Discussion paper DP12595 Unionization, Cash, and Leverage Martin Schmalz 15 Jan 2018 Financial Economics Labour Economics G32 J50
VoxEU Column Artificial intelligence and the stability of markets Jon Danielsson 15 Nov 2017 Financial Markets Financial Regulation and Banking Frontiers of economic research
Discussion paper DP12422 Risk Management and Regulation Tobias Adrian 5 Nov 2017 Financial Economics G00 G01 G21 G24 G28
Discussion paper DP10948 Double Bank Runs and Liquidity Risk Management Jose-Luis Peydro Enrico Sette Andrea Polo Filippo Ippolito 22 Nov 2015 Financial Economics G01 G21 G28
Discussion paper DP10538 Personal Pensions with Risk sharing: Affordable, Adequate and Stable Private Pensions in Europe Theo E Nijman Lans Bovenberg 12 Apr 2015 Financial Economics Labour Economics Public Economics D14 D91 E21 E62 G11 G22 G23 G28 H31 H55 J14 J18 J26 J62 P43
Discussion paper DP10420 Corporate policies with permanent and temporary shocks Jean Paul Décamps Erwan Morellec Stéphane Villeneuve 15 Feb 2015 Financial Economics G31 G32 G35
VoxEU Column Corporate governance of banks: Risk appetite as a pre-commitment mechanism Patricia Jackson 13 Oct 2014 Financial Markets Global crisis
VoxEU Column Regulating the global insurance industry: Motivations and challenges Christian Thimann 10 Oct 2014 Financial Markets Global crisis
VoxEU Column Model risk and the implications for risk management, macroprudential policy, and financial regulations Ilknur Zer Kevin James Marcela Valenzuela Jon Danielsson 8 Jun 2014 Financial Markets
Discussion paper DP9266 How to use demand systems to evaluate risky projects, with an application to automobile production Richard Friberg Cristian Huse 16 Dec 2012 Industrial Organization F23 L16 L62
VoxEU Column Toward a world of larger disasters? Ideas for risk-management policies Stéphane Hallegatte 14 Apr 2012 Environment Migration
Discussion paper DP8705 A Model of Liquidity Hoarding and Term Premia in Inter-Bank Markets Viral Acharya David Skeie 4 Dec 2011 Financial Economics E43 G01 G21