Cookies?
Library Header Image
LSE Research Online LSE Library Services

Items where Subject is "H Social Sciences > HG Finance"

Up a level
Export as [feed] Atom [feed] RSS 1.0 [feed] RSS 2.0
Group by: Creators | Item Type
Jump to: A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z | Ç | Ú | Č | Š | ع
Number of items at this level: 4459.

A

Aalders, Marius (2002) Drivers and drawbacks: regulation and environmental risk management systems. CARR Discussion Papers (DP 10). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Abdalla, Ahmed, Carabias, Jose M. and Patatoukas, Panos N. (2021) The real-time macro content of corporate financial reports: a dynamic factor model approach. Journal of Monetary Economics, 118. pp. 260-280. ISSN 0304-3932

Abdalla, Ahmed Mahmoud Ahmed and Carabias, Jose M. (2017) From accounting to economics: the role of aggregate special items in gauging the state of the economy. .

Abdelhamied, Raghada (2019) Only the secret is seductive…the secret is the clue!: how selective silence is employed and justified by The World Bank as a communication strategy to respond to citizens’ criticism of its policies and projects in Egypt. In: LSE Research Festival 2019: New World (Dis)Orders, 2019-02-25 - 2019-03-02, London School of Economics, London, United Kingdom.

Abdulrahim, Abdul (2014) LSE Africa Summit: Entrepreneurship as Africa’s Tool to reclaim power. Africa at LSE (26 Mar 2014). Website.

Abel, Andrew B., Eberly, Janice C. and Panageas, Stavros (2007) Optimal inattention to the stock market. American Economic Review, 97 (2). pp. 244-249. ISSN 0002-8282

Abell, Peter, Ludwig, Mark and Kajawski, B. (2010) Structural balance and group formation: an exploratory study. Quality and Quantity. ISSN 0033-5177 (Submitted)

Abell, Peter, Owen, Geoffrey and Cranna, Mike (1993) The changing role of the finance director. . Institute of Chartered Accountants in England and Wales, London, UK.

Abreu, Dilip and Brunnermeier, Markus K. (2002) Bubbles and crashes. Financial Markets Group Discussion Papers (401). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Acciaio, Beatrice, Beiglböck, M., Penkner, F. and Schachermayer, W. (2016) A model-free version of the fundamental theorem of asset pricing and the super-replication theorem. Mathematical Finance, 26 (2). 233 - 251. ISSN 0960-1627

Acciaio, Beatrice, Fontana, Claudio and Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2016) Arbitrage of the first kind and filtration enlargements in semimartingale financial models. Stochastic Processes and Their Applications, 126 (6). pp. 1761-1784. ISSN 0304-4149

Acciaio, Beatrice, Föllmer, Hans and Penner, Irina (2012) Risk assessment for uncertain cash flows: model ambiguity, discounting ambiguity, and the role of bubbles. Finance and Stochastics, 16 (4). pp. 669-709. ISSN 0949-2984

Acciaio, Beatrice and Larsson, Martin (2017) Semi-static completeness and robust pricing by informed investors. Annals of Applied Probability, 27 (4). pp. 2270-2304. ISSN 1050-5164

Acciaio, Beatrice, Larsson, Martin and Schachermayer, Walter (2017) The space of outcomes of semi-static trading strategies need not be closed. Finance and Stochastics, 21 (3). pp. 741-751. ISSN 0949-2984

Acciaio, Beatrice and Svindland, Gregor (2014) On the lower arbitrage bound of American contingent claims. Mathematical Finance, 24 (1). pp. 147-155. ISSN 0960-1627

Accominotti, Olivier (2012) Asymmetric propagation of financial crises during the Great Depression. In: Modern and comparative economic history seminar, 2012-01-26, London, United Kingdom. (Submitted)

Accominotti, Olivier (2016) Foreign exchange markets and currency speculation: historical perspectives. In: Chambers, David and Dimson, Elroy, (eds.) Financial Market History: Reflections on the Past for Investors Today. CFA Institute Research Foundation, London, UK, pp. 66-85. ISBN 9781944960131

Accominotti, Olivier (2016) International banking and transmission of the 1931 financial crisis. CEPR discussion papers (11651). Centre for Economic Policy Research (Great Britain), London, UK.

Accominotti, Olivier (2019) International monetary regimes: the interwar gold exchange standard. In: Battilossi, Stefano, Cassis, Yousseff and Yago, Kazuhiko, (eds.) Springer Handbook of the History of Money and Currency. Springer Nature Singapore Pte. Ltd., Singapore. ISBN 9789811305955

Accominotti, Olivier (2009) The sterling trap: foreign reserves management at the Bank of France, 1928–1936. European Review of Economic History, 13 (03). pp. 349-376. ISSN 1474-0044

Accominotti, Olivier, Cen, Jason, Chambers, David and Marsh, Ian W. (2019) Currency regimes and the carry trade. Journal of Financial and Quantitative Analysis, 54 (5). 2233 - 2260. ISSN 0022-1090

Accominotti, Olivier and Chambers, David (2016) If you’re so smart: John Maynard Keynes and currency speculation in the interwar years. Journal of Economic History, 76 (2). 342 - 386. ISSN 0022-0507

Accominotti, Olivier and Chambers, David (2014) Out-of-sample evidence on the returns to currency trading. CEPR discussion papers (9852). Centre for Economic Policy Research (Great Britain), London, UK.

Accominotti, Olivier and Eichengreen, Barry (2016) The mother of all sudden stops: capital flows and reversals in Europe, 1919-32. Economic History Review, 69 (2). pp. 469-492. ISSN 0013-0117

Accominotti, Olivier, Lucena-Piquero, Delio and Ugolini, Stefano (2023) Intermediaries’ substitutability and financial network resilience: a hyperstructure approach. Journal of Economic Dynamics and Control, 153. ISSN 0165-1889

Accominotti, Olivier, Lucena-Piquero, Delio and Ugolini, Stefano (2021) The origination and distribution of money market instruments: sterling bills of exchange during the first globalization. Economic History Review, 74 (4). 892 - 921. ISSN 0013-0117

Accominotti, Olivier and Ugolini, Stefano (2019) International trade finance from the origins to the present: market structures, regulation, and governance. In: Brousseau, Eric, Glachant, Jean-Michel and Sgard, Jérôme, (eds.) The Oxford Handbook of Institutions of International Economic Governance and Market Regulation. Oxford Handbooks Online. Oxford University Press, Oxford, UK. ISBN 9780190900571 (In Press)

Acharya, Viral and Plantin, Guillaume (2017) Monetary easing and financial instability. Systemic Risk Centre Discussion Papers (63). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Acker, Daniella, Stalker, Mathew and Tonks, Ian (2002) Daily closing inside spreads and trading volumes around earnings announcements. Financial Markets Group Discussion Papers (404). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Acs, Zoltan J., Braunerhjelm, Pontus and Karlsson, Charlie (2016) Philippe Aghion: recipient of the 2016 Global Award for Entrepreneurship Research. Small Business Economics, 48 (1). pp. 1-8. ISSN 0921-898X

Adam, Antonis and Tsarsitalidou, Sofia (2023) Be my guest: the effect of foreign policy visits to the USA on FDI. Review of World Economics. ISSN 1610-2878

Adam, Christopher (2013) The road to monetary union in East Africa. International Growth Centre Blog (10 Dec 2013). Website.

Adam, Christopher and Kessy, Pantaleo (2010) Assessing the stability and predictability of the money multiplier in the EAC: the case of Tanzania. . International Growth Centre, London, UK.

Adam, Christopher, Kessy, Pantaleo, Nyella, Johnson J. and O'Connell, Stephen A. (2010) The demand for money in Tanzania. . International Growth Centre, London, UK.

