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Themes

  • Key Themes
  • Central Banking
  • Climate Change
  • Competition Policy
  • Development & Growth
  • Economic History
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  • EU Economic Architecture
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  • Political Economy
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There are 11 results

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Discussion paper

DP16437 Do we need dealers in OTC markets?

  • Norman Schürhoff
  • Dmitry Livdan
  • Terrence Hendershott

9 Aug 2021
  • Financial Economics
  • G12
  • G14
  • G19
Discussion paper

DP15781 Self-inflicted debt crises

  • Theodosios Sakis Dimopoulos
  • Norman Schürhoff

8 Feb 2021
  • Financial Economics
  • H63
  • G01
  • G4
  • D86
Discussion paper

DP15782 (In)efficient repo markets

  • Tobias Dieler
  • Loriano Mancini
  • Norman Schürhoff

8 Feb 2021
  • Financial Economics
  • G01
  • G14
  • G21
  • G28
Discussion paper

DP15205 True Cost of Immediacy

  • Norman Schürhoff
  • Terrence Hendershott
  • Dmitry Livdan
  • Dan Li

26 Aug 2020
  • Financial Economics
  • G12
  • G14
  • G24
Discussion paper

DP13301 Municipal Bond Markets

  • Norman Schürhoff
  • Dan Li
  • Burton Hollifield

6 Nov 2018
  • Financial Economics
  • G12
  • G14
  • G18
  • G24
  • G28
  • H21
  • H6
  • H7
Discussion paper

DP12472 Relationship Trading in OTC Markets

  • Norman Schürhoff
  • Terrence Hendershott
  • Dmitry Livdan
  • Dan Li

29 Nov 2017
  • Financial Economics
  • G12
  • G14
  • G24
Discussion paper

DP11243 Agency Conflicts Around the World

  • Norman Schürhoff
  • Erwan Morellec

25 Apr 2016
  • Financial Economics
  • G32
  • G34
Discussion paper

DP10237 Dealer Networks

  • Norman Schürhoff
  • Dan Li

9 Nov 2014
  • Financial Economics
  • G12
  • G14
  • G24
Discussion paper

DP9186 Tax-Subsidized Underpricing: Issuers and Underwriters in the Market for Build America Bonds

  • Norman Schürhoff

21 Oct 2012
  • Financial Economics
  • E44
  • E63
  • G23
  • H74
Discussion paper

DP9108 Bond Ratings Matter: Evidence from the Lehman Brothers Index Rating Redefinition

  • Norman Schürhoff

26 Aug 2012
  • Financial Economics
  • G12
  • G14
Discussion paper

DP8268 Variance risk, financial intermediation, and the cross-section of expected option returns

  • Alexandre Ziegler
  • Norman Schürhoff

21 Feb 2011
  • Financial Economics
  • G12
  • G13
  • G24
  • Themes & Current Issues
  • Business Cycles
  • Central Banking
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  • Competition Policy
  • COVID-19
  • Development & Growth
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  • Health Economics
  • Inflation
  • International Finance
  • International trade
  • Labour Markets
  • Migration
  • Monetary Policy
  • Political Economy
  • Poverty and Income Inequality
  • Productivity and Innovation
  • Taxation
  • Ukraine Initiative
  • Women in Economics
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