco J Gomes, Alexander Michaelides and Valery Polkovnichenko Published: August 2010 |
| DP7905 |
Money and Liquidity in Financial Markets Author(s): Kjell G Nyborg and Per Östberg Published: June 2010 |
| DP7652 |
Trading Frenzies and Their Impact on Real Investment Author(s): Itay Goldstein, Emre Ozdenoren and Kathy Yuan Published: January 2010 |
| DP7651 |
Learning and Complementarities: Implications for Speculative Attacks Author(s): Itay Goldstein, Emre Ozdenoren and Kathy Yuan Published: January 2010 |
| DP7194 |
Democracy and Reforms Author(s): Paola Giuliano, Prachi Mishra and Antonio Spilimbergo Published: March 2009 |
Records Found 25