Adam, Klaus and Marcet, Albert (2011) Internal rationality, imperfect market knowledge and asset prices. CEP Discussion Papers (CEPDP1068). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Adam, Klaus, Marcet, Albert and Nicolini, Juan Pablo (2011) Stock market volatility and learning. CEP Discussion Papers (CEPDP1077). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Adams, Paul, Guttman-Kenney, Benedict, Hayes, Lucy, Hunt, Stefan, Laibson, David and Stewart, Neil (2022) Do nudges reduce borrowing and consumer confusion in the credit card market? Economica, 89 (S1). S178 - S199. ISSN 0013-0427

Adams, R., Almeida, H. and Ferreira, Daniel (2009) Understanding the relationship between founder-CEOs and firm performance. Journal of Empirical Finance, 16 (1). pp. 136-150. ISSN 0927-5398

Adams, Renee B., Almeida, Heitor and Ferreira, Daniel (2005) Powerful CEOs and their impact on corporate performance. Review of Financial Studies, 18 (4). pp. 1403-1432. ISSN 0893-9454

Adams, Renee B. and Ferreira, Daniel (2008) Do directors perform for pay? Journal of Accounting and Economics, 46 (1). pp. 154-171. ISSN 0165-4101

Adams, Renee B. and Ferreira, Daniel (2007) One share-one vote: the empirical evidence. Review of Finance, 12 (1). pp. 51-91. ISSN 1572-3097

Adams, Renee B. and Ferreira, Daniel (2009) Strong managers, weak boards? CESifo Economic Studies, 55 (3-4). pp. 482-514. ISSN 1610-241X

Adams, Renée and Kirchmaier, Tom (2013) From female labor force participation to boardroom gender diversity. Financial Markets Group Discussion Papers (715). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Adams, Renée and Kirchmaier, Tom (2016) Women in finance. Financial Markets Group Discussion Papers (757). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Adams, Renée B. and Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 (2016) Women on boards in finance and STEM industries. American Economic Review, 106 (5). pp. 1-6. ISSN 0002-8282

Adams, Renée Birgit and Ferreira, Daniel (2012) Regulatory pressure and bank directors’ incentives to attend board meetings. International Review of Finance, 12 (2). pp. 227-248. ISSN 1369-412X

Admati, Anat (2018) Financial crises, corporate scandals and blind spots: who is responsible? LSE Business Review (25 Jan 2018). Website.

Adrian, Tobias and Shin, Hyun Song (2013) Procyclical leverage and value-at-risk. Systemic Risk Centre Discussion Papers (1). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Advani, Arun, Ooms, Tahnee and Summers, Andrew ORCID: 0000-0002-4978-7743 (2022) Missing incomes in the UK: evidence and policy implications. Journal of Social Policy. ISSN 0047-2794

Advani, Arun and Summers, Andrew ORCID: 0000-0002-4978-7743 (2020) Raising money from “the rich” doesn’t require increasing tax rates. LSE Business Review (15 Jun 2020). Blog Entry.

Afonso, Whitney (2015) A lack of transparency is leading to a fiscal illusion where citizens underestimate their tax burdens and the cost of government. USApp – American Politics and Policy Blog (02 Jan 2015). Website.

Agarwal, Samanvaya, Kamath, Saipriya, Subramanian, Krishnamurthy and Tantri, Prasanna (2022) Board conduct in banks. Journal of Banking and Finance, 138. ISSN 0378-4266

Agarwal, Sumit and Mannil, Nithin (2023) Household financial decision making. In: Hilary, Gilles and McLean, David, (eds.) Handbook of Financial Decision Making. Research Handbooks in Money and Finance series. Elgar, Cheltenham, UK, 375 - 410. ISBN 9781802204162

Aghion, Philippe ORCID: 0000-0002-9019-1677 (2016) Entrepreneurship and growth: lessons from an intellectual journey. Small Business Economics, 48 (1). pp. 9-24. ISSN 0921-898X

Aghion, Philippe, Bergeaud, Antonin, Cette, Gilbert, Lecat, Rémy and Maghin, Hélène (2018) The inverted-U relationship between credit access and productivity growth. CEP Discussion Papers (CEPDP1588). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Aghion, Philippe ORCID: 0000-0002-9019-1677, Bergeaud, Antonin, Cette, Gilbert, Lecat, Rémy and Maghin, Hélène (2018) The inverted-U relationship between credit access and productivity growth. Economica. ISSN 0013-0427

Aghion, Philippe, Bergeaud, Antonin, Lequien, Matthieu, Melitz, Marc J. and Zuber, Thomas (2021) Opposing firm-level responses to the China shock: horizontal competition versus vertical relationships. CEP Discussion Papers (1787). Centre for Economic Performance, LSE, London, UK.

Aghion, Philippe ORCID: 0000-0002-9019-1677, Bloom, Nick, Lucking, Brian, Sadun, Raffaella and Van Reenen, John ORCID: 0000-0001-9153-2907 (2021) Turbulence, firm decentralization and growth in bad times. American Economic Journal: Applied Economics, 13 (1). 133 - 169. ISSN 1945-7782

Aghion, Philippe and Burgess, Robin (1993) Financing in Eastern Europe and the former Soviet Union : issues and institutional support. In: Das, D K, (ed.) International Finance - Contemporary Issues. Routledge, London and New York, pp. 101-128. ISBN 0-41-509280-9

Aghion, Philippe, Burgess, Robin and Mayer, C (Dis.) (1993) Financing and development in Eastern Europe and the former Soviet Union - issues and institutional support. In: Giovannini, A, (ed.) Finance and Development - Issues and Experience. Cambridge University Press, Cambridge, pp. 303-342. ISBN 0-52-144017-3

Agnello, Luca, Castro, Vitor and Sousa, Ricardo M. (2018) Economic activity, credit market conditions and the housing market. Macroeconomic Dynamics, 22 (7). pp. 1769-1789. ISSN 1365-1005

Agnello, Luca, Castro, Vítor, Jalles, João Tovar and Sousa, Ricardo M. (2015) Do debt crises boost financial reforms? Applied Economics Letters, 22 (5). pp. 356-360. ISSN 1350-4851

Agnello, Luca, Castro, Vítor and Sousa, Ricardo J. (2012) How does fiscal policy react to wealth composition and asset prices? Journal of Macroeconomics, 34 (3). pp. 874-890. ISSN 0164-0704

Agnello, Luca, Castro, Vítor and Sousa, Ricardo M. (2019) On the duration of sovereign ratings cycle phases. Journal of Economic Behavior & Organization. ISSN 0167-2681

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

Agramont Lechín, Daniel (2022) China-US economic war: opportunities for the Andean Community beyond the decoupling process. Working paper series, 8 (2). LSE Global South Unit, London, UK.

Agrawal, Ashwini (2012) Corporate governance objectives of labor union shareholders: evidence from proxy voting. Review of Financial Studies, 25 (1). pp. 187-226. ISSN 0893-9454

Agrawal, Ashwini, Gonzalez-Uribe, Juanita and Martinez-Correa, Jimmy (2019) Measuring the ex-ante incentive effects of bankruptcy reorganization procedures. . SSRN.

Agrawal, Ashwini, Gonzalez-Uribe, Juanita and Martinez-Correa, Jimmy (2020) Measuring the ex-ante incentive effects of bankruptcy reorganization procedures. Financial Markets Group Discussion Papers (799). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Agrawal, Ashwini, Gonzalez-Uribe, Juanita and Martinez-Correa, Jimmy (2022) Measuring the ex-ante incentive effects of creditor control rights during bankruptcy reorganization. Journal of Financial Economics, 143 (1). 381 - 408. ISSN 0304-405X

Agrawal, Ashwini, Hacamo, Isaac and Hu, Zhongchen (2018) Employees and stock returns. . SSRN.

Agrawal, Ashwini, Hacamo, Isaac and Hu, Zhongchen (2021) Information dispersion across employees and stock returns. Review of Financial Studies, 34 (10). 4785 – 4831. ISSN 0893-9454

Agrawal, Ashwini, Hacamo, Isaac and Hu, Zhongchen (2020) Information dispersion across employees and stock returns. Financial Markets Group Discussion Papers (792). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Agrawal, Ashwini and Kim, Daniel (2021) Municipal bond insurance and the U.S. drinking water crisis. Financial Markets Group Discussion Papers (846). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Agrawal, Ashwini and Tambe, Prasanna (2016) Private equity and workers’ career paths: the role of technological change. Review of Financial Studies, 29 (9). 2455 - 2489. ISSN 0893-9454

Agrawal, Ashwini and Tambe, Prasanna (2019) Takeovers and endogenous labor reallocation. . SSRN.

Agrawal, Ashwini K. (2013) The impact of investor protection law on corporate policy and performance: evidence from the blue sky laws. Journal of Financial Economics, 107 (2). pp. 417-435. ISSN 0304-405X

Agrawal, Ashwini K. and Matsa, David A. (2013) Labor unemployment risk and corporate financing decisions. Journal of Financial Economics, 108 (2). pp. 449-470. ISSN 0304-405X

Aguilera, Ruth, Bermejo, Vicente, Capapé, Javier and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2021) The systemic governance influence of universal owners: evidence from an expectation document. Financial Markets Group Discussion Papers (825). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Aguilera, Ruth V., J. Bermejo, Vicente, Capapé, Javier and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2023) The systemic governance influence of expectation documents: evidence from a universal owner. Review of Corporate Finance Studies. ISSN 2046-9128 (In Press)

Ahir, Anamika and James, Kevin R. (2021) Rebooting UK financial regulation for the post-Brexit world. LSE Business Review (04 Aug 2021). Blog Entry.

