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Content
2019
- 250 Inflation expectations and choices of households
by Vellekoop, Nathanael & Wiederholt, Mirko
- 249 Job loss expectations, durable consumption and household finances: Evidence from linked survey data
by Pettinicchi, Yuri & Vellekoop, Nathanael
- 248 High-frequency trading and price informativeness
by Gider, Jasmin & Schmickler, Simon & Westheide, Christian
- 246 What drives banks' geographic expansion? The role of locally non-diversifiable risk
by Gropp, Reint E. & Noth, Felix & Schüwer, Ulrich
- 245 Smoking hot portfolios? Overtrading from self-control failure
by Uhr, Charline & Meyer, Steffen & Hackethal, Andreas
- 244 High-dimensional sparse financial networks through a regularised regression model
by Bernardi, Mauro & Costola, Michele
- 235 Pitfalls of central clearing in the presence of systematic risk
by Kubitza, Christian & Pelizzon, Loriana & Getmansky Sherman, Mila
- 207 Participation and losses in multi-level marketing: Evidence from an FTC settlement
by Bäckman, Claes & Hanspal, Tobin
- 201 Optimal taxes on capital in the OLG model with uninsurable idiosyncratic income risk
by Krueger, Dirk & Ludwig, Alexander
- 160 CEO investment of deferred compensation plans and firm performance
by Cambrea, Domenico Rocco & Colonnello, Stefano & Curatola, Giuliano & Fantini, Giulia
- 155 Mortgage supply and the US housing boom: The role of the Community Reinvestment Act
by Saadi, Vahid
- 146 Taming models of prospect theory in the wild? Estimation of Vlcek and Hens (2011)
by Jakusch, Sven Thorsten & Meyer, Steffen & Hackethal, Andreas
- 126 Ownership, Wealth, and Risk Taking: Evidence on Private Equity Fund Managers
by Bienz, Carsten & Thorburn, Karin & Walz, Uwe
- 125 [rev.] Does say on pay matter? Evidence from Germany
by Tröger, Tobias H. & Walz, Uwe
- 92 Optimal carbon abatement in a stochastic equilibrium model with climate change
by Hambel, Christoph & Kraft, Holger & Schwartz, Eduardo S.
2018
- 243 Professional networks and their coevolution with executive careers: Evidence from North America and Europe
by Berardi, Nicoletta & Lalanne, Marie & Seabright, Paul
- 241 Financial constraints and corporate environmental responsibility
by Götz, Martin
- 237 Explaining intra-monthly consumption patterns: The timing of income or the timing of consumption commitments?
by Vellekoop, Nathanael
- 236 Statistical inferences for price staleness
by Kolokolov, Aleksey & Livieri, Giulia & Pirino, Davide
- 233 Can households see into the future? Survey evidence from the Netherlands
by Massenot, Baptiste & Pettinicchi, Yuri
- 232 Debt holder monitoring and implicit guarantees: Did the BRRD improve market discipline?
by Cutura, Jannic Alexander
- 231 Liquidity provider incentives in fragmented securities markets
by Clapham, Benjamin & Gomber, Peter & Lausen, Jens & Panz, Sven
- 230 Lighting up the dark: Liquidity in the German corporate bond market
by Gündüz, Yalin & Ottonello, Giorgio & Pelizzon, Loriana & Schneider, Michael & Subrahmanyam, Marti G.
