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Items where Division is "Financial Markets Group" and Year is 2013

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Number of items: 39.

A

Agnello, Luca, Castro, Vítor and Sousa, Ricardo (2013) What determines the duration of a fiscal consolidation program? Journal of International Money and Finance, 37. pp. 113-134. ISSN 0261-5606

Agnello, Luca, Furceri, Davide and Sousa, Ricardo J. (2013) How best to measure discretionary fiscal policy?: assessing its impact on private spending. Economic Modelling, 34. pp. 15-24. ISSN 0264-9993

Anderlini, Luca, Felli, Leonardo, Immordino, Giovanni and Riboni, Alessandro (2013) Legal institutions, innovation, and growth. International Economic Review, 54 (3). pp. 937-956. ISSN 0020-6598

Avgouleas, Emilios, Goodhart, Charles and Schoenmaker, Dirk (2013) Bank Resolution Plans as a catalyst for global financial reform. Journal of Financial Stability, 9 (2). pp. 210-218. ISSN 1572-3089

Axelson, Ulf (2013) A theory of the evolution of derivatives markets. Financial Markets Group discussion paper (DP723). Financial Markets Group, The London School of Economics and Political Science, London, UK.

B

Bhattacharya, Sudipto and Guriev, Sergei (2013) Control rights over intellectual property. Journal of Industrial Economics, 61 (3). pp. 564-591. ISSN 0022-1821

Boucher, Christophe M., Danielsson, Jon, Kouontchou, Patrick S. and Maillet, Bertrand B. (2013) Risk models–at–risk. SRC Discussion Paper (No 8). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Boudt, Kris, Danielsson, Jon and Laurent, Sebastien (2013) Robust forecasting of dynamic conditional correlation GARCH models. International Journal of Forecasting, 29 (2). pp. 244-257. ISSN 0169-2070

Breinlich, Holger and Cuñat, Alejandro (2013) Geography, non-homotheticity, and industrialization: a quantitative analysis. Journal of Development Economics, 103. pp. 133-153. ISSN 0304-3878

Bruche, Max and Segura, Anatoli (2013) Debt maturity and the liquidity of secondary debt markets. Financial Markets Group discussion paper (DP726). Financial Markets Group, The London School of Economics and Political Science, London, UK.

C

Cassano, Francesca, Jõeveer, Karin and Svejnar, Jan (2013) Cash flow vs. collateral-based credit: performance of micro, small and medium-sized firms in transition economies. Economics of Transition, 21 (2). pp. 269-300. ISSN 0967-0750

Chaigneau, Pierre and Sahuguet, Nicolas (2013) The effect of monitoring on CEO pay practices in a matching equilibrium. Financial Markets Group discussion paper (DP725). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chwieroth, Jeffrey and Danielsson, Jon (2013) Political challenges of the macroprudential agenda. VoxEU.

Cuñat, Vicente, Gine, Mireia and Guadalupe, Maria (2013) Corporate governance and value: evidence from “close calls” on shareholder governance proposals. Journal of Applied Corporate Finance, 25 (1). pp. 44-54. ISSN 1078-1196

Cuñat, Vicente, Giné, Mireia and Guadalupe, Maria (2013) Say pays! Shareholder voice and firm performance. Financial Markets Group discussion paper (DP724). Financial Markets Group, The London School of Economics and Political Science, London, UK.

D

Danielsson, Jon (2013) Does risk forecasting help macroprudential policy makers? In: Marie Curie ITN Conference on Financial Risk Management & Risk Reporting, 2013-04-12.

Danielsson, Jon (2013) Global financial systems: stability and risk. Pearson, Harlow, UK. ISBN 9780273774662

Danielsson, Jon (2013) Iceland’s post-Crisis economy: A myth or a miracle? VoxEU.

Danielsson, Jon (2013) Issues in empirically modelling systemic risk. In: 18th Annual Workshop on the Economic Science with Heterogeneous Interacting Agents, 2013-06-20.

Danielsson, Jon (2013) The new market-risk regulations. VoxEU.

Danielsson, Jon, Jorgensen, Bjorn N., Samorodnitsky, Gennady, Sarma, Mandira and de Vries, Casper G. (2013) Fat tails, VaR and subadditivity. Journal of Econometrics, 172 (2). pp. 283-291. ISSN 0304-4076

Danielsson, Jon, Koijen, Ralph S.J., Laeven, Roger and Perotti, Enrico (2013) Solvency II: three principles to respect. VoxEU.