Ahlfeldt, Gabriel M. ORCID: 0000-0001-5664-3230 and Kavetsos, Georgios (2014) Form or function?: the effect of new sports stadia on property prices in London. Journal of the Royal Statistical Society. Series A: Statistics in Society, 177 (1). pp. 169-190. ISSN 0964-1998

Ahluwalia, Montek Singh, Summers, Lawrence, Velasco, Andres ORCID: 0000-0003-0441-5062, Birdsall, Nancy and Morris, Scott (2016) Multilateral development banking for this century’s development challenges: five recommendations to shareholders of the old and new multilateral development banks. . Center for Global Development, Washington, DC. ISBN 9781944691028

Ahmad, Ehtisham (2021) Multilevel financing of sustainable infrastructure in China— policy options for inclusive, resilient and green growth. Journal of Infrastructure, Policy and Development, 5 (1). ISSN 2572-7923

Ahmad, Ehtisham (2011) Should China revisit the 1994 fiscal reforms? Working papers (52). Asia Research Centre (ARC), The London School of Economics & Political Science, London, UK.

Ahmad, Wasim, Kutan, Ali M. and Gupta, Smarth (2021) Black swan events and COVID-19 outbreak: sector level evidence from the US, UK, and European stock markets. International Review of Economics and Finance, 75. 546 - 557. ISSN 1059-0560

Ahmad, Wasim, Tiwari, Shiv Ratan, Wadhwani, Akshay, Khan, Mohammad Azeem and Bekiros, Stelios (2023) Financial networks and systemic risk vulnerabilities: a tale of Indian banks. Research in International Business and Finance, 65. ISSN 0275-5319

Ahmadi, Pooyan Amir and Ritschl, Albrecht (2009) Depression econometrics: a FAVAR model of monetary policy during the Great Depression. Economic History Working Papers (130/09). Department of Economic History, London School of Economics and Political Science, London, UK.

Ahmadi, Pooyan Amir and Ritschl, Albrecht (2009) Depression econometrics: a FAVAR model of monetary policy during the Great Depression. CEP Discussion Papers (CEPDP0967). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Ahnert, Toni, Anand, Kartik, Gai, Prasanna and Chapman, James (2018) Asset encumbrance, bank funding and fragility. Systemic Risk Centre Discussion Papers (83). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ahnert, Toni and Kuncl, Martin (2020) Loan insurance, market liquidity, and lending standards. Systemic Risk Centre Discussion Papers (94). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Aikman, David, Bush, Oliver and Taylor, Alan M. (2016) Monetary versus macroprudential policies:causal impacts of interest rates andcredit controls in the era of the UKradcliffe report. Economic History Working Papers (246/2016). London School of Economics and Political Science, Economic History Department, London, UK.

Aksoy, Cevat, Eichengreen, Barry and Saka, Orkun (2020) Revenge of the experts: will COVID-19 renew or diminish public trust in science? Systemic Risk Centre Discussion Papers (96). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Aksoy, Cevat, Eichengreen, Barry and Saka, Orkun (2020) The political scar of epidemics. Systemic Risk Centre Discussion Papers (97). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Aksoy, Yunus, de Grauwe, Paul and Dewachter, Hans (2002) Do asymmetries matter for European monetary policy? European Economic Review, 46 (3). pp. 443-469. ISSN 0014-2921

Akın, Özlem, Marin, Jose M. and Peydro, José-Luis (2020) Bankers knew the risks they were taking before the 2008 crisis. LSE Business Review (27 Aug 2020). Blog Entry.

Al-Abduljader, Sulaiman (2018) On the MENA private equity puzzle: insights and recommendations. The Journal of Private Equity, 21 (3). pp. 38-52. ISSN 1096-5572

Al-Horani, A., Pope, Peter and Stark, A. W. (2003) Research and development activity and expected returns in the United Kingdom. European Finance Review, 1 (7). pp. 27-46. ISSN 1382-6662

Al-Mubarak, Imtenan (2016) How to pave the way for greater energy cooperation in the GCC. Middle East Centre Blog (07 Dec 2016). Website.

Al-Sarihi, Aisha (2017) Why is there almost no renewable energy in Oman? Middle East Centre Blog (23 Jan 2017). Website.

Albers, Thilo (2020) Currency devaluations and beggar-my-neighbour penalties: evidence from the 1930s. Economic History Review, 73 (1). 233 - 257. ISSN 0013-0117

Albers, Thilo Nils Hendrik (2018) The prelude and global impact of the Great Depression: evidence from a new macroeconomic dataset. Explorations in Economic History, 70. pp. 150-163. ISSN 0014-4983

Albert, Juan-Francisco and Gómez Fernández, Nerea (2018) The impact of uncertainty shocks in Spain: SVAR approach with sign restrictions. . Cañada Blanch Centre for Contemporary Spanish Studies, LSE, London, UK.

Albertazzi, Ugo (2007) Loan maturity and renegotiation evidence from the lending practices of large and small banks. Financial Markets Group Discussion Papers (588). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Alden, Christopher and Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2021) Comparative study of Costa Rica, Argentina, Malaysia, Djibouti and their complex relationship with China: advantages, disadvantages and lessons learned. LSE Global South Unit Working Paper Series (05/2021). London School of Economics and Political Science, London, UK. ISBN 9789962852513

Alden, Christopher and le Pere, Garth (2023) Southern multilateralism from IBSA to NDB: synergies, continuities, and regional options. Global Policy. ISSN 1758-5880

Alderighi, Marco, Gaggero, Alberto A. and Piga, Claudio A. (2017) The hidden sides of ‘dynamic pricing’ for airline tickets. LSE Business Review (10 May 2017). Website.

Aldunate, Felipe, Jenter, Dirk ORCID: 0000-0003-4168-9329, Korteweg, Arthur and Koudijs, Peter (2021) Shareholder liability and bank failure. Financial Markets Group Discussion Papers (835). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Alemanno, Alberto and Bodson, Benjamin (2016) How to nudge Barroso out of the revolving door. LSE European Politics and Policy (EUROPP) Blog (20 Jul 2016). Website.

Alemany, Luisa and Scarlata, Mariarosa (2009) Capital riesgo filantrópico: apoyo financiero a los emprendedores sociales. Harvard Deusto Business Review, 183. pp. 71-79. ISSN 0210-900X

Alemany, Luisa and Scarlata, Mariarosa (2010) Philanthropic venture capital: a new model of financing for social entrepreneurs. In: Cumming, Douglas J., (ed.) Venture Capital: Investment Strategies, Structures, and Policies. John Wiley & Sons, Hoboken, New Jersey, USA, pp. 131-150. ISBN 978047049914-6

Alevizou, Giota (2015) Modalities of solidarity in Greece: a civil society at the cross-roads. Euro Crisis in the Press (23 Feb 2015). Website.

Alexander, Kern (2012) Proposals for a European Banking Union must be redesigned to provide a more accountable and effective institutional framework. LSE European Politics and Policy (EUROPP) Blog (13 Nov 2012). Website.

Alexander, Kern, Ferran, Eilís, Jackson, Howell E. and Moloney, Niamh (2006) Transatlantic financial services regulatory dialogue. European Business Organization Law Review, 7 (3). pp. 647-673. ISSN 1566-7529

Alexander, Kern, Ferran, Eilís, Jackson, Howell E. and Moloney, Niamh (2007) A report on the Transatlantic Financial Services Regulatory Dialogue. The Harvard John M. Olin discussion paper series (576). The John M. Olin Center for Law, Economics and Business, Harvard Law School, Cambridge, Mass., USA.

Alfaro, Laura and Charlton, Andrew (2007) Growth and the quality of foreign direct investment: is all FDI equal? CEPDP (830). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853280958

Alfaro, Laura and Charlton, Andrew (2006) International financial integration and entrepreneurship. CEPDP (755). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753020610

Alfaro, Laura and Charlton, Andrew (2007) Intra-industry foreign direct investment. CEPDP (825). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853280866

Alfaro, Laura and Charlton, Andrew (2009) Intra-industry foreign direct investment. American Economic Review, 99 (5). pp. 2096-2119. ISSN 0002-8282

Alfaro-Ureña, Alonso, Manelici, Isabela and Vasquez Carvajal, Jose (2020) The effects of joining multinational supply chains: new evidence from firm-to-firm linkages. PEDL Research Paper. Private Enterprise Development in Low Income Countries, London, UK.

Alfaro-Ureña, Alonso, Manelici, Isabela and Vasquez Carvajal, Jose (2019) The effects of joining multinational supply chains: new evidence from firm-to-firm linkages. . University of Chicago, Chicago, IL.