- 229 Asset pricing in OLG economies with borrowing constraints and idiosyncratic income risk
by Harenberg, Daniel
- 228 Idiosyncratic volatility puzzle: The role of assets' interconnections
by Panzica, Roberto Calogero
- 226 Central bank-driven mispricing
by Pelizzon, Loriana & Subrahmanyam, Marti G. & Tomio, Davide & Uno, Jun
- 225 Networks in risk spillovers: A multivariate GARCH perspective
by Billio, Monica & Caporin, Massimiliano & Frattarolo, Lorenzo & Pelizzon, Loriana
- 224 Portfolio similarity and asset liquidation in the insurance industry
by Girardi, Giulio & Hanley, Kathleen Weiss & Nikolova, Stanislava & Pelizzon, Loriana & Getmansky, Mila
- 223 Quantifying inertia in retail deposit markets
by Deuflhard, Florian
- 222 Reviving the shadow banking chain in Europe: Regulatory agency, technical complexity and the dynamics of co-habitation
by Endrejat, Vanessa & Thiemann, Matthias
- 221 Endogenous retirement behavior of heterogeneous households under pension reforms
by Börsch-Supan, Axel & Härtl, Klaus & Leite, Duarte & Ludwig, Alexander
- 220 Local peer effects and corporate investment
by Bao, Yangming & Goetz, Martin
- 219 Client involvement in expert advice: Antibiotics in finance?
by Hackethal, Andreas & Laudenbach, Christine & Meyer, Steffen & Weber, Annika
- 218 Only time will tell: A theory of deferred compensation
by Hoffmann, Florian & Inderst, Roman & Opp, Marcus M.
- 217 Financial literacy and socialist education: Lessons from the German reunification
by Davoli, Maddalena & Hou, Jia
- 216 Pricing sin stocks: Ethical preference vs. risk aversion
by Colonnello, Stefano & Curatola, Giuliano & Gioffré, Alessandro
- 215 The pricing implications of the oligopolistic securities lending market: A beneficial owner perspective
by Huszár, Zsuzsa R. & Simon, Zorka
- 214 All economic ideas are equal, but some are more equal than others: A differentiated perspective on macroprudential ideas and their implementation
by Ibrocevic, Edin & Thiemann, Matthias
- 213 Effects of government spending on employment: Evidence from winners and runners-up in procurement auctions
by Gugler, Klaus & Weichselbaumer, Michael & Zulehner, Christine
- 212 Incentive effects from write-down CoCo bonds: An empirical analysis
by Hesse, Henning
- 211 Bargaining with a bank
by Mosk, Thomas
- 210 Volatility-of-volatility risk
by Huang, Darien & Schlag, Christian & Shaliastovich, Ivan & Thimme, Julian
- 209 Pro-rich inflation in Europe: Implications for the measurement of inequality
by Gürer, Eren & Weichenrieder, Alfons J.
- 208 Financial bridges and network communities
by Casarin, Roberto & Costola, Michele & Yenerdag, Erdem
- 205 Financial education for the disadvantaged? A review
by Entorf, Horst & Hou, Jia
- 204 The impact of monetary policy iInterventions on the insurance industry
by Pelizzon, Loriana & Sottocornola, Matteo
- 203 Pushing through or slacking off? Heterogeneity in the reaction to rank feedback
by Hett, Florian & Schmidt, Felix
- 202 Germany's reluctance to regulate related party transactions: An industrial organization perspective
by Tröger, Tobias
- 198 The macroeconomic effects of asset purchases revisited
by Hesse, Henning & Hofmann, Boris & Weber, James
- 197 Circuit breakers: A survey among international trading venues
by Clapham, Benjamin & Gomber, Peter & Haferkorn, Martin & Jentsch, Paul & Panz, Sven
- 167 Natural disasters and bank stability: Evidence from the U.S. financial system
by Noth, Felix & Schüwer, Ulrich
- 156 Bank response to higher capital requirements: Evidence from a quasi-natural experiment
by Gropp, Reint E. & Mosk, Thomas & Ongena, Steven & Wix, Carlo
2017
- 199 Regulation of crowdfunding in Germany
by Tröger, Tobias
- 196 Coordination of circuit breakers? Volume migration and volatility spillover in fagmented markets
by Clapham, Benjamin & Gomber, Peter & Panz, Sven
- 195 Managing excess volatility: Design and effectiveness of circuit breakers
by Clapham, Benjamin & Gomber, Peter & Haferkorn, Martin & Panz, Sven
- 191 Financial constraints, newly founded firms and the financial crisis
by Hirsch, Julia & Walz, Uwe
- 190 How persistent low expected returns alter optimal life cycle saving, investment, and retirement behavior
by Horneff, Vanya & Maurer, Raimond & Mitchell, Olivia S.
