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Themes

  • Key Themes
  • Central Banking
  • Climate Change
  • Competition Policy
  • Development & Growth
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  • Political Economy
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There are 16 results

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Discussion paper

DP16274 Interest Rate Skewness and Biased Beliefs

  • Michael Bauer
  • Mikhail Chernov

17 Jun 2021
  • Financial Economics
  • E43
  • E44
  • E52
  • G12
AdobeStock_141342697.jpeg
VoxEU Column

Credit during a crisis: The bond lending channel of monetary policy

  • Oliver Giesecke
  • Alexander Rodnyansky
  • Olivier Darmouni

20 May 2020
  • COVID-19
Discussion paper

DP13153 Missing Events in Event Studies: Identifying the Effects of Partially-Measured News Surprises

  • Refet Gürkaynak
  • Burçin Kısacıkoğlu
  • Jonathan Wright

3 Sep 2018
  • Financial Economics
  • Monetary Economics and Fluctuations
  • E43
  • E52
  • E58
  • G12
  • G14
maggiofig1.png
VoxEU Column

The value of trading relationships in turbulent times

  • Amir Kermani
  • Zhaogang Song
  • Marco Di Maggio

26 Nov 2016
  • Financial Markets
VoxEU Column

Resilience of market liquidity

  • Gaston Gelos
  • Luis Brandao-Marques

18 Jan 2016
  • Financial Markets
VoxEU Column

The impact of global liquidity on external bond issuance by emerging markets

  • Katie Kibuuka
  • Erik Feyen
  • Swati Ghosh
  • Subika Farazi

11 Aug 2015
  • Development
  • Financial Markets
Discussion paper

DP9388 Identification and Inference Using Event Studies

  • Jonathan Wright
  • Refet Gürkaynak

17 Mar 2013
  • Financial Economics
  • International Macroeconomics
  • E43
  • E52
  • E58
  • G12
  • G14
VoxEU Column

Disaster economics and bond yields

  • Ziad Daoud
  • Martin Brookes

16 Aug 2012
  • International Finance
VoxEU Column

Spillover effects in a fiscal union: Evidence from US states and Treasury bond markets

  • Bertrand Candelon
  • Amadou Sy
  • Rabah Arezki

1 Aug 2012
  • International Finance
  • Monetary Policy
VoxEU Column

Gulf Cooperation Council local currency bond markets and lessons from East Asia

  • Ismail Dalla
  • Heiko Hesse
  • Syed Basher

22 May 2010
  • Energy
  • International Finance
Discussion paper

DP7499 Government Bond Risk Premiums in the EU revisited: The Impact of the Financial Crisis

  • Jurgen von Hagen
  • Ludger Schuknecht
  • Guido Wolswijk

18 Oct 2009
  • Public Economics
  • G12
  • G15
Discussion paper

DP6539 Fiscal Insurance and Debt Management in OECD Economies

  • Albert Marcet
  • Andrew Scott
  • Elisa Faraglia

26 Oct 2007
  • International Macroeconomics
  • E43
  • E62
  • H62
  • H63
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