Alger, Ingela and Ma, Ching-to (1999) Moral hazard, insurance, and some collusion. Financial Markets Group Discussion Papers (318). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Alhashel, Bader (2017) Do sovereign wealth funds bring value to their investments? Middle East Centre Blog (20 Feb 2017). Website.

Alhashel, Bader and Albader, Sulaiman H. (2018) How do sovereign wealth funds pay their portfolio companies’ executives? Evidence from Kuwait. LSE Middle East Centre papers series (24). LSE Middle East Centre, London, UK.

Aliyev, Nihad, Huseynov, Fariz and Rzayev, Khaladdin (2022) Algorithmic trading and investment-to-price sensitivity. Systemic Risk Centre Discussion Papers (122). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Alla, Zineddine, Espinoza, Raphael, Li, Helen and Segoviano, Miguel (2018) Macroprudential stress tests: a reduced-form approach to quantifying systemic risk losses. Systemic Risk Centre Discussion Papers (79). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Allen, Franklin, Bhattacharya, Sudipto, Rajan, Raghuram and Schoar, Antoinette (2008) The contributions of Stewart Myers to the theory and practice of corporate finance. Journal of Applied Corporate Finance, 20 (4). pp. 8-19. ISSN 1078-1196

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

Almandoz, John and Tilcsik, András (2016) Experts on corporate boards: more is not always better. LSE Business Review (26 Oct 2016). Website.

Almeida, Alvaro, Goodhart, Charles and Payne, Richard (1997) The effects of macroeconomic 'news' on high frequency exchange rate behaviour. Financial Markets Group Discussion Papers (258). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Alogoskoufis, G., Portes, R. and Rey, H. (1998) The emergence of the Euro as an international currency. CEPDP (388). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Alogoskoufis, George (2019) Greece and the euro: a Mundellian tragedy. GreeSE Papers (136). London School of Economics and Political Science, London, UK.

Alonso Alonso, Lucas Juan Manuel (2016) European Union’s key figures. Euro Crisis in the Press (15 Nov 2016). Website.

Alonso Alonso, Lucas Juan Manuel (2017) Greece: any better times or more pitfalls ahead? Euro Crisis in the Press (01 May 2017). Website.

Altaf, Nufazil and Shah, Farooq (2021) Pandemic problems: the disconnect between stock markets and consumer sentiment in Covid-19 India. South Asia @ LSE (06 Sep 2021). Blog Entry.

Altavilla, Carlo and de Grauwe, Paul (2010) Forecasting and combining competing models of exchange rate determination. Applied Economics, 42 (27). pp. 3455-3480. ISSN 0003-6846

Altavilla, Carlo and de Grauwe, Paul (2010) Non-linearities in the relation between the exchange rate and its fundamentals. International Journal of Finance and Economics, 15 (1). pp. 1-12. ISSN 1076-9307

Altissimo, Filippo and Mele, Antonio (2004) Simulated nonparametric estimation of continuous time models of asset prices and returns. Discussion paper (476). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Altomonte, Carlo, Ottaviano, Gianmarco, Rungi, Armando and Sonno, Tommaso (2021) Business groups as knowledge-based hierarchies of firms. CEP Discussion Papers (1804). Centre for Economic Performance, LSE, London, UK.

Altorfer, Stefan (2004) The canton of Berne as an investor on the London capital market in the 18th century. Economic History Working Papers (85/04). Department of Economic History, London School of Economics and Political Science, London, UK.

Alves, Felipe, Kaplan, Greg, Moll, Ben and Violente, Gianluca (2020) A further look at the propagation of monetary policy shocks in HANK. Journal of Money, Credit and Banking, 52 (S2). 521 - 559. ISSN 0022-2879

Alòs, Elisa, Chen, Zhanyu and Rheinlander, Thorsten (2016) Valuation of barrier options via a general self-duality. Mathematical Finance, 26 (3). pp. 492-515. ISSN 0960-1627

Amato, Jeffery D., Morris, Stephen and Shin, Hyun Song (2002) Communication and monetary policy. Oxford Review of Economic Policy, 18 (4). pp. 495-503. ISSN 0266-903X

Amboko, Julians (2016) Commodity price shocks in times of crisis: securing growth in sub-Saharan African economies. International Growth Centre Blog (07 Nov 2016). Website.

Amboko, Julians (2017) Ghana won’t be able to fix its economy if it uses last decade’s rule book. LSE Business Review (25 Jan 2017). Website.

Amboko, Julians (2018) Liberalising the economy isn't enough to deal with Ethiopia's foreign currency crunch. LSE Business Review (29 Jun 2018). Website.

Amboko, Julians (2017) The Southern African wild card: High foreign debt, weak currencies and default risk. LSE Business Review (08 May 2017). Website.

Amboko, Julians (2017) What the South African anti-foreign riots say about the country’s economy. LSE Business Review (02 Mar 2017). Website.

Amboko, Julians (2018) Zimbabwe in 2018: steering a difficult path to recovery. LSE Business Review (02 Mar 2018). Website.

Ambrose, Brent (2014) The rise in subprime mortgages in the early 2000s may havedriven up rents, and put the rental market at greater risk oflease default. LSE American Politics and Policy (25 Jul 2014). Website.

Amendolagine, Vito, Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Rabellotti, Roberta (2022) The geography of acquisitions and greenfield investments: firm heterogeneity and regional institutional conditions. Geography and Environment Discussion Paper Series (33). Department of Geography and Environment, LSE, London, UK.

Amendolagine, Vito, Lema, Rasmus and Rabellotti, Roberta (2022) Multinationals and renewable energy: boosting innovation through foreign direct investments. USApp – American Politics and Policy Blog (05 Feb 2022). Blog Entry.

Ames, Matthew, Bagnarosa, Guillaume, Peters, Gareth W. and Shevchenko, Pavel V. (2018) Understanding the interplay between covariance forecasting factor models and risk-based portfolio allocations in currency carry trades. Journal of Forecasting, 37 (8). pp. 805-831. ISSN 0277-6693

Amiel, Yoram and Cowell, Frank (2002) Attitudes towards risk and inequality : a questionnaire-experimental approach. In: Andersson, Fredrik and Holm, Hakan J, (eds.) Experimental Economics : Financial Markets, Auctions and Decision Making. Kluwer Academic Publishers, Boston, Mass., pp. 85-115. ISBN 0-792376412

Amighini, Alessia, McMillan, Margaret and Sanfilippo, Marco (2017) Driving domestic investment: FDI use and source matter. International Growth Centre Blog (13 Mar 2017). Website.

Amini, Shima and Toms, Steven (2018) Lessons from the 1890s to realign innovation and finance in post-Brexit Britain. LSE Business Review (12 Jan 2018). Website.

Amissah, Emmanuel, Bougheas, Spiro, Defever, Fabrice and Falvey, Rod (2016) Financial system architecture and the patterns ofinternational trade. CEP discussion paper (CEPDP1448). Centre for Economic Performance (CEP), London, UK.

An, Li, Lou, Dong ORCID: 0000-0002-5623-4338 and Shi, Donghui (2022) Wealth redistribution in bubbles and crashes. Journal of Monetary Economics, 126. 134 - 153. ISSN 0304-3932

Anderlini, Luca and Felli, Leonardo (1998) Costly bargaining and renegotiation. . Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Anderson, Gareth, Riley, Rebecca and Young, Garry (2019) Distressed banks, distorted decisions? CFM discussion paper series (CFM-DP2019-08). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Anderson, Ronald (2003) Capital structure, firm liquidity and growth. In: Butzen, Paul and Fuss, Catherine, (eds.) Firms' Investment and Finance Decisions. Elgar, p. 352.

Anderson, Ronald (2012) Quelles leçons tirer de la grande crise financière de notre temps? Regards Economique (96). pp. 1-8. ISSN 2033-3013

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

Anderson, Ronald W. (2002) Capital structure, firm liquidity and growth. . National Bank of Belgium.

Anderson, Ronald W. (2010) Credit default swaps: what are the social benefits and costs? Financial Stability Review, 14. ISSN 1636-6964

Anderson, Ronald W. (2002) Enterprise restructuring and banking reform: lessons from Eastern Europe since 1990. In: Dwyer, Gerald P., Lin, Jin-Lung, Shea, Jin-Dong and Wu, Chung-Shu, (eds.) Monetary Policy and Taiwan's Economy. Academia studies in Asian economies. Elgar, Cheltenham, UK. ISBN 9781840649864

Anderson, Ronald W. (2008) Some determinants of the price of default risk. Financial Markets Group Discussion Papers (615). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. (2021) Stake-holder firms and the reform of local public finance in China. Systemic Risk Centre Discussion Papers (108). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. (2016) Stress testing and macroprudential regulation: a transatlantic assessment. Centre for Economic Policy Research (Great Britain), London, UK. ISBN 9781907142987

Anderson, Ronald W. (2016) Stress testing and macroprudential regulation: a transatlantic assessment. VoxEU.

