Content
2024
- 2024/05 Macroprudential policy and credit spreads
by Pauline Gandré & Margarita Rubio - 2024/04 Robust design of countercyclical capital buffer rules
by Dominik Hecker & Hun Jang & Margarita Rubio & Fabio Verona - 2024/03 Hetereogeneous firms, growth and the long shadows of business cycles
by Cristiana Bendetti-Fasil & Giammario Impullitti & Omar Licandro & Petr Sedlacek & Adam Hal Spencer - 2024/02 Systemic risk in banking, fire sales, and macroeconomic disasters
by Spiros Bougheas & David I Harvey & Alan Kirman & Douglas Nelson - 2024/01 Did the Bank of England's quantitative easing programme become fiscally wasteful?
by Michael Bleaney
2023
- 2023/03 On the pass-through of large devaluations
by Carlos Casacuberta & Omar Licandro - 2023/02 Dynamic investigations of an endogenous business cycle model with heterogeneous agents
by Spiros Bougheas & Pasquale Commendatore & Laura Gardini & Ingrid Kubin - 2023/01 Learning about labour markets
by Jake Bradley & Lukas Mann
2022
- 2022/05 Financial development cycles and income inequality in a model with good and bad projects
by Spiros Bougheas & Pasquale Commendatore & Laura Gardini & Ingrid Kubin - 2022/04 Fire sales and ex ante valuation of systemic risk: A financial equilibrium networks approach
by Spiros Bougheas & Adam Hal Spencer - 2022/03 Innovation union:Costs and benefits of innovation policy coordination
by Teodora Borota Milicevic & Fabrice Defever & Giammario Impullitti & Adam Hal Spencer - 2022/02 Labour market dynamics and growth
by Jake Bradley & Axel Gottfries - 2022/01 Fiscal and macroprudential policies in a monetary union
by Jose E Bosca & Javier Ferri & Margarita Rubio
2021
- 2021/04 Macroprudential policies and Brexit: A welfare analysis
by Margarita Rubio - 2021/03 Potential output, the Taylor Rule and the Fed
by Omar Licandro & Francesca Vinci - 2021/02 Commodity prices and banking crises
by Markus Eberhardt & Andrea F. Presbitero - 2021/01 Misallocation and inequality
by Nezih Guner & Alessandro Ruggieri
2020
- 2020/14 The impact of Covid-19 on productivity
by Stephen Millard, & Margarita Rubio & Alexandra Varadi - 2020/13 The impact of Covid-19 on productivity
by Nicholas Bloom & Philip Bunn & Paul Mizen & Pawel Smietanka & Gregory Thwaites - 2020/12 Output expectations, uncertainty and the UK business cycle; Evidence from the CBI's suite of business surveys
by Kevin Lee & Michael Mahony & Paul Mizen - 2020/11 Worker-firm screening and the business cycle
by Jake Bradley - 2020/10 Policy effects of international taxation on firm dynamics and capital structure
by Adam Hal Spencer - 2020/09 Skill-biased structural change
by Francisco J. Buera & Joseph P. Kaboski & Richard Rogerson & Juan I. Vizcaino - 2020/08 Impulse response analysis in conditional quantile models with an application to monetary policy
by Dong Jin Lee & Tae-Hwan Kim & Paul Mizen - 2020/07 Economic uncertainty before and during the COVID-19 pandemic
by Dave Altig & Scott Baker & Jose Maria Barrero & Nick Bloom & Phil Bunn & Scarlet Chen & Steven J Davis & Julia Leather & Brent Meyer & Emil Mihaylov & Paul Mizen & Nick Parker & Thomas Renault & Pawel Smietanka & Grey Thwaites - 2020/06 Twin peaks: COVID-19 and the labour market
by Jake Bradley & Alessandro Ruggieri & Adam Spencer - 2020/05 Evaluating the impact of export finance support on firm-level export performance: Evidence from Pakistan
by Fabrice Defever & Alejandro Riano & Gonzalo Varela - 2020/04 Is reserve volatility inversely related to exchange rate flexibility?
