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Group by: Creators | Item Type | No Grouping
Jump to: A | B | C | D | F | G | L | O | R | S | V | X
Number of items: 32.

A

Agnello, Luca and Sousa, Ricardo M. (2014) The determinants of the volatility of fiscal policy discretion. Fiscal Studies, 35 (1). pp. 91-115. ISSN 0143-5671

Allen, Franklin, Vayanos, Dimitri and Vives, Xavier (2014) Introduction to financial economics. Journal of Economic Theory, 149. pp. 1-14. ISSN 1095-7235

Anderson, Ronald (2014) Systemic risk: creation and perception. In: DTCC Risk Forum, 2014-03-27. (Submitted)

Anderson, Ronald W. and Jõeveer, Karin (2014) The economics of collateral. SRC Discussion Paper (No 12). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Anton, Miguel and Polk, Christopher (2014) Connected stocks. Journal of Finance, 69 (3). 1099 - 1127. ISSN 0022-1082

B

Backus, David, Chernov, Mikhail and Zin, Stanley (2014) Sources of entropy in dynamic representative agent models. Journal of Finance, 69 (1). pp. 51-99. ISSN 0022-1082

Bar-Isaac, Heski and Cuñat, Vicente (2014) Long-term debt and hidden borrowing. Review of Corporate Finance Studies, 3 (1-2). pp. 87-122. ISSN 2046-9128

Boucher, Christophe M., Danielsson, Jon, Kouontchou, Patrick S. and Maillet, Bertrand B. (2014) Risk models-at-risk. Journal of Banking and Finance, 44. pp. 72-92. ISSN 0378-4266

Brunnermeier, Markus K. and Oehmke, Martin (2014) Predatory short selling. Review of Finance, 18 (6). pp. 2153-2195. ISSN 1572-3097

Burkart, Mike, Gromb, Denis, Mueller, Holger M and Panunzi, Fausto (2014) Legal investor protection and takeovers. Journal of Finance, 69 (3). pp. 1129-1165. ISSN 0022-1082

Bustamante, Maria Cecilia and Donangelo, Andres (2014) Product market competition and industry returns. . Social Science Research Network (SSRN), London, UK.

C

Chabakauri, Georgy and Rytchkov, Oleg (2014) Asset pricing with index investing. Working papers. Social Science Research Network (SSRN), Rochester, USA.

Chabakauri, Georgy, Yuan, Kathy and Zachariadis, Konstantinos (2014) Multi-asset noisy rational expectations equilibrium with contingent claims. Working papers. Social Science Research Network (SSRN), Rochester, USA.

Cuñat, Vicente (2014) Book review: why some firms thrive while others fail: governance and management lessons from the crisis. By Thomas S.Stanton. Oxford University Press, New York. xii + 278 pp. Hbk £30.00. Economica, 81 (321). pp. 187-188. ISSN 0013-0427

D

Danielsson, Jon (2014) Systemic risk and financial regulations: what is the link? In: European Commission (Economic Analysis), Internal Market and Services DG Conference, 2014-02-27.

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2014) Model risk and the implications for risk management, macroprudential policy, and financial regulations. VoxEU.

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2014) Model risk of risk models. SRC Discussion Paper (No 11). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Dashmiz, Shayan, Moharrami, Mehrdad, Marvasti, Farokh, Moazeni, Sajjad, Takapoui, Mohammad Reza and Abolhasani, Melika (2014) Generalisation of code division multiple access systems and derivation of new bounds for the sum capacity. IET Communications, 8 (2). pp. 153-162. ISSN 1751-8628

F

Ferreira, Daniel, Manso, Gustavo and Silva, Andre (2014) Incentives to innovate and the decision to go public or private. Review of Financial Studies, 27 (1). pp. 256-300. ISSN 0893-9454

G

Gottardi, Piero and Rahi, Rohit (2014) Value of information in competitive economies with incomplete markets. International Economic Review, 55 (1). 57 - 81. ISSN 0020-6598

Greenwood, Robin and Vayanos, Dimitri (2014) Bond supply and excess bond returns. Review of Financial Studies, 27 (3). pp. 663-713. ISSN 0893-9454

L

Liu, Guy, Mirzaei, Ali and Vandoros, Sotiris (2014) The impact of bank competition and concentration on industrial growth. Economics Letters, 124 (1). pp. 60-63. ISSN 0165-1765

Lou, Dong (2014) Attracting investor attention through advertising. Review of Financial Studies, 27 (6). pp. 1797-1829. ISSN 0893-9454

O

Oehmke, Martin (2014) Liquidating illiquid collateral. Journal of Economic Theory, 149. pp. 183-210. ISSN 1095-7235

R

Rahi, Rohit and Zigrand, Jean-Pierre (2014) Walrasian foundations for equilibria in segmented markets. Mathematics and Financial Economics, 8 (3). pp. 249-264. ISSN 1862-9679

Rosov, Sviatoslav and Foster, F. Douglas (2014) Customer foreign exchange orders: when timing really does matter. Australian Journal of Management, 39 (3). pp. 351-368. ISSN 0312-8962

S

Satterthwaite, Mark, Williams, Steven R. and Zachariadis, Konstantinos (2014) Optimality versus practicality in market design: a comparison of two double auctions. Games and Economic Behavior, 86. pp. 248-263. ISSN 0899-8256

Shen, Ji, Yan, Hongjun and Zhang, Jinfan (2014) Collateral-motivated financial innovation. Review of Financial Studies, 27 (10). pp. 2961-2997. ISSN 0893-9454

Sousa, Ricardo M. (2014) The effects of monetary policy in a small open economy: the case of Portugal. Applied Economics, 46 (2). pp. 240-251. ISSN 0003-6846

V

Vedolin, Andrea, Buraschi, Andrea and Trojani, Fabio (2014) When uncertainty blows in the orchard: comovement and equilibrium volatility risk premia. Journal of Finance, 69 (1). pp. 101-137. ISSN 0022-1082

Vermaelen, Theo and Xu, Moqi (2014) Acquisition finance and market timing. Journal of Corporate Finance, 25. pp. 73-91. ISSN 0929-1199

X

Xu, Moqi (2014) Towards the end of any long-term incentive program for CEOs, the short term awaits – but it doesn’t need to be bad news. USApp– American Politics and Policy Blog (17 Nov 2014). Website.

This list was generated on Mon Sep 21 00:40:04 2020 BST.