Anderson, Ronald W. (2020) Who bears risk in China's non-financial enterprise debt? Systemic Risk Centre Discussion Papers (101). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W., Bustamante, Maria Cecilia and Guibaud, Stéphane (2012) Agency, firm growth, and managerial turnover. . London School of Economics and Political Science, London, UK.

Anderson, Ronald W., Bustamante, Maria Cecilia and Guibaud, Stéphane (2012) Agency, firm growth, and managerial turnover. Financial Markets Group Discussion Papers (711). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W., Bustamante, Maria Cecilia, Guibaud, Stéphane and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2018) Agency, firm growth, and managerial turnover. Journal of Finance, 73 (1). 419 - 464. ISSN 0022-1082

Anderson, Ronald W. and Cakici, Nusret (1999) The value of deposit insurance in the presence of interest rate and credit risk. Financial Markets, Institutions and Instruments, 8 (5). pp. 45-62. ISSN 0963-8008

Anderson, Ronald W. and Carverhill, Andrew (2011) Corporate liquidity and capital structure. Review of Financial Studies, 25 (3). pp. 797-837. ISSN 0893-9454

Anderson, Ronald W. and Carverhill, Andrew (2006) Liquidity and capital structure. Financial Markets Group Discussion Papers (573). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Carverhill, Andrew (2005) A model of corporate liquidity. Financial Markets Group Discussion Papers (529). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Hamadi, Malika (2016) Cash holding and control-oriented finance. Journal of Corporate Finance, 41. pp. 410-425. ISSN 0929-1199

Anderson, Ronald W. and Hamadi, Malika (2009) Large powerful shareholders and cash holding. Financial Markets Group Discussion Papers (631). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Jõeveer, Karin (2012) Bankers and bank investors: reconsidering the economies of scale in banking. Financial Markets Group Discussion Papers (712). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Jõeveer, Karin (2022) Bankers' pay and the evolving structure of US banking. Systemic Risk Centre Discussion Papers (120). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Kegels, Chantal (1998) Transition banking: financial development of Central and Eastern Europe. Oxford University Press, Oxford, UK. ISBN 9780198290131

Anderson, Ronald W. and McKay, Kenneth (2008) Derivatives markets. In: Freixas, Xavier, Hartmann, Philipp and Mayer, Colin, (eds.) Handbook of European Financial Markets and Institutions. Oxford University Press, New York, USA, pp. 568-596. ISBN 9780199229956

Anderson, Ronald W. and Nyborg, Kjell G. (2002) Agency and the pace of adoption of new techniques. Louvain Economic Review, 68 (1-2). pp. 203-220. ISSN 0770-4518

Anderson, Ronald W. and Nyborg, Kjell G. (2001) Financial development, agency and the pace of adoption of new techniques. Financial Markets Group Discussion Papers (389). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Nyborg, Kjell G. (2001) Financing and corporate growth under repeated moral hazard. Financial Markets Group Discussion Papers (376). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Nyborg, Kjell G. (2011) Financing and corporate growth under repeated moral hazard. Journal of Financial Intermediation, 20 (1). pp. 1-24. ISSN 1042-9573

Anderson, Ronald W. and Steinherr, Alfred (2001) The next ten years of monetary relations in Asia. In: Lamfalussy, Alexandre, Snoy, Bernard and Wilson, Jérôme, (eds.) Fragility of the International Finance System. International financial relations. Verlag Peter Lang, Oxford, UK, pp. 61-72. ISBN 9789052019666

Anderson, Ronald W. and Sundaresan, S. (1996) Design and valuation of debt contracts. Review of Financial Studies, 9 (1). pp. 37-68. ISSN 0893-9454

Anderson, Ronald W. and Sundaresan, Suresh (2000) A comparative study of structural models of corporate bond yields: an exploratory investigation. Journal of Banking and Finance, 24 (1-2). pp. 255-269. ISSN 0378-4266

Anderson, Ronald W., Sundaresan, Suresh and Tychon, Pierre (1996) Strategic analysis of contingent claims. European Economic Review, 40 (3-5). pp. 871-881. ISSN 0014-2921

Anderson, Ronald W. and Tu, Cheng (1997) Numerical analysis of strategic contingent claims models. Computational Economics, 11 (1-2). pp. 3-19. ISSN 0927-7099

Andolfatto, David, Martin, Fernando M. and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2017) Rehypothecation and liquidity. European Economic Review, 100. pp. 488-505. ISSN 0014-2921

Andrikogiannopoulou, Angie and Papakonstantinou, Filippos (2017) Individual reaction to past performance sequences: evidence from a real marketplace. Management Science, 64 (4). pp. 1957-1973. ISSN 0025-1909

Angell, Ian and Demetis, Dionysios (2006) AML-related technologies: a systemic risk. Journal of Money Laundering Control, 9 (2). pp. 157-172. ISSN 1368-5201

Angell, Ian and Kietzman, Jan (2006) RFID and the end of cash? Communications of the ACM, 49 (12). pp. 90-96. ISSN 0001-0782

Angrist, Noam, Djankov, Simeon, Goldberg, Pinelopi and Patrinos, Harry (2019) Measuring human capital. Financial Markets Group Discussion Papers (783). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Angrist, Noam, Djankov, Simeon, Goldberg, Pinelopi K. and Patrinos, Harry A. (2021) Measuring human capital using global learning data. Nature, 592 (7854). 403 - 408. ISSN 0028-0836

Anheier, Helmut K. and Mertens, Sybille (2003) International and European perspectives on the non-profit sector: data, theory and statistics. In: The Non-Profit Sector in a Changing Economy. OECD Publications, Paris, France, pp. 269-292. ISBN 9789264199538

Anolli, Mario, Beccalli, Elena and Molyneux, Philip (2014) Bank earnings forecasts, risk and the crisis. Journal of International Financial Markets, Institutions and Money, 29 (1). pp. 309-335. ISSN 1042-4431

Ansell, Ben and Broz, Lawrence (2015) Global capital markets, housing prices, and partisan fiscal policies. Systemic Risk Centre Discussion Papers (31). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Anthropelos, Michail, Kardaras, Constantinos ORCID: 0000-0001-6903-4506 and Vichos, Georgios (2020) Effective risk aversion in thin risk-sharing markets. Mathematical Finance, 30 (4). 1565 - 1590. ISSN 0960-1627

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

Anton, Miguel and Polk, Christopher (2010) Connected stocks. Financial Markets Group Discussion Papers (651). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Antonopoulos, Eleftherios (2015) The Greek referendum: Popular verdict or foregone conclusion? Euro Crisis in the Press (09 Jul 2015). Website.

Aoki, Kosuke, Benigno, Gianluca and Kiyotaki, Nobuhiro (2009) Capital flows and asset prices. CEP Discussion Papers (921). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Aoki, Kosuke, Benigno, Gianluca Dimiano Carmelo and Kiyotaki, Nobuhiro (2010) Adjusting to capital account liberalization. CEP Discussion Papers (CEPDP1014). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Apergis, Nicholas (2012) Despite rising unemployment and a lack of economic growth,Greece cannot afford to ignore the challenge of controllinginflation. LSE European Politics and Policy (EUROPP) Blog (25 Oct 2012). Website.

Apouey, Bénédicte and Clark, Andrew E. (2013) Winning big but feeling no better? The effect of lottery prizes on physical and mental health. CEP Discussion Papers (CEPDP1228). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Appelbaum, Eileen and Batt, Rosemary (2017) How private equity firms are designed to earn big while risking little of their own. LSE Business Review (23 Jan 2017). Blog Entry.

Arapoglou, Vassilis (2016) Experiments with austerity and anti-poverty policies in Greece: “Like Hodja’s donkey: it died just after it learned not to eat”. LSE Greece@LSE (09 Mar 2016). Website.

Arcot, Sridhar, Black, Julia ORCID: 0000-0002-5838-3265 and Owen, Geoffrey (2007) From local to global: the rise of AIM as a stock market for growing companies: a comprehensive report analysing the growth of AIM. . London School of Economics and Political Science, London, UK.

Arcot, Sridhar and Bruno, Valentina (2012) Do standard corporate governance practices matter in family firms? Financial Markets Group Discussion Papers (710). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ardagna, Silvia, Caselli, Francesco and Lane, Timothy (2004) Fiscal discipline and the cost of public debt service: some estimates for OECD countries. . Centre for Economic Policy Research (Great Britain), London, UK.

