Discussion paper DP16477 Mutual Fund Trading and ESG Clientele During the COVID-19 Stock Market Crash Rui Albuquerque Yrjo Koskinen Raffaele Santioni 14 Feb 2022 Financial Economics G01 G12 G23 G32 M14
Discussion paper DP15945 Sustainability or Performance? Ratings and Fund Managers’ Incentives Nickolay Gantchev Mariassunta Giannetti Rachel Li 20 Mar 2021 Financial Economics G11 G12 G23 G24
Discussion paper DP14134 Bond Funds and Credit Risk Jaewon Choi Amil Dasgupta Ji Yeol Jimmy Oh 19 Nov 2019 Financial Economics G23 G32
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
Discussion paper DP11476 Investor-Stock Decoupling in Mutual Funds Massimo Massa Miguel Ferreira Pedro Pinto Matos 29 Aug 2016 Financial Economics G20 G23
Discussion paper DP8457 Strategic Asset Allocation in Money Management Suleyman Basak Dmitry Makarov 1 Jun 2011 Financial Economics C61 C73 D81 G11 G20
Discussion paper DP5524 Optimal Asset Allocation and Risk Shifting in Money Management Suleyman Basak Anna Pavlova Alex Shapiro 22 Mar 2006 Financial Economics D60 D81 G11 G20
Discussion paper DP5006 Offsetting the Incentives: Risk Shifting and Benefits of Benchmarking in Money Management Suleyman Basak Anna Pavlova Alex Shapiro 23 Apr 2005 Financial Economics D60 D81 G11 G20