by Michael Bleaney & Mo Tian - 2020/03 The neoclassical model and the welfare costs of selection
by Fabrice Collard & Omar Licandro - 2020/02 Switching-track after the Great Recession
by Francesca Vinci & Omar Licandro - 2020/01 Corporate acquisitions and firm-level uncertainty: Domestic versus cross-border deals
by Ye Bai & Sourafel Girma & Alejandro Riano
2019
- 2019/07 Foreign exchange inflows, the trade balance and real effective exchange rates
by Michael Bleaney & Mo Tian - 2019/06 Net foreign assets and current account balances
by Michael Bleaney & Mo Tian - 2019/05 Sectoral heterogeneities in price rigidity and returns to scale
by Mohamed Diaby & Atsuyoshi Morozumi - 2019/04 The value added tax and growth: Design matters
by Santiago Acosta-Ormaechea & Atsuyoshi Morozumi - 2019/03 Exchange rate flexibility: How should we measure it?
by Michael Bleaney & Mo Tian - 2019/02 Flexible exchange rates and current account adjustment
by Michael Bleaney & Mo Tian - 2019/01 A theory of outside equity: Financing multiple projects
by Spiros Bougheas & Tianxi Wang
2018
- 2018/11 The Australian real-time fiscal database: An overview and an illustration of its use in analysing planned and realised fiscal policies
by Kevin Lee & James Morley & Kalvinder Shields & Madeleine Sui-Lay Tan - 2018/10 Measuring the fiscal multiplier when plans take time to implement
by Kevin Lee & James Morley & Kian Ong & Kalvinder Shields - 2018/09 What if I knew you did it? An analysis of preliminary ratings’ disclosure under competition
by Marta Allegra Ronchetti - 2018/08 Inflation targeting in low-income countries: Does IT work?
by Michael Bleaney & Atsuyoshi Morozumi & Zakari Mumuni - 2018/07 Inflation targeting and monetary policy in Ghana
by Michael Bleaney & Atsuyoshi Morozumi & Zakari Mumuni - 2018/06 Labour responses, regulation and business churn in a small open economy
by Marta Aloi & Huw Dixon & Anthony Savagar - 2018/05 Growing pension deficits and the expenditure decisions of UK companies
by Philip Bunn & Paul Mizen & Pawel Smietanka - 2018/04 Original sin in corporate finance: New evidence from Asian bond issuers in onshore and offshore markets
by Paul Mizen & Frank Packer & Eli Remolona & Serafeim Tsoukas - 2018/03 Technology, market structure and the gains from trade
by Giammario Impullitti & Omar Licandro & Pontus Rendahl - 2018/02 Preliminary credit ratings and contact disclosure
by Marta Allegra Ronchetti - 2018/01 Permanent employment and fertility: The importance of job security and the career costs of childbearing
by Adrián Nieto
2017
- 2017/09 Cross-country spillovers from macroprudential regulation: Reciprocity and leakage
by Margarita Rubio - 2017/08 Contagion in stable networks
by Spiros Bougheas - 2017/07 Currency risk in corporate bond spreads in the eurozone
by Michael Bleaney & Veronica Veleanu - 2017/06 Does rental housing market stabilize the economy? A micro and macro perspective
by Michal Rubaszek & Margarita Rubio - 2017/05 Are Fixed Exchange Rates Still a Mirage?
by Michael Bleaney & Mo Tian - 2017/04 Customer financing, bargaining power and trade credit uptake
by Simona Mateut & Thanaset Chevapatrakul - 2017/03 Demand-driven Technical Change and Productivity Growth: Theory and Evidence from the US Energy Policy Act
by Giammario Impullitti & Richard Kneller & Danny McGowan - 2017/02 Welfare benefit reforms and employment
by Marta Aloi & Teresa Lloyd-Braga & Manuel Leite-Monteiro - 2017/01 Portfolio Sales and Signaling
by Spiros Bougheas & Tim Worrall
2016
- 2016/06 Volatility spillovers across European stock markets around the Brexit referendum
by Hong Li & Shamim Ahmed & Thanaset Chevapatrakul - 2016/05 Business-Linkage Volatility Spillover between US Industries
by Linh Xuan Diep Nguyen & Simona Mateut & Thanaset Chevapatrakul - 2016/04 Customer financing, bargaining power and trade credit uptake
by Simona Mateut & Thanaset Chevapatrakul - 2016/03 Public debt sustainability in a globally integrated market
by Mark Roberts - 2016/02 Exchange Rate Regimes and Growth Collapses
by Michael Bleaney & Sweta Saxena & Lin Yin - 2016/01 Sectoral Wage Rigidities and Labour and Product Market Institutions in the Euro Area
by Robert Anderton & Arno Hantzsche & Simon Savsek & Mate Toth
2015
- 2015/21 On the Information Flow from Credit Derivatives to the Macroeconomy
by Paul Mizen & Veronica Veleanu - 2015/20 Do Wealth Shocks Affect Health? New Evidence from the Housing Boom
by Eleonora Fichera & John Gathergood - 2015/19 House prices wealth effect and labor supply
by Richard Disney & John Gathergood - 2015/18 Is the output growth rate in NIPA a welfare measure?