- 189 The long-run real effects of banking crises: Firm-level investment dynamics and the role of wage rigidity
by Wix, Carlo
- 188 Global temperature, R&D expenditure, and growth
by Donadelli, Michael & Grüning, Patrick & Jüppner, Marcus & Kizys, Renatas
- 187 Can firms see into the future? Survey evidence from Germany
by Massenot, Baptiste & Pettinicchi, Yuri
- 186 Level and slope of volatility smiles in Long-Run Risk Models
by Branger, Nicole & Rodrigues, Paulo & Schlag, Christian
- 185 Heterogeneity in the Internationalization of R&D: Implications for anomalies in finance and macroeconomics
by Grüning, Patrick
- 184 Remarks on the German Regulation of Crowdfunding
by Tröger, Tobias H.
- 183 The missing piece of the puzzle: Liquidity premiums in inflation-indexed markets
by Driessen, Joost & Nijman, Theo E. & Simon, Zorka
- 182 Coming early to the party
by Bellia, Mario & Pelizzon, Loriana & Subrahmanyam, Marti & Uno, Jun & Yuferova, Darya
- 181 Consumption-Portfolio Choice with Preferences for Cash
by Kraft, Holger & Weiss, Farina
- 180 Why MREL won't help much: Minimum requirements for bail-in capital as insufficient remedy for defunct private sector involvement under the European bank resolution framework
by Tröger, Tobias H.
- 179 Too complex to work: A critical assessment of the bail-in tool under the European bank recovery and resolution regime
by Tröger, Tobias H.
- 178 United in diversity? The relationship between monetary policy and prudential supervision in the banking union
by Goldmann, Matthias
- 177 Temperature shocks and welfare costs
by Donadelli, Michael & Jüppner, Marcus & Riedel, Max & Schlag, Christian
- 176 International capital markets with time-varying preferences
by Curatola, Giuliano & Dergunov, Ilya
- 175 International banking conglomerates and the transmission of lending shocks across borders
by Gropp, Reint & Radev, Deyan
- 174 Social centralization, bank integration and the transmission of lending shocks
by Gropp, Reint & Radev, Deyan
- 173 Liquidity premia in CDS markets
by Kamga, Merlin Kuate & Wilde, Christian
- 172 Systemic risk for financial institutions of major petroleum-based economies: The role of oil
by Khalifa, Ahmed & Caporin, Massimiliano & Costola, Michele & Hammoudeh, Shawkat
- 171 Innovation dynamics and fiscal policy: Implications for growth, asset prices, and welfare
by Donadelli, Michael & Grüning, Patrick
- 168 Women form social networks more selectively and less opportunistically than men
by Friebel, Guido & Lalanne, Marie & Richter, Bernard & Schwardmann, Peter & Seabright, Paul
- 166 The impact of network connectivity on factor exposures, asset pricing and portfolio diversification
by Billio, Monica & Caporin, Massimiliano & Panzica, Roberto Calogero & Pelizzon, Loriana
- 165 Estimation and model-based combination of causality networks
by Bonaccolto, Giovanni & Caporin, Massimiliano & Panzica, Roberto Calogero
- 164 Optimal social security claiming behavior under lump sum incentives: Theory and evidence
by Maurer, Raimond & Mitchell, Olivia S. & Rogalla, Ralph & Schimetschek, Tatjana
- 163 Technology trade with asymmetric tax regimes and heterogeneous labor markets: Implications for macro quantities and asset prices
by Curatola, Giuliano & Donadelli, Michael & Grüning, Patrick
- 162 Asymmetric social norms
by Camera, Gabriele & Gioffré, Alessandro
- 152 Whatever it takes: The real effects of unconventional monetary policy
by Acharya, Viral & Eisert, Tim & Eufinger, Christian & Hirsch, Christian
- 148 On the applicability of maximum likelihood methods: From experimental to financial data
by Jakusch, Sven Thorsten
- 144 Low-latency trading and price discovery: Evidence from the Tokyo Stock Exchange in the pre-opening and opening periods