F

Ferreira, Daniel, Kershaw, David, Kirchmaier, Thomas and Schuster, Edmund-Philipp (2013) Shareholder empowerment and bank bailouts. Finance working papers (345/2013). European Corporate Governance Institute (ECGI), Brussels, Belgium.

Ferreira, Daniel and Kirchmaier, Thomas (2013) Corporate boards in Europe: size, independence and genderdiversity. In: Belcredi, Massimo and Ferrarini, Guido, (eds.) Boards and Shareholders in European Listed Companies: Facts, Context and Post-Crisis Reforms. International Corporate Law and Financial Market Regulation. Cambridge University Press, Cambridge, UK, pp. 191-224. ISBN 9781107040564

G

Goodhart, C. A. E. and Ashworth, J. P. (2013) QE: a successful start may be running into diminishing returns. Oxford Review of Economic Policy, 28 (4). pp. 640-670. ISSN 0266-903X

Goodhart, C. A. E. and Lee, D. J. (2013) Adjustment mechanisms in a currency area. Open Economies Review, 24 (4). pp. 627-656. ISSN 0923-7992

Goodhart, Charles (2013) Ratio controls need reconsideration. Journal of Financial Stability, 9 (3). pp. 445-450. ISSN 1572-3089

Goodhart, Charles, Kashyap, Anil K., Tsomocos, Dimitrios P. and Vardoulakis, Alexandros P. (2013) An integrated framework for analyzing multiple financial regulations. International Journal of Central Banking, 9 (Supp.1). pp. 109-144. ISSN 1815-4654

Goodhart, Charles, Peiris, M. U. and Tsomocos, Dimitrios P. (2013) Global imbalances and taxing capital flows. International Journal of Central Banking, 9 (2). pp. 13-44. ISSN 1815-4654

Goodhart, Charles A. E. (2013) Powers and scope of the macro-prudential authority. In: LaBrosse, John Raymond, Olivares-Caminal, Rodrigo and Singh, Dalvinder, (eds.) Financial Crisis Containment and Government Guarantees. Edward Elgar Publishing, Cheltenham, pp. 29-42. ISBN 9781781004999

Gottardi, Piero and Rahi, Rohit (2013) Risk sharing and retrading in incomplete markets. Economic Theory, 54 (2). pp. 287-304. ISSN 0938-2259

J

Jawadi, Fredj and Sousa, Ricardo J. (2013) Money demand in the euro area, the US and the UK: assessing the role of nonlinearity. Economic Modelling, 32 (1). pp. 507-515. ISSN 0264-9993

K

Kapoor, Sony and Goodhart, Charles (2013) Plans for a banking union may not be enough to tackle the eurozone’s economic crisis. European Politics and Policy at LSE (04 Feb 2013). Website.

M

Makarov, Igor and Plantin, Guillaume (2013) Equilibrium subprime lending. Journal of Finance, 68 (3). pp. 849-879. ISSN 0022-1082

Mallick, Sushanta K. and Sousa, Ricardo J. (2013) The real effects of financial stress in the Eurozone. International Review of Financial Analysis, 30. pp. 1-17. ISSN 1057-5219

Mallick, Sushanta K. and Sousa, Ricardo M. (2013) Commodity prices, inflationary pressures, and monetary policy: evidence from BRICS economies. Open Economies Review, 24 (4). pp. 677-694. ISSN 0923-7992

Massa, Massimo, Vermaelen, Theo and Xu, Moqi (2013) Rights offerings, trading, and regulation: a global perspective. Financial Markets Group discussion paper (DP727). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Stathopoulos, Andreas and Vedolin, Andrea (2013) International correlation risk. FMG discussion papers (DP716). Financial Markets Group, The London School of Economics and Political Science, London, UK.

V

Valenzuela, Marcela and Zer, Ilknur (2013) Competition, signaling and non-walking through the book: effects on order choice. Journal of Banking and Finance, 37 (12). pp. 5421-5435. ISSN 0378-4266

This list was generated on Thu Sep 24 06:05:48 2020 BST.