by Jorge Duran & Omar Licandro - 2015/17 Firm Dynamics in the Neoclassical Growth Model
by Omar Licandro - 2015/16 Is Poor Financial Literacy a Barrier to Home Ownership?
by John Gathergood & Joerg Weber - 2015/15 Systemic Risk and the Optimal Seniority Structure of Banking Liabilities
by Sprios Bougheas & Alan Kirman - 2015/14 Political budget cycles and media freedom
by Francisco Jose Veiga & Linda Goncalves Veiga & Atsuyoshi Morozumi - 2015/13 Real-Time Data should be used in Forecasting Output Growth and Recessionary Events in the US
by Chrystalleni Aristidou & Kevin Lee & Kalvinder Shields - 2015/12 Global Engagement and Returns Volatility
by Sourafel Girma & Sandra Lancheros & Alejandro Riano - 2015/11 Subsidies, financial constraints and firm innovative activities in developing economies
by Simona Mateut - 2015/10 Monetary and Macroprudential Policies under Fixed and Variable Interest Rates
by Margarita Rubio - 2015/09 How large are productivity differences between Islamic and Conventional Banks?
by Wahida Ahmad & David Prentice - 2015/08 Bank Insolvencies, Priority Claims and Systemic Risk
by Spiros Bougheas & Alan Kirman - 2015/07 Financial Literacy, Present Bias and Alternative Mortgage Products
by John Gathergood & Joerg Weber - 2015/06 Optimal Organization of Financial Intermediaries
by Spiros Bougheas & Tianxi Wang - 2015/05 Why Did Bank Lending Rates Diverge from Policy Rates After the Financial Crisis?
by Anamaria Illes & Marco Lombardi & Paul Mizen - 2015/04 Credit Rating Agency, Preliminary Ratings and Contact Disclosure
by Marta Allegra Ronchetti - 2015/03 Financial Literacy, Present Bias and Alternative Mortgage Products
by John Gathergood & Joerg Weber - 2015/02 Pareto-improving social security reform with public goods
by Mark Roberts - 2015/01 This time is different: a problem with raising taxes
by Mark Roberts
2014
- 2014/18 Public spending and growth: the role of government accountability
by Atsuyoshi Morozumi & Francisco José Veiga - 2014/17 The optimal distribution of the tax burden over the business cycle
by Konstantinos Angelopoulos & Stylianos Asimakopoulos & James Malley - 2014/16 Electoral effects on the composition of public spending and revenue: evidence from a large panel of countries
by Atsuyoshi Morozumi & Francisco Jose Veiga & Linda Goncalves Veiga - 2014/15 The Importance of a Time-Varying Variance and Cross-Country Interactions in Forecast Models
by Steven Trypsteen - 2014/14 Cross-Country Interactions, the Great Moderation and the Role of Output Volatility in Growth
by Steven Trypsteen - 2014/13 Globalization, Wage Polarization, and the Unstable Great Ratio
by Guido Cozzi & Giammario Impullitti - 2014/12 Optimal progressive taxation in a model with endogenous skill supply
by Stylianos Asimakopoulos & James Malley & Konstantinos Angelopoulos - 2014/11 Tax smoothing in a business cycle model with capital-skill complementarity
by Stylianos Asimakopoulos & James Malley & Konstantinos Angelopoulos - 2014/10 Cross-Country Interactions, the Great Moderation and the Role of Output Volatility in Growth
by Steven Trypsteen - 2014/09 Rented vs. Owner-Occupied Housing and Monetary Policy
by Margarta Rubio - 2014/08 The Effects of News Events on Market Contagion: Evidence from the 2007-2009 Financial Crisis
by Thanaset Chevapatrakul & Kai-Hong Tee - 2014/07 Credit Constraints and Spillovers from Foreign Firms in China
by Natasha Agarwal & Chris Milner & Alejandro Riano - 2014/06 Forecasting Global Recessions in a GVAR Model of Actual and Expected Output in the G7