Aretz, Kevin, Bartram, Söhnke M. and Pope, Peter (2011) Asymmetric loss functions and the rationality of expected stock returns. International Journal of Forecasting, 27 (2). pp. 413-437. ISSN 0169-2070

Aretz, Kevin, Bartram, Söhnke M. and Pope, Peter (2010) Macroeconomic risks and characteristic-based factor models. Journal of Banking and Finance, 34 (6). pp. 1383-1399. ISSN 0378-4266

Arezki, Rabah, Djankov, Simeon, Nguyen, Ha and Yotzov, Ivan (2020) Reversal of fortune for political incumbents after oil shocks. Financial Markets Group Discussion Papers (805). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Arezki, Rabah, Djankov, Simeon, Nguyenc, Ha and Yotzov, Ivan (2020) Reform chatter and democracy. Financial Markets Group Discussion Papers (810). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Arezki, Rabah and Matsumoto, Akito (2018) Shifting commodity markets in a globalised world. LSE Business Review (15 Mar 2018). Website.

Armada, Manuel J. Rocha and Sousa, Ricardo M. (2012) Can the wealth-to-income ratio be a useful predictor in alternative finance? Evidence from the housing risk premium. In: Jawadi, Fredj and Barnett, William A., (eds.) Recent developments in alternative finance: empirical assessments and economic implications. International symposia in economic theory and econometrics (22). Emerald Group Publishing, Bingley, UK, pp. 67-79. ISBN 9781781903995

Ascani, Andrea, Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Iammarino, Simona ORCID: 0000-0001-9450-1700 (2016) What drives European multinationals to the EU neighbouring countries? A mixed methods analysis of Italian investment strategies. Environment and Planning C: Government and Policy, 34. pp. 656-675. ISSN 0263-774X

Ascani, Andrea, Nair, Lakshmi Balachandran and Iammarino, Simona ORCID: 0000-0001-9450-1700 (2023) Racing to the bottom or seeking legitimacy? National environmental performance and the location strategies of Chinese MNEs. Journal of International Management, 29 (2). ISSN 1075-4253

Ashraf, Nava, Bandiera, Oriana and Jack, B. Kelsey (2014) No margin, no mission? A field experiment on incentives for public service delivery. Journal of Public Economics, 120. pp. 1-17. ISSN 0047-2727

Ashton, David, Beattie, Vivien, Broadbent, Jane, Brooks, Chris, Draper, Paul, Ezzamel, Mahmoud, Gwilliam, David, Hodgkinson, Robert, Hoskin, Keith, Pope, Peter and Stark, Andrew (2009) British research in accounting and finance (2001–2007): the 2008 research assessment exercise. British Accounting Review, 41 (4). pp. 199-207. ISSN 0890-8389

Ashworth, J. and Goodhart, C. A. E. (2020) The surprising recovery of currency usage. International Journal of Central Banking, 16 (3). pp. 239-277. ISSN 1815-4654

Ashworth, Jonathan and Goodhart, C. A. E. (2021) The great Covid cash surge - digitalisation hasn't dented cash's safe haven role. CEPR discussion papers (DP16618). Centre for Economic Policy Research (Great Britain), London, UK.

Aspachs, Oriol, Goodhart, Charles, Tsomocos, Dimitrios P. and Zicchino, Lea (2006) Towards a measure of financial fragility. Financial Markets Group Discussion Papers (554). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Asparouhova, Elena and Bossaerts, Peter (2017) Dark markets: does private information make price formation less efficient? LSE Business Review Blog (20 Nov 2017). Website.

Aswani, Jitendra, Raghunandan, Aneesh ORCID: 0000-0003-0443-4984 and Rajgopal, Shiva (2024) Are carbon emissions associated with StockReturns? - Reply. Review of Finance, 28 (1). 111 - 115. ISSN 1572-3097

Aswani, Jitendra, Raghunandan, Aneesh ORCID: 0000-0003-0443-4984 and Rajgopal, Shivaram (2024) Are carbon emissions associated with stock returns? Review of Finance, 28 (1). 75 - 106. ISSN 1572-3097

At, Christian, Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2011) Security-voting structure and bidder screening. Journal of Financial Intermediation, 20 (3). pp. 458-476. ISSN 1042-9573

Atashbar, Tohid (2022) How do central banks think? LSE Business Review (31 May 2022). Blog Entry.

Athanasakou, Vasiliki, Ferreira, Daniel and Goh, Lisa (2022) Changes in CEO stock option grants: a look at the numbers. Journal of Corporate Finance, 75. ISSN 0929-1199

Athanasakou, Vasiliki E., Choi, Young-Soo, Lin, Stephen, Walker, Martin, Young, Steven, Chan, Ann, Lee, Edward, Mak, Chun Yu, Osma, Beatriz Garcia and Strong, Norman (2008) Understanding the earnings reporting practices of UK firms and their interactions with analysts' earnings forecasts. . Institute of Chartered Accountants in England and Wales, London. ISBN 9781841526003

Athanasakou, Vasiliki E. and Hussainey, Khaled (2014) The perceived credibility of forward-looking performance disclosures. Accounting and Business Research, 44 (3). pp. 227-259. ISSN 0001-4788

Athanasakou, Vasiliki E., Strong, Norman and Walker, Martin (2009) Earnings management or forecast guidance to meet analyst expectations? Accounting and Business Research, 39 (1). pp. 3-35. ISSN 0001-4788

Athanasakou, Vasiliki E., Strong, Norman C and Walker, Martin (2011) The market reward for achieving analyst earnings expectations: does managing expectations or earnings matter? Journal of Business Finance and Accounting, 38 (1-2). pp. 58-94. ISSN 0306-686X

Auerbach, P. and Davison, G. (1992) Secondary currencies and high inflation. Implications for monetary theory and policy. CEP discussion paper (58). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Austin, Gareth and Sugihara, Kaoru (1993) Indigenous credit institutions in West Africa, c.1750 - c.1960. In: Local Suppliers of Credit in the Third World, 1750 - 1960. Palgrave Macmillan, Basingstoke, UK, pp. 93-159. ISBN 9780312085599

Austin, Gareth and Sugihara, Kaoru (1993) Introduction: Local suppliers of credit in the Third World, 1750-1960. In: Local Suppliers of Credit in the Third World, 1750-1960. Palgrave Macmillan, Basingstoke, UK, pp. 1-25. ISBN 9780312085599

Austin, Gareth and Uche, Chibuike Ugochukwu (2007) Collusion and competition in colonial economies: banking in British West Africa, 1916-1960. Business History Review, 81 (1). pp. 1-26. ISSN 0007-6805

Avery Jones, John F. (2000) A comment on "progressive taxation of non-residents and intra-EC allocation of personal allowances". European Taxation, 40 (8). pp. 375-377. ISSN 0014-3138

Avgouleas, Emilios and Goodhart, C. A. E. (2019) Bank resolution 10 years from the global financial crisis: a systematic reappraisal. LUISS School of European Political Economy working papers (7/2019). LUISS School of European Political Economy, Rome, Italy.

Avgouleas, Emilios and Goodhart, Charles (2017) Utilizing AMCs to tackle Eurozone’s legacy non-performing loans. European Economy: Banks, Regulation, and the Real Sector (1). ISSN 2421-6917

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

Avrahampour, Yally (2007) Back to the future: parallels in pension provision between the 1930s and today. Occupational Pensions Defense Union Annual Report 2007.

Avrahampour, Yally (2005) George Ross Goobey and the cult of equity. Professional Pensions. ISSN 1743-3320

Avrahampour, Yally (2007) Introduction: Pension funds and their advisors. In: Pension Funds and Their Advisers. AP Information Services, London, UK. ISBN 978905366521

Avrahampour, Yally (2008) Risk management and UK defined benefit pension provision: a perspective from financial sociology. Journal of Risk Management in Financial Institutions, 1 (4). pp. 430-434. ISSN 1752-8887

Avrahampour, Yally (2008) Ross Goobey’s personal papers: an overview. . Pension Archive.

Avrahampour, Yally (2008) A relational theory of the valuation and management of UK defined benefit pension funds (1948-2008). In: Academy of Management Annual Meeting: The Questions We Ask, 2008-08-08 - 2008-08-13, Anaheim, United States.

Avramenko, Richard and Boyd, Richard (2013) In the lead up to the financial crash of 2007, federal housing policy made a mockery of society’s ‘subprime virtues’. LSE American Politics and Policy (08 Oct 2013). Website.

