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Records found: 25
DP16065 |
Uncertainty in the Analytic Climate Economy Author(s): Christian Traeger Published: April 2021 |
DP16058 |
Exchange Rates and Sovereign Risk Author(s): Pasquale Della Corte, Lucio Sarno, Maik Schmeling and Christian Wagner Published: April 2021 |
DP16049 |
Media Sentiment and Currency Reversals Author(s): Ilias Filippou, Mark Taylor and Zigan Wang Published: April 2021 |
DP15979 |
Bargaining Shocks and Aggregate Fluctuations Author(s): Thorsten Drautzburg, Jesús Fernández-Villaverde and Pablo Guerron Published: March 2021 |
DP15973 |
An Experimental Analysis of the Prize-Probability Tradeoff in Stopping Problems Author(s): Yair Antler and Ayala Arad Published: March 2021 |
DP15919 |
The cost-efficiency carbon pricing puzzle Author(s): Christian Gollier Published: March 2021 |
DP15901 |
Why did bank stocks crash during COVID-19? Author(s): Viral V. Acharya, Robert F Engle III and Sascha Steffen Published: March 2021 |
DP15885 |
Efficiency or resiliency? Corporate choice between financial and operational hedging Author(s): Viral V. Acharya, Heitor Almeida, Yakov Amihud and Ping Liu Published: March 2021 |
DP15884 |
Contingent Contracts in Banking: Insurance or Risk Magnification? Author(s): Hans Gersbach Published: March 2021 |
DP15872 |
A Reconsideration of the Failure of Uncovered Interest Parity for the U.S. Dollar Author(s): Charles M Engel, Ekaterina Kazakova, Mengqi Wang and Nan Xiang Published: March 2021 |
DP15864 |
Credit, capital and crises: a GDP-at-Risk approach Author(s): David Aikman, Jonathan Bridges, Sinem Hacioglu Hoke, Cian O'Neill and Akash Raja Published: March 2021 |
DP15844 |
In-Kind Transfers as Insurance Author(s): Lucie Gadenne, Sam Norris, Monica Singhal and Sandip Sukhtankar Published: February 2021 |
DP15841 |
The long-run effects of risk: an equilibrium approach Author(s): João Madeira, Nuno Pedro G. Palma and Christiaan van der Kwaak Published: February 2021 |
DP15816 |
Social Responsibility and Bank Resiliency Author(s): Thomas Gehrig, Maria Chiara Iannino and Stephan Unger Published: February 2021 |
DP15798 |
Fire Sale Risk and Credit Author(s): Dion Bongaerts, Francesco Mazzola and Wolf Wagner Published: February 2021 |
DP15733 |
The Macroeconomics of Financial Speculation Author(s): Alp Simsek Published: January 2021 |
DP15611 |
Banks and Negative Interest Rates Author(s): Florian Heider, Farzad Saidi and Glenn Schepens Published: December 2020 |
DP15610 |
The Expected Return on Risky Assets: International Long-run Evidence Author(s): Dmitry Kuvshinov and Kaspar Zimmermann Published: December 2020 |
DP15590 |
Being on the Frontline? Immigrant Workers in Europe and the COVID-19 Pandemic Author(s): Francesco Fasani and Jacopo Mazza Published: December 2020 |
DP15571 |
Pricing Currency Risks Author(s): Mikhail Chernov, Magnus Dahlquist and Lars Lochstoer Published: December 2020 |
DP15550 |
Is there consumer risk-pooling in the open economy? The evidence reconsidered Author(s): Patrick Minford, Zhirong Ou and Zheyi Zhu Published: January 2021 |
DP15540 |
Optimal Sustainable Intergenerational Insurance Author(s): Francesco Lancia, Alessia Russo and Tim S Worrall Published: December 2020 |
DP15519 |
Who truly bears (bank) taxes? Evidence from only shifting statutory incidence Author(s): Gabriel Jiménez, David Martinez-Miera and José Luis Peydró Published: December 2020 |
DP15473 |
Risk Mitigating versus Risk Shifting: Evidence from Banks Security Trading in Crises Author(s): José Luis Peydró, Andrea Polo and Enrico Sette Published: November 2020 |
DP15460 |
Job stability, earnings dynamics, and life-cycle savings Author(s): Moritz Kuhn and Gasper Ploj Published: November 2020 |
Records Found 25