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Results of search for shifting
Records found: 25
| 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 |
| DP14636 |
Elusive Safety: The New Geography of Capital Flows and Risk Author(s): Laura Alfaro, Ester Faia, Ruth Judson and Tim Schmidt-Eisenlohr Published: April 2020 |
| DP12637 |
How Large is the Corporate Tax Base Erosion and Profit Shifting? A General Equilibrium Approach Author(s): Maria Alvarez-Martinez, Salvador Barrios, Diego d'Andria, Maria Gesualdo, Gaëtan Nicodème and Jonathan Pycroft Published: January 2018 |
| DP12225 |
Trading Out of Sight: An Analysis of Cross-Trading in Mutual Fund Families Author(s): Alexander Eisele, Tamara Nefedova, Gianpaolo Parise and Kim Peijnenburg Published: August 2017 |
| DP12104 |
Equity versus Bail-in Debt in Banking: An Agency Perspective Author(s): Caterina Mendicino, Kalin Nikolov and Javier Suarez Published: June 2017 |
| DP11908 |
Pass-Through as a Test for Market Power: An Application to Solar Subsidies Author(s): Jacquelyn Pless and Arthur Van Benthem Published: March 2017 |
| DP11907 |
Financial Cycles with Heterogeneous Intermediaries Author(s): Nuno Coimbra and Hélène Rey Published: March 2017 |
| DP11099 |
CoCo Design, Risk Shifting and Financial Fragility Author(s): Stephanie Chan and Sweder van Wijnbergen Published: February 2016 |
| DP10923 |
WSJ Category Kings - the impact of media attention on consumer and mutual fund investment decisions Author(s): Ron Kaniel and Robert Parham Published: November 2015 |
| DP10661 |
Determinants and Valuation Effects of the Home Bias in European Banks' Sovereign Debt Portfolios Author(s): Bálint Horváth, Harry Huizinga and Vasso Ioannidou Published: June 2015 |
| DP9930 |
Moral Hazard and Debt Maturity Author(s): Gur Huberman and Rafael Repullo Published: April 2014 |
| DP9865 |
Bank Capital and Dividend Externalities Author(s): Viral V. Acharya, Hanh Le and Hyun Song Shin Published: March 2014 |
| DP9697 |
Tax Reforms and Intertemporal Shifting of Wage Income: Evidence from Danish Monthly Payroll Records Author(s): Claus T. Kreiner, Søren Leth-Petersen and Peer Ebbesen Skov Published: October 2013 |
| DP9652 |
Recreating the South Sea Bubble: Lessons from an Experiment in Financial History Author(s): Giovanni Giusti, Charles Noussair and Hans-Joachim Voth Published: September 2013 |
| DP9606 |
Sovereign Default Risk and Banks in a Monetary Union Author(s): Harald Uhlig Published: August 2013 |
| DP9479 |
Bank Capital and Dividend Externalities Author(s): Viral V. Acharya, Hanh Le and Hyun Song Shin Published: May 2013 |
| DP9432 |
The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks Author(s): Viral V. Acharya and Sascha Steffen Published: April 2013 |
| DP9350 |
Local taxation of global corporations: a simple solution Author(s): Jean J.G. Hindriks, Susana Peralta and Shlomo Weber Published: February 2013 |
| DP9134 |
A Macroeconomic Model of Endogenous Systemic Risk Taking Author(s): David Martinez-Miera and Javier Suarez Published: September 2012 |
| DP8943 |
The use of tax havens in exemption regimes Author(s): Anna Gumpert, James R Hines Jr and Monika Schnitzer Published: April 2012 |
| DP8852 |
Bank Bonuses and Bail-outs Author(s): Hendrik Hakenes and Isabel Schnabel Published: February 2012 |
| DP8457 |
Strategic Asset Allocation in Money Management Author(s): Suleyman Basak and Dmitry Makarov Published: June 2011 |
| DP7164 |
A Theory of Systemic Risk and Design of Prudential Bank Regulation Author(s): Viral V. Acharya Published: February 2009 |
| DP6669 |
Does Competition Reduce the Risk of Bank Failure? Author(s): David Martinez-Miera and Rafael Repullo Published: January 2008 |
| DP6630 |
Moral Hazard, Collateral and Liquidity Author(s): Viral V. Acharya and S. Viswanathan Published: January 2008 |
Records Found 25