by Anthony Garratt & Kevin Lee & Kalvinder Shields - 2014/05 Firm Dynamics and Residual Inequality in Open Economies
by Gabriel Felbermayr & Giammario Impullitti & Julien Prat - 2014/04 Complex Financial Networks and Systemic Risk: A Review
by Spiros Bougheas & Alan Kirman - 2014/03 Macroprudential Policy Implementation in a Heterogeneous Monetary Union
by Margarita Rubio - 2014/02 A non-monotonic relationship between public debt and economic growth: the effect of financial monopsony
by Mark Roberts - 2013/01 The maximum debt-GDP ratio and endogenous growth in the Diamond overlapping generations model: Three overlapping generations are better than two
by Mark Roberts
2013
- 2013/10 This Time They’re Different: Heterogeneity and Nonlinearity in the Relationship between Debt and Growth
by Markus Eberhardt & Andrea F. Presbitero - 2013/09 Bond Spreads and Economic Activity in Eight European Economies
by Michael Bleaney & Paul Mizen & Veronica Veleanu - 2013/08 Lead-Lag Relationships and Institutional Ownership: Evidence from an Embryonic Equity Market
by Vaalmikki Argoon & Spiros Bougheas & Chris Milner - 2013/07 Fiscal rules and the maximum sustainable size of the public debt in the Diamond overlapping generations model
by Mark A Roberts - 2013/06 Nonlinearities in the Relationship between Debt and Growth: Evidence from Co-Summability Testing
by Markus Eberhardt - 2013/05 Macroprudential Measures, Housing Markets and Monetary Policy
by José A Carrasco-Gallego & Margarita Rubio - 2013/04 Macroprudential and Monetary Policies: Implications for Financial Stability and Welfare
by José A Carrasco-Gallego & Margarita Rubio - 2013/03 Recent Reforms in Spanish Housing Markets: An Evaluation using a DSGE Model
by Juan S Mora-Sanguinetti & Margarita Rubio - 2013/02 Clustered Housing Cycles
by Rubén Hernández-Murillo & Michael T Owyang & Margarita Rubio - 2013/01 Can a Government Enhance Long-run Growth by Changing the Composition of Public Expenditure?
by Santiago Acosta-Ormaechea & Atsuyoshi Morozumi
2012
- 12/17 What Promotes Greater Use of the Corporate Bond Market? A Study of the Issuance Behaviour of Firms in Asia
by Paul Mizen & Serafeim Tsoukas - 12/16 Lessons from the Asian Crisis: An Open Economy Credit Channel Model where Export Status Matters
by Spiros Bougheas & Hosung Lim & Simona Mateut & Paul Mizen & Cihan Yalcin - 12/15 Why do firms issue abroad? Lessons from onshore and offshore corporate bond finance in Asian emerging markets
by Paul Mizen & Frank Packer & Eli Remolona & Serafeim Tsoukas - 12/14 No Going Back: How the Production Process Affects Access to Short-term Credit
by Simona Mateut & Paul Mizen & Ydriss Ziane - 12/13 Endogenous Participation in Imperfect Labour and Capital Markets
by Spiros Bougheas & Richard Upward - 12/12 Idiosyncratic Uncertainty, Asymmetric Information, and Private Credit
by Santiago Acosta-Ormaechea & Atsuyoshi Morozumi - 12/11 Bond Spreads as Predictors of Economic Activity in Eight European Economies
by Michael Bleaney & Paul Mizen & Veronica Veleanu - 12/10 Pooling, Tranching and Credit Expansion
by Spiros Bougheas - 12/09 Housing Market and Current Account Imbalances in the International Economy
by Maria Teresa Punzi - 12/08 Expectations-Driven Cycles in the Housing Market
by Luisa Lambertini & Caterina Mendicino & Maria Teresa Punzi - 12/07 The conflating effects of education and financial competition in an OLG growth model with Nelson-Phelps human capital
by Mark A Roberts - 12/06 Financial Literacy and Consumer Credit Portfolios
by Richard Disney & John Gathergood - 12/05 The Impact of the Global Financial Crisis on European Banking Efficiency
