Discussion paper DP15777 Portfolio rebalancing in times of stress Andreas Fischer Rafael P. Greminger Christian Grisse Sylvia Kaufmann 7 Feb 2021 International Macroeconomics and Finance F30 G11 G15
VoxEU Column How ECB purchases of corporate bonds helped reduce firms’ borrowing costs Andrea Zaghini 30 Jan 2020 EU institutions Monetary Policy
Discussion paper DP14233 Expansionary Yet Different: Credit Supply and Real Effects of Negative Interest Rate Policy Margherita Bottero Camelia Minoiu Jose-Luis Peydro Andrea Polo Andrea Presbitero Enrico Sette 22 Dec 2019 Financial Economics International Macroeconomics and Finance Monetary Economics and Fluctuations E52 E58 G01 G21 G28
Discussion paper DP14037 The FOMC Risk Shift Tim Kroencke Maik Schmeling Andreas Schrimpf 6 Oct 2019 Financial Economics International Macroeconomics and Finance Monetary Economics and Fluctuations G10 G12 E44
VoxEU Column The sound of many funds rebalancing Vyacheslav Fos Alex Chinco 14 May 2019 Financial Markets
VoxEU Column The portfolio rebalancing effects of the ECB's asset purchase programme Peter G Dunne Giovanna Bua 10 Aug 2017 Financial Markets Monetary Policy
VoxEU Column The Bank of Japan’s monetary easing and portfolio rebalancing channel Sayuri Shirai 31 Jul 2017 Macroeconomic policy
Discussion paper DP9691 Asset Market Participation and Portfolio Choice over the Life Cycle Luigi Guiso Charles Gottlieb Andreas Fagereng 20 Oct 2013 Financial Economics D14 G11