Discussion paper DP8358 Sovereign Default Risk and Bank Fragility in Financially Integrated Economies Patrick Bolton Olivier Jeanne 1 Apr 2011 Financial Economics International Macroeconomics E44 F34 F36 G21 H63
Discussion paper DP8359 Debt Portfolios Winfried Koeniger Thomas Hintermaier 1 Apr 2011 International Macroeconomics Labour Economics D91 E21
Discussion paper DP8226 Adverse Selection, Credit, and Efficiency: the Case of the Missing Market Alberto MartÃn 1 Feb 2011 Financial Economics D62 D82 G20
Discussion paper DP7259 The de Soto Effect Tim Besley Maitreesh Ghatak 12 Apr 2009 Development Economics G20 G28 K11 O16
Discussion paper DP6596 Lessons from the 2007 Financial Crisis Willem Buiter 23 Dec 2007 International Macroeconomics D52 D53 E32 E44 E58 F37 G21 G24 G28
Discussion paper DP6540 Creditor Protection and Stock Price Volatility Assaf Razin Galina Hale Hui Tong 26 Oct 2007 International Macroeconomics E44
Discussion paper DP5695 A Lender-Based Theory of Collateral Roman Inderst Holger Mueller 24 Jun 2006 Financial Economics G21 G32
Discussion paper DP4823 What You Sell is What You Lend? Explaining Trade Credit Contracts Tore Ellingsen Mike Burkart Mariassunta Giannetti 23 Dec 2004 Financial Economics G32
Discussion paper DP4367 Bidding and Performance in Repo Auctions: Evidence from ECB Open Market Operations Kjell G. Nyborg Ilya Strebulaev Ulrich Bindseil 23 Apr 2004 Financial Economics D44 E43 E50 G12 G21
Discussion paper DP3915 Financial Distress and Bank Restructuring of Small to Medium Size UK Companies Julian Franks Oren Sussman 23 May 2003 Financial Economics G10 G20
Discussion paper DP3049 Equilibrium and Welfare in Markets with Financially Constrained Arbitrageurs Denis Gromb Dimitri Vayanos 1 Nov 2001 Financial Economics D62 G12 G18 G23 G30
Discussion paper DP2540 Collateral, Default Risk, and Relationship Lending: An Empirical Study on Financial Contracting 29 Aug 2000 Financial Economics G21