by Haider Alzubaidi & Spiros Bougheas - 12/04 Self-control, Financial Literacy and the Co-holding Puzzle
by John Gathergood & Jörg Weber - 12/03 Unemployment Expectations, Credit Commitments and Psychological Health
by John Gathergood - 12/02 Self-Control, Financial Literacy and Consumer Over-Indebtedness
by John Gathergood - 12/01 Financial literacy and consumer credit use
by Richard Disney & John Gathergood
2011
- 11/15 The open economy balance sheet channel and the exporting decisions of firms: Evidence from the Brazilian crisis of 1999
by Spiros Bougheas & Paul Mizen & Simone Silva - 11/14 A portfolio explanation of the relationship between macroeconomic volatility and economic growth
by Mark A. Roberts - 11/13 Deep Habits in the New Keynesian Phillips Curve
by Thomas A. Lubik & Wing Leong Teo - 11/12 Reverse trade credit - the use of prepayments by French firms
by Simona Mateut - 11/11 External Sovereign Debt in a Monetary Union: Bailouts and the Role of Corruption
by Carolina Achury & Christos Koulovatianos & John Tsoukalas - 11/10 Debt and Depression: Evidence on Casual Links and Social Stigma Effects
by John Gathergood - 11/09 Racial Disparities in Credit Constraints in the Great Recession: Evidence from the UK
by John Gathergood - 11/08 Public Sector Debt Dynamics: The Persistence and Sources of Shocks to Debt in Ten EU Countries
by Massimo Antonini & Kevin Lee & Jacinta Pires - 11/07 The Meta Taylor Rule
by Kevin Lee & James Morley & Kalvinder Shields - 11/06 Learning, Capital-Embodied Technology and Aggregate Fluctuations
by Christoph Görtz & John Tsoukalas - 11/05 Financial Literacy ad Indebtedness: New Evidence for UK Consumers
by Richard Disney & John Gathergood - 11/04 No Going Back: The Interactions Between Processed Inventories and Trade Credit
by Simona Mateut & Paul Mizen & Ydriss Ziane - 11/03 The Impact of Financial Market Frictions on Trade Flows, Capital Flows and Economic Development
by Spiros Bougheas & Rod Falvey - 11/02 Inventories and sales uncertainty
by Mustafa Caglayan & Sara Maioli & Simona Mateut - 11/01 The High Cross-Country Correlations of Prices and Interest Rates
by Espen Henriksen & Finn E. Kydland & Roman Sustek
2010
- 10/09 Investment Shocks and the Comovement Problem
by John Tsoukala & Hashmat Khan - 10/08 Decision-Making in Hard Times: What is a Recession, Why Do We Care and When Do We Know We Are in One?
by Kevin Lee & Kalvinder Shields - 10/07 Measuring the Natural Output Gap Using Actual and Expected Output Data
by Kevin Lee & Anthony Garratt & Kalvinder Shields - 10/06 Financial Constraints, the Distribution of Wealth and International Trade
by Emmanuel Amissah & Spiros Bougheas & Rod Falvey - 10/05 The Social Dimension to the Consumer Bankruptcy Decision
by John Gathergood - 10/04 The Consumer Response to House Price Falls
by John Gathergood - 10/03 Interest rate Pass-Through in the Major European Economies - The Role of Expectations
by Anindya Banerjee & Victor Bystrov & Paul Mizen - 10/02 Inventories, Inflation Dynamics and the New Keynesian Phillips Curve
by Thomas A Lubik & Wing Teong Teo - 10/01 Saving Rates and Portfolio Choice with Subsistence Consumption
by Carolina Achury & Sylwia Hubar & Christos Koulovatianos
2009
- 09/14 Money and Information in a New Neoclassical Synthesis Framework
by John Tsoukalas & Philip Arestis & Georgios Chortareas - 09/13 Input and Output Inventories in the UK
by John Tsoukalas - 09/12 Does the Investment Opportunities Bias Affect the Investment-Cash Flow Sensitivities of Unlisted SMEs?