by Bellia, Mario & Pelizzon, Loriana & Subrahmanyam, Marti G. & Uno, Jun & Yuferova, Darya
- 139 Predictors and portfolios over the life cycle: Skill vs. luck
by Kraft, Holger & Munk, Claus & Weiss, Farina
- 134 Reputation, honesty, and cheating in informal milk markets in India
by Kröll, Markus & Rustagi, Devesh
- 132 Rent-seeking in elite networks
by Haselmann, Rainer & Schoenherr, David & Vig, Vikrant
- 94 How do banks react to catastrophic events? Evidence from Hurricane Katrina
by Schüwer, Ulrich & Lambert, Claudia & Noth, Felix
- 59 Idiosyncratic risk, aggregate risk, and the welfare effects of social security
by Harenberg, Daniel & Ludwig, Alexander
- 6 Growth options and firm valuation
by Kraft, Holger & Schwartz, Eduardo S. & Weiss, Farina
2016
- 240 Life insurance and demographic change: An empirical analysis of surrender decisions based on panel data
by Gemmo, Irina & Götz, Martin
- 170 Older people's willingness to delay social security claiming
by Maurer, Raimond & Mitchell, Olivia S.
- 161 The effect of personal financing disruptions on entrepreneurship
by Hanspal, Tobin
- 159 Which market integration measure?
by Billio, Monica & Donadelli, Michael & Paradiso, Antonio & Riedel, Max
- 158 Globally dangerous diseases: Bad news for Main Street, good news for Wall Street?
by Donadelli, Michael & Kizys, Renatas & Riedel, Max
- 157 Does feedback on personal investment success help?
by Meyer, Steffen & Urban, Linda & Ahlswede, Sophie
- 154 Shareholder wealth vs. stakeholder interests? Evidence from code compliance under the German corporate governance code
by Haar, Brigitte
- 153 The financing dynamics of newly founded firms
by Hirsch, Julia & Walz, Uwe
- 151 How has sovereign bond market liquidity changed? An illiquidity spillover analysis
by Schneider, Michael & Lillo, Fabrizio & Pelizzon, Loriana
- 150 Putting the pension back in 401(k) plans: Optimal versus default longevity income annuities
by Horneff, Vanya & Maurer, Raimond & Mitchell, Olivia S.
- 149 Systemic co-jumps
by Caporin, Massimiliano & Kolokolov, Alexey & Renò, Roberto
- 147 Taring all investors with the same brush? Evidence for heterogeneity in individual preferences from a maximum likelihood approach
by Hackethal, Andreas & Jakusch, Sven Thorsten & Meyer, Steffen
- 145 Secular stagnation? Growth, asset returns and welfare in the next decades: First results
by Geppert, Christian & Ludwig, Alexander & Abiry, Raphael
- 143 Spoilt for choice: Order routing decisions in fragmented equity markets
by Gomber, Peter & Sagade, Satchit & Theissen, Erik & Weber, Moritz Christian & Westheide, Christian
- 142 The impact of long-run macroeconomic experiences on personality
by Vellekoop, Nathanaël
- 141 Freedom of contract and financial stability through the lens of the Legal Theory of Finance (LTF): LTF approaches to ABS, Pari Passu-Clauses, CCPs, and Basel III
by Haar, Brigitte
- 140 The forward-looking disclosures of corporate managers: Theory and evidence
by Gropp, Reint E. & Karapandza, Rasa & Opferkuch, Julian
- 138 How economics got it wrong: Formalism, equilibrium modelling and pseudo-optimization in banking regulatory studies
by Aldegwy, Mohamed & Thiemann, Matthias
- 137 A stochastic forward-looking model to assess the profitability and solvency of European insurers
by Berdin, Elia & Pancaro, Cosimo & Kok Sørensen, Christoffer
- 136 Understanding the shift from micro to macro-prudential thinking: A discursive network analysis
by Thiemann, Matthias & Aldegwy, Mohamed & Ibrocevic, Edin
- 135 Governance in entrepreneurial ecosystems: Venture capitalists vs. technology parks
by Cumming, Douglas & Werth, Jochen Christian & Zhang, Yelin
- 133 The political economy of bank bailouts
by Behn, Markus & Haselmann, Rainer & Kick, Thomas & Vig, Vikrant
