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Records found: 8
DP16477 |
Mutual Fund Trading and ESG Stock Resilience During the COVID-19 Stock Market Crash Author(s): Rui Albuquerque, Yrjo Koskinen and Raffaele Santioni Published: August 2021 |
DP15945 |
Sustainability or Performance? Ratings and Fund Managers' Incentives Author(s): Nick Gantchev, Mariassunta Giannetti and Rachel Li Published: March 2021 |
DP14134 |
Bond Funds and Credit Risk Author(s): Jaewon Choi, Amil Dasgupta and Ji Yeol Jimmy Oh Published: November 2019 |
DP14037 |
The FOMC Risk Shift Author(s): Tim Kroencke, Maik Schmeling and Andreas Schrimpf Published: October 2019 |
DP11476 |
Investor-Stock Decoupling in Mutual Funds Author(s): Miguel Ferreira, Massimo Massa and Pedro Pinto Matos Published: August 2016 |
DP8457 |
Strategic Asset Allocation in Money Management Author(s): Suleyman Basak and Dmitry Makarov Published: June 2011 |
DP5524 |
Optimal Asset Allocation and Risk Shifting in Money Management Author(s): Suleyman Basak, Anna Pavlova and Alex Shapiro Published: March 2006 |
DP5006 |
Offsetting the Incentives: Risk Shifting and Benefits of Benchmarking in Money Management Author(s): Suleyman Basak, Anna Pavlova and Alex Shapiro Published: April 2005 |
Records Found 8