by Bert D’Espallier & Alessandra Guariglia - 09/11 Internal Finance and Growth: Microeconometric Evidence on Chinese Firms
by Alessandra Guariglia & Xiaoxuan Liu & Lina Song - 09/10 National Labor Markets, International Factor Mobility and Macroeconomic Instability
by Marta Aloi & Teresa Lloyd-Braga - 09/09 Inventory Investment, Global Engagement, and Financial Constraints in the UK: Evidence from Micro Data
by Simona Mateut & Alessandra Guariglia - 09/08 Evidence on the Insurance Effect of Redistributive Taxation
by Christos Koulovatianos & Charles Grant & Alex Michaelides & Mario Padula - 09/07 Income Uncertainty, House Price Uncertainty and the Transition Into Home Ownership in the United Kingdom
by John Gathergood - 09/06 Inventories and Optimal Monetary Policy
by Thomas A. Lubik & Wing Leong Teo - 09/05 Time to Build Capital: Revisiting Investment-Cashflow Sensitivities
by John Tsoukalas - 09/04 Do Financial Factors Affect The Capital-Labour Ratio: Evidence From UK Firm-Level Data
by Marina-Eliza Spaliara - 09/03 Income Shocks, Mortgage Repayment Risk and Financial Distress Among UK Households
by John Gathergood - 09/02 House Price Volatility and Household Indebtedness in the United States and the United Kingdom
by Richard Disney & John Gathergood - 09/01 How Does Reputation Influence a Firm's Decision to Issue Corporate Bonds? New Evidence From Initial and Seasoned Public Debt Offerings
by Paul Mizen & John Tsoukalas & Serafeim Tsoukas
2008
- 08/10 Unionized Labor Markets and Globalized Capital Markets
by Marta Aloi & Manuel Leite-Monteiro & Teresa Lloyd-Braga - 08/09 Corporate trade credit and inventories: New evidence of a tradeoff from accounts payable and receivable
by Simona Mateut & Spiros Bougheas & Paul Mizen - 08/08 Optimal Growth and Uncertainty: Learning
by Christos Koulovatianos, & Leonard J. Mirman & Marc Santugini - 08/07 Nonmarket Household Time and the Cost of Children
by Christos Koulovatianos & Carsten Schröder & Ulrich Schmidt - 08/06 Liquidity, Inflation and Asset Prices in a Time-Varying Framework for the Euro Area
by Christiane Baumeister & Eveline Durinck & Gert Peersman - 08/05 The Pass Through From Market Interest Rates to Retail Bank Rates in Germany
by Sophia Mueller-Spahn - 08/04 Volatility, Financial Constraints and Trade
by Maria Garcia-Vega & Alessandra Guariglia - 08/03 Housing Wealth, Liquidity Constraints and Self-Employment
by Richard Disney & John Gathergood - 08/02 What Effect has Bond Market Development in Asia had on the Issue of Corporate Bonds
by Paul Mizen & Serafeim Tsoukas - 08/01 Modelling the Persistence of Credit Ratings When Firms Face Financial Constraints, Recessions and Credit Crunches
by Paul Mizen & Serafeim Tsoukas
2007
- 07/11 Investment behavior, observable expectations, and internal funds: a comment on Cummins et al. (AER, 2006)
by Robert E. Carpenter & Alessandra Guariglia - 07/10 The Cyclical Dynamics of Investment: The Role of Financing and Irreversibility Constraints
by John D. Tsoukalas - 07/09 An Open Economy Model of the Credit Channel Applied to Four Asian Economies
by Spiros Bougheasa & Paul Mizena & Cihan Yalcina - 07/08 Household Credit and Probability Forecasts of Financial Distress in the United Kingdom
by Paul Mizen & Kevin Lee - 07/07 Predicting Directional Changes in Interest Rates: Gains from Using Information from Monetary Indicators
by Tae-Hwan Kima & Paul Mizena & Alan Thanaset - 07/06 Estimating Monetary Reaction Functions at Near Zero Interest Rates: An Example Using Japanese Data
by Tae-Hwan Kima & Paul Mizena - 07/05 Evaluating the Taylor Principle Over the Distribution of the Interest Rate: Evidence from the US, UK and Japan
by Paul Mizen & Tae-Hwan Kim & Alan Thanaset - 07/04 Forecasting Changes in UK Interest Rates
by Tae-Hwan Kim & Paul Mizen & Alan Thanaset - 07/03 Internal financial constraints, external financial constraints, and investment choice: Evidence from a panel of UK firms
by Alessandra Guariglia - 07/02 Household saving rates and the design of public pension programmes: cross-country evidence
by Richard Disney - 07/01 Pension Provision and Retirement Saving: Lessons from the United Kingdom
by Richard Disney & Carl Emmerson & Matthew Wakefield
2006
- 06/04 Evidence on the external finance premium from the US and emerging Asian corporate bond markets
by Paul Mizen & Serafeim Tsoukas - 06/03 Public policy and retirement saving incentives in the UK
by Woojin Chung & Richard Disney & Carl Emmerson & Matthew Wakefield - 06/02 Debt and depression
by Richard Disney & Sarah Bridges - 06/01 Housing Wealth and Household Indebtedness: Is there a Household 'Financial Accelerator'?
by Richard Disney & Sarah Bridges & John Gathergood
2005
- 05/02 Credit channel, trade credit channel, and inventory investment: evidence from a panel of UK firms
by Simona Mateut & Alessandra Guariglia - 05/01 Trade Credit, Bank Lending and Monetary Policy Transmission
by Simona Mateut & Spiros Bougheas & Paul Mizen