- 131 [rev.] Commodities, financialization, and heterogeneous agents
by Branger, Nicole & Grüning, Patrick & Schlag, Christian
- 131 Commodities, financialization, and heterogeneous agents
by Branger, Nicole & Grüning, Patrick & Schlag, Christian
- 130 Optimal consumption and portfolio choice with loss aversion
by Curatola, Giuliano
- 129 Investment-specific shocks, business cycles, and asset prices
by Curatola, Giuliano & Donadelli, Michael & Grüning, Patrick & Meinerding, Christoph
- 128 Preference evolution and the dynamics of capital markets
by Curatola, Giuliano
- 127 Competition in treasury auctions
by Elsinger, Helmut & Schmidt-Dengler, Philipp & Zulehner, Christine
- 125 Does say on pay matter? Evidence from the German natural experiment
by Troeger, Tobias H. & Walz, Uwe
- 124 The intended and unintended consequences of financial-market regulations: A general equilibrium analysis
by Buss, Adrian & Dumas, Bernard & Uppal, Raman & Vilkov, Grigory
- 123 The old boy network: The impact of professional networks on remuneration in top executive jobs
by Lalanne, Marie & Seabright, Paul
- 122 [rev.] Entrepreneurial spawning: Experience, education, and exit
by Cumming, Douglas & Walz, Uwe & Werth, Jochen Christian
- 119 Leaning against the wind: Debt financing in the face of adversity
by Brennan, Michael J. & Kraft, Holger
- 118 [rev.] A quasi real-time leading indicator for the EU industrial production
by Donadelli, Michael & Paradiso, Antonio & Riedel, Max
- 91 Too interconnected to fail: A survey of the Interbank Networks literature
by Hüser, Anne-Caroline
- 83 International endogenous growth, macro anomalies, and asset prices
by Grüning, Patrick
- 72 Endogenous grids in higher dimensions: Delaunay interpolation and hybrid methods
by Ludwig, Alexander & Schön, Matthias
- 60 Direct and indirect risk-taking incentives of inside debt
by Colonnello, Stefano & Curatola, Giuliano & Ngoc Giang Hoang
- 52 Optimal consumption and investment with Epstein-Zin recursive utility
by Kraft, Holger & Seiferling, Thomas & Seifried, Frank Thomas
- 47 Pricing in retail financial markets and the fallacies of consumer education
by Kosfeld, Michael & Schüwer, Ulrich
- 36 Bank rescues and bailout expectations: The erosion of market discipline during the financial crisis
by Hett, Florian & Schmidt, Alexander
- 35 Competition between equity markets: A review of the consolidation versus fragmentation debate
by Gomber, Peter & Sagade, Satchit & Theissen, Erik & Weber, Moritz Christian & Westheide, Christian
- 9 [rev.] Incentive-based capital requirements
by Eufinger, Christian & Gill, Andrej
2015
- 122 The dynamics of entrepreneurial careers in high-tech ventures: Experience, education, and exit
by Cumming, Douglas & Walz, Uwe & Werth, Jochen Christian
- 121 Insurance activities and systemic risk
by Berdin, Elia & Sottocornola, Matteo
- 120 Signaling cooperation
by Heinz, Matthias & Schumacher, Heiner
- 118 A novel ex-ante leading indicator for the EU industrial production
by Donadelli, Michael & Paradiso, Antonio & Riedel, Max
- 117 Interbank funding as insurance mechanism for (persistent) liquidity shocks
by Bluhm, Marcel
- 116 On the distributive effects of inflation
by Gottlieb, Charles
- 115 Asset market participation and portfolio choice over the life-cycle
by Fagereng, Andreas & Gottlieb, Charles & Guiso, Luigi
- 114 "Nobody is perfect": Asset pricing and long-run survival when heterogeneous investors exhibit different kinds of filtering errors
by Branger, Nicole & Schlag, Christian & Wu, Lue
- 113 Aggregate and distributional effects of increasing taxes on top income earners
by Brüggemann, Bettina & Yoo, Jinhyuk
- 112 On deficits and symmetries in a fiscal capacity
by Hebous, Shafik & Weichenrieder, Alfons J.