Awrey, Dan, Blair, William and Kershaw, David (2013) Between law and markets: is there a role for culture and ethics in financial regulation? Delaware Journal of Corporate Law, 38 (1). pp. 191-245. ISSN 0364-9490

Awrey, Dan and Kershaw, David (2014) Toward a more ethical culture in finance: regulatory and governance strategies. In: Morris, Nicholas and Vines, David, (eds.) Capital Failure: Rebuilding Trust in Financial Services. Oxford University Press, Oxford, UK, pp. 277-304. ISBN 9780198712220

Axelson, Ulf (2007) Security design with investor private information. Journal of Finance, 6 (6). pp. 2587-2632. ISSN 0022-1082

Axelson, Ulf (2013) A theory of the evolution of derivatives markets. Financial Markets Group Discussion Papers (723). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Axelson, Ulf and Baliga, Sandeep (2009) Liquidity and manipulation of executive compensation schemes. Review of Financial Studies, 22 (10). pp. 3907-3939. ISSN 0893-9454

Axelson, Ulf and Bond, Philip (2011) Investment banking careers: an equilibrium theory of overpaid jobs. Financial Markets Group Discussion Papers (690). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Axelson, Ulf and Bond, Philip (2015) Wall Street occupations. Journal of Finance, 70 (5). 1949 - 1996. ISSN 0022-1082

Axelson, Ulf, Jenkinson, Tim, Strömberg, Per and Weisbach, Michael (2012) Borrow cheap, buy high? The determinants of leverage and pricing in buyouts. Financial Markets Group Discussion Papers (698). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Axelson, Ulf, Jenkinson, Tim, Strömberg, Per and Weisbach, Michael S. (2012) Borrow cheap, buy high? The determinants of leverage and pricing in buyouts. CEPR Discussion Paper (8914). London School of Economics and Political Science, London, UK.

Axelson, Ulf, Jenkinson, Tim, Strömberg, Per and Weisbach, Michael S. (2013) Borrow cheap, buy high?: determinants of leverage and pricing in buyouts. Journal of Finance, 68 (6). pp. 2223-2267. ISSN 0022-1082

Axelson, Ulf and Makarov, Igor (2020) Informational black holes in financial markets. Journal of Finance. ISSN 0022-1082 (In Press)

Axelson, Ulf and Makarov, Igor (2016) Informational black holes in financial markets. Financial Markets Group Discussion Papers (754). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Axelson, Ulf and Martinovic, Milan (2016) European venture capital: myths and facts. Financial Markets Group Discussion Papers (753). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Axelson, Ulf, Strömberg, Per and Weisbach, Michael S. (2009) Why are buyouts levered?: the financial structure of private equity funds. Journal of Finance, 64 (4). pp. 1549-1582. ISSN 0022-1082

Aymanns, Christoph, Caccioli, Fabio, Farmer, J. and Tan, Vincent (2015) Taming the Basel leverage cycle. Systemic Risk Centre Discussion Papers (42). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Aymanns, Christoph, Caccioli, Fabio, Farmer, J. Doyne and Tan, Vincent W.C. (2015) Taming the Basel leverage cycle. Systemic Risk Centre Discussion Papers (42). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Aymanns, Christoph, Caccioli, Fabio, Farmer, J. Doyne and Tan, Vincent W.C. (2016) Taming the Basel leverage cycle. Journal of Financial Stability, 27. pp. 263-277. ISSN 1572-3089

Ayres, Joao, Garcia, Marcio, Guillen, Diogo and Kehoe, Patrick J. (2018) The monetary and fiscal history of Brazil, 1960-2016. CFM discussion paper series (CFM-DP-2019-02). Centre For Macroeconomics, London, UK.

Azmat, Ghazala, Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Henry, Emeric (2023) Gender promotion gaps and career aspirations. Management Science. ISSN 0025-1909 (In Press)

Azmat, Ghazala and Simion, Stefania (2018) Analysing the distributional effects of higher education funding reforms in the UK. LSE Business Review (12 Mar 2018). Website.

Aïd, René, Callegaro, Giorgia and Campi, Luciano (2020) No-arbitrage commodity option pricing with market manipulation. Mathematics and Financial Economics, 14 (3). 577 - 603. ISSN 1862-9679

Aïd, René, Campi, Luciano and Langrené, Nicolas (2013) A structural risk-neutral model for pricing and hedging electricity derivatives. Mathematical Finance, 23 (3). pp. 387-438. ISSN 0960-1627

B

Babus, Ana and Kondor, Peter (2018) Trading and information diffusion in OTC markets. Econometrica, 86 (5). pp. 1727-1769. ISSN 0012-9682

Babus, Ana and Kondor, Peter (2018) Trading and information diffusion in over-the-counter markets. Financial Markets Group Discussion Papers (777). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Babus, Ana, Kondor, Peter and Wang, Yilin (2020) Corrigendum to 'Trading and information diffusion in over-the-counter markets'. Econometrica, 88 (5). 2221 - 2228. ISSN 0012-9682

Backhouse, James (2002) Assessing certification authorities: guarding the guardians of secure e-commerce? Journal of Financial Crime, 9 (3). pp. 217-226. ISSN 1359-0790

Backhouse, James (1999) Chasing the fiscal dragon: the politics of bank secrecy. In: 17th Cambridge Symposium on Economic Crime, 1999-09-14 - 1999-09-19, Cambridge, United Kingdom. (Submitted)

Backhouse, James and Angell, Ian (2004) Anti-money laundering - avoiding the technology trap. Financial Regulator, 9 (2). pp. 34-38. ISSN 1362-7511

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

Badcock, Christopher (2004) The morality of markets: taxation as a prisoner's dilemma. In: O'Keeffe, Dennis, (ed.) Economy and Virtue: Essays on the Theme of Markets and Morality. Readings (59). Institute of Economic Affairs, London, pp. 52-67. ISBN 0255365047

Badertscher, Brad A., Jorgensen, Bjorn N., Katz, Sharon and Kinney, William R. (2014) Public equity and audit pricing in the United States. Journal of Accounting Research, 52 (2). 303 - 339. ISSN 0021-8456

Baer, Moritz, Campiglio, Emanuele and Deyris, Jérôme (2021) It takes two to dance: institutional dynamics and climate-related financial policies. Grantham Research Institute on Climate Change and the Environment Working Paper (356). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Baeriswyl, Romain and Cornand, Camille (2006) Monetary policy and its informative value. Financial Markets Group Discussion Papers (569). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Baeza, Emilio Ontiveros (2013) ‘The very idea of ​​the European Union is being questioned’ – Interview with Emilio Ontiveros. Euro Crisis in the Press (29 Jul 2013). Website.

Bagchi, Kanad (2016) Argentina debt restructuring deal – 15 years too late! Euro Crisis in the Press (04 Mar 2016). Website.

Bagchi, Kanad (2015) UN General Assembly resolution on basic principles on debt restructuring processes: a first step towards a global state bankruptcy regime? Euro Crisis in the Press (08 Oct 2015). Website.

Bagchi, Kanad (2015) The ultimate sovereign debt showdown: Russia & Ukraine likely to battle it out in court! Euro Crisis in the Press (12 Nov 2015). Website.

Baghai, Ramin P., Seraves, Henri and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2014) Have rating agencies become more conservative? Implications for capital structure and debt pricing. Journal of Finance, 69 (5). 1961 - 2005. ISSN 0022-1082

Baglioni, Angelo (2016) Europe’s next headache: Italy’s banking crisis. LSE European Politics and Policy (EUROPP) Blog (15 Jul 2016). Website.

Baglioni, Angelo (2016) The Italian banking crisis: where it comes from and where it’s going. LSE Business Review (14 Jul 2016). Website.

Bahaj, Saleem and Reis, Ricardo (2022) Central bank swap lines: evidence on the effects of the lender of last resort. Review of Economic Studies, 89 (4). 1654 – 1693. ISSN 0034-6527

Bahaj, Saleem and Reis, Ricardo (2022) The economics of liquidity lines between central banks. CEPR discussion paper series (17122). Centre for Economic Policy Research (Great Britain), London, UK.

Bahaj, Saleem and Reis, Ricardo (2022) The workings of liquidity lines between central banks. CEPR discussion paper series (17096). Centre for Economic Policy Research (Great Britain), London, UK.

Bahaj, Saleem and Reis, Ricardo (2023) The workings of liquidity lines between central banks. In: Gürkaynak, Refet and Wright, Jonathan, (eds.) Research Handbook of Financial Markets. Elgar, Cheltenham, UK, 102 - 124. ISBN 9781800375314

Bahaj, Saleem A. (2014) Systemic sovereign risk: macroeconomic implications in the euro area. CFM discussion paper series (CFM-DP2014-6). Centre For Macroeconomics, London, UK.