- 111 Are tax havens good? Implications of the crackdown on secrecy
by Weichenrieder, Alfons J. & Xu, Fangying
- 110 [rev.] On the optimal provision of social insurance
by Krueger, Dirk & Ludwig, Alexander
- 110 On the optimal provision of social insurance
by Krueger, Dirk & Ludwig, Alexander
- 109 Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool
by Tröger, Tobias H.
- 108 Compensation schemes, liquidity provision, and asset prices: An experimental analysis
by Baghestanian, Sascha & Gortner, Paul & Massenot, Baptiste
- 107 Non-mandatory say on pay votes and AGM participation: Evidence from Germany
by Powell, Daniel & Rapp, Marc Steffen
- 106 Informal sector and economic development: The credit supply channel
by Massenot, Baptiste & Straub, Stéphane
- 105 A decentralization theorem of taxation
by Lipatov, Vilen & Weichenrieder, Alfons J.
- 104 Predictably irrational: Gambling for resurrection in experimental asset markets?
by Baghestanian, Sascha & Massenot, Baptiste
- 103 Measuring sovereign contagion in Europe
by Caporin, Massimiliano & Pelizzon, Loriana & Ravazzolo, Francesco & Rigobon, Roberto
- 102 [rev.] Multiplex interbank networks and systemic importance: An application to European data
by Aldasoro, Iñaki & Alves, Iván
- 102 Multiplex interbank networks and systemic importance: An application to European data
by Aldasoro, Iñaki & Alves, Iván
- 101 On the impact of leveraged buyouts on bank systemic risk
by Grupp, Marcel
- 100 Taking the lead: When non-banks arrange syndicated loans
by Grupp, Marcel
- 99 The influence of leveraged buyouts on target firms' competitors
by Grupp, Marcel & Rauch, Christian & Umber, Marc P. & Walz, Uwe
- 98 The effects of Contingent Convertible (CoCo) bonds on insurers' capital requirements under solvency II
by Niedrig, Tobias & Gründl, Helmut
- 97 Optimal asset allocation for interconnected life insurers in the low interest rate environment under solvency regulation
by Niedrig, Tobias
- 96 Banking Union and the governance of credit institutions: A legal perspective
by Binder, Jens-Hinrich
- 95 Sovereign credit risk, liquidity, and ECB intervention: Deus ex machina?
by Pelizzon, Loriana & Subrahmanyam, Marti G. & Tomio, Davide & Uno, Jun
- 93 Revisiting the narrative approach of estimating tax multipliers
by Hebous, Shafik & Zimmermann, Tom
- 90 Fiscal stimulus and labor market flexibility
by Topal, Pinar
- 89 Does exchange of information between tax authorities influence multinationals' use of tax havens?
by Braun, Julia & Weichenrieder, Alfons J.
- 88 Cross-border resolution of global banks
by Faia, Ester & Weder di Mauro, Beatrice
- 87 Bank networks: Contagion, systemic risk and prudential policy
by Aldasoro, Iñaki & Delli Gatti, Domenico & Faia, Ester
- 86 Financial education, literacy and investment attitudes
by Brugiavini, Agar & Cavapozzi, Danilo & Padula, Mario & Pettinicchi, Yuri
- 85 Housing habits and their implications for life-cycle consumption and investment
by Kraft, Holger & Munk, Claus & Wagner, Sebastian
- 84 Will they take the money and work? An empirical analysis of people's willingness to delay claiming social security benefits for a lump sum
by Maurer, Raimond & Mitchell, Olivia S. & Rogalla, Ralph & Schimetschek, Tatjana
- 77 Does austerity pay off?
by Born, Benjamin & Müller, Gernot J. & Pfeifer, Johannes
- 73 A life-cycle model with ambiguous survival beliefs
by Groneck, Max & Ludwig, Alexander & Zimper, Alexander
- 71 Social security in an analytically tractable overlapping generations model with aggregate and idiosyncratic risk
by Harenberg, Daniel & Ludwig, Alexander
- 67 Peer effects and risk sharing in experimental asset markets
by Baghestanian, Sascha & Gortner, Paul J. & van der Weele, Joël J.
- 65 The effects of a low interest rate environment on life insurers
by Berdin, Elia & Gründl, Helmut
- 63 Does product familiarity matter for participation?
by Fuchs-Schündeln, Nicola & Haliassos, Michael
- 58 Incompatible European partners? Cultural predispositions and household financial behavior
by Haliassos, Michalis & Jansson, Thomas & Karabulut, Yigitcan
- 56 Austerity, fiscal uncertainty, and economic growth: Insights from fiscally weak EU countries
by Curatola, Giuliano & Donadelli, Michael & Gioffré, Alessandro & Grüning, Patrick
- 54 Anchoring in experimental asset markets
by Baghestanian, Sascha & Walker, Todd B.
- 41 Asset prices in general equilibrium with recursive utility and illiquidity induced by transactions costs
by Buss, Adrian & Uppal, Raman & Vilkov, Grigory
2014
- 82 Aging and pension reform: Extending the retirement age and human capital formation
by Vogel, Edgar & Ludwig, Alexander & Börsch-Supan, Axel
- 81 Resolution planning and structural bank reform within the banking union
by Binder, Jens-Hinrich
- 80 Saving Europe? The unpleasant arithmetic of fiscal austerity in integrated economies
by Mendoza, Enrique G. & Tesar, Linda L. & Zhang, Jing
- 79 The time for austerity: Estimating the average treatment effect of fiscal policy
by Jordà, Òscar & Taylor, Alan M.
- 78 Austerity
by Dellas, Harris & Niepelt, Dirk
- 76 The output effect of fiscal consolidation plans
by Alesina, Alberto & Favero, Carlo & Giavazzi, Francesco
- 75 The limits of model-based regulation
by Behn, Markus & Haselmann, Rainer & Vig, Vikrant
- 70 Assessing systemic fragility: A probabilistic perspective
by Radev, Deyan
- 69 Control thyself: Self-control failure and household wealth
by Biljanovska, Nina & Palligkinis, Spyros
- 68 How special are they? Targeting systemic risk by regulating shadow banking
by Tröger, Tobias H.
- 66 Corporate groups: A German's European perspective
by Tröger, Tobias H.
- 64 A repeated principal-agent model with on-the-job search
by Herbold, Daniel
- 62 Financial incentives and loan officer behavior: Multitasking and allocation of effort under an incomplete contract
by Behr, Patrick & Drexler, Alejandro & Gropp, Reint E. & Guettler, Andre
- 61 Vertical fiscal imbalances and the accumulation of government debt
by Aldasoro, Iñaki & Seiferling, Mike
- 57 Financial regulation in the EU: Cross-border capital flows, systemic risk and the European Banking Union as reference points for EU financial market integration
by Haar, Brigitte
- 55 Measuring ambiguity aversion: A systematic experimental approach
by Krahnen, Jan Pieter & Ockenfels, Peter & Wilde, Christian
- 53 Consumption and wage humps in a life-cycle model with education
by Kraft, Holger & Munk, Claus & Seifried, Frank Thomas & Steffensen, Mogens