Bahgat, Gawdat (2011) Sovereign wealth funds in the Gulf - an assessment. Kuwait Programme on Development, Governance and Globalisation in the Gulf States (16). London School of Economics and Political Science, London, UK.

Bailey, Andrew and Schonhardt-Bailey, Cheryl (2008) Does deliberation matter in FOMC monetary policymaking?: the Volcker Revolution of 1979. Political Analysis, 16 (4). pp. 404-427. ISSN 1047-1987

Bair, Sheila, Chang, Joyce, Goodhart, C. A. E., Goodman, Lawrence, Novick, Barbara G. and Sandor, Richard L. (2023) Supervision and regulation after Silicon Valley bank. . Center for Financial Stability.

Bair, Sheila, Chang, Joyce, Goodhart, C. A. E., Goodman, Lawrence, Novick, Barbara G. and Sandor, Richard L. (2023) The role of monetary and fiscal policies in recent bank failures. . Center for Financial Stability.

Bair, Sheila and Goodhart, C. A. E. (2024) Bank failures are looming. Let’s make sure executives have skin in the game. The Washington Post. ISSN 0190-8286

Baistrocchi, Eduardo (2017) 14 - Patterns of tax treaty disputes: A global taxonomy in global analysis of tax treaty disputes. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1351-1456. ISBN 9781316528945

Baistrocchi, Eduardo (2014) Associated enterprises. In: Vann, Richard, (ed.) Global Tax Treaty Commentaries. IBFD, Amsterdam, The Netherlands. ISBN 9789087222505

Baistrocchi, Eduardo (2018) Associated enterprises. In: Vann, Richard, (ed.) Global Tax Treaty Commentaries. IBFD, Amsterdam, The Netherlands. ISBN 9789087222505

Baistrocchi, Eduardo (2023) Global tax hubs. Florida Tax Review. ISSN 1066-3487 (In Press)

Baistrocchi, Eduardo (2017) Part 1 - The context of tax duty disputes. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1-14. ISBN 9781316528945

Baistrocchi, Eduardo (2017) The context of tax treaty disputes. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1-14. ISBN 1316507254

Baistrocchi, Eduardo (2006) The transfer pricing problem: a global proposal for simplification. Tax Lawyer, 59 (4). ISSN 0040-005X

Baistrocchi, Eduardo (2008) The use and interpretation of tax treaties in the emerging world: theory and implications. British Tax Review, 2008 (4). pp. 352-391. ISSN 0007-1870

Baistrocchi, Eduardo and Hearson, Martin (2017) Tax treaty disputes: a global quantitative analysis. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1512-1546. ISBN 9781316528945

Baker, Samuel (2016) Rwanda’s performance contracts could serve as a model for other African countries. Africa at LSE (04 Feb 2016). Website.

Baker, Scott R., Bloom, Nicholas, Davis, Steven J. and Sammo, Marco C. (2021) What triggers stock market jumps? CEP Discussion Papers (1789). Centre for Economic Performance, LSE, London, UK.

Bakker, Gerben (2004) At the origins of increased productivity growth in services. Productivity, social savings and the consumer surplus of the film industry, 1900-1938. Economic History Working Papers (81/04). Department of Economic History, London School of Economics and Political Science, London, UK.

Bakker, Gerben (2001) Book review: Wall Street to Main Street: Charles Merrill and middle class investors. Financial History Review, 8 (2). pp. 231-243. ISSN 0968-5650

Bakker, Gerben (2013) Money for nothing: how firms have financed R&D-projects since the Industrial Revolution. Economic History working paper series (182/2013). Department of Economic History, The London School of Economics and Political Science, London, UK.

Bakker, Gerben (2015) Sunk costs and the dynamics of creative industries. In: Jones, Candace, Lorenzen, Mark and Sapsed, Jonathan, (eds.) The Oxford Handbook of Creative Industries. Oxford handbooks. Oxford University Press, Oxford, UK, pp. 351-386. ISBN 9780199603510

Baldenius, Tim, Nezlobin, Alexander and Vaysman, Igor (2016) Managerial performance evaluation and real options. Accounting Review, 91 (3). 741 - 766. ISSN 0001-4826

Baldwin, Robert and Black, Julia ORCID: 0000-0002-5838-3265 (2007) Really responsive regulation. LSE law, society and economics working papers (15-2007). Department of Law, London School of Economics and Political Science, London, UK.

Baldwin, Robert, Hood, Christopher, Rothstein, Henry, Hutter, Bridget M. and Power, Michael ORCID: 0000-0001-8148-3953 (2000) Business risk management in government: pitfalls and possibilities. CARR Launch Paper. London School of Economics and Political Science, London, UK. ISBN 0753014297

Baldwin, Robert, Hood, Christopher, Rothstein, Henry, Hutter, Bridget M. and Power, Michael ORCID: 0000-0001-8148-3953 (2000) Is regulation right? CARR Launch Paper. London School of Economics and Political Science, London, UK. ISBN 0753014297

Baldwin, Robert, Hood, Christopher, Rothstein, Henry, Hutter, Bridget M. and Power, Michael ORCID: 0000-0001-8148-3953 (2000) Risk management and business regulation. CARR Launch Paper. London School of Economics and Political Science, London, UK. ISBN 0753014297

Ball, Désirée and Garcia-Lorenzo, Lucia (2013) A very personal process: dealing with post-merger cultural change in a financial services institution. Change Management, 12 (1). pp. 1-16. ISSN 2327-798X

Bamford, Colin (2013) Conduct costs: the hidden numbers. Conduct Costs Blog (06 Nov 2013). Website.

Ban, Cornel and Gabor, Daniela (2017) The state, inequality and the politics of economic ideas: three blind spots in shadow banking. LSE Business Review (24 Mar 2017). Website.

Bana e Costa, Carlos A., Barroso, L. and Soares, J. O. (2002) Qualitative modelling of credit scoring: a case study in banking. European Research Studies Journal, 5 (1-2). pp. 37-51. ISSN 1108-2976

Bana e Costa, Carlos A., Lourenço, João C., Chagas, Manuel P. and Bana e Costa, João C. (2007) Development of reusable bid evaluation models for the Portugese Electric Transmission Company. Operational Research working papers (LSEOR 07.98). Operational Research Group, Department of Management, London School of Economics and Political Science, London, UK.

Bana e Costa, Carlos A. and Soares, Joao Oliveira (2004) A multicriteria model for portfolio management. European Journal of Finance, 10 (3). pp. 198-211. ISSN 1351-847X

Bana e Costa, Carlos A. and Soares, João Oliveira (2001) A multicriteria model for portfolio management. Operational Research working papers (LSEOR 01.43). Department of Operational Research, London School of Economics and Political Science, London, UK.

Bandi, F.M, Perron, B, Tamoni, Andrea and Tebaldi, C. (2018) The scale of predictability. Journal of Econometrics, 208 (1). pp. 120-140. ISSN 0304-4076

Banerjee, Abhijit, Besley, Timothy and Guinnane, Timothy W (1994) Thy neighbor''s keeper: the design of a credit cooperative with theory and a test. Quarterly Journal of Economics, 109 (2). pp. 491-515. ISSN 0033-5533

Banerjee, Abhijit V. and Moll, Benjamin (2010) Why does misallocation persist? American Economic Journal: Macroeconomics, 2 (1). 189 - 206. ISSN 1945-7707

Banerjee, Suman, Estrin, Saul ORCID: 0000-0002-3447-8593 and Pal, Sarmistha (2022) Corporate disclosure, compliance and consequences: evidence from Russia. European Journal of Finance, 28 (17). 1770 - 1802. ISSN 1351-847X

Banner, Adrian, Fernholz, Robert, Papathanakos, Vassilios, Ruf, Johannes and Schofield, David (2019) Diversification, volatility, and surprising alpha. Journal of Investment Consulting, 19 (1). 23 - 30. ISSN 1424-6035

Banwo, Opeoluwa, Caccioli, Fabio, Harrald, Paul and Medda, Francesca (2017) The effect of heterogeneity on financial contagion due to overlapping portfolios. Advances in Complex Systems, 19 (8). ISSN 0219-5259

Bao, Te, Hommes, Cars and Makarewicz, Tomasz (2017) Bubbles and crashes: A vicious cycle of self-fulfilling investor sentiment. LSE Business Review Blog (16 Nov 2017). Website.

Bar, Allon (2015) UN FORUM SERIES – how do technology companies integrate freedom of expression and privacy rights? Measuring Business and Human Rights (13 Nov 2015). Website.

Bar-Isaac, Heski, Caruana, Guillermo and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2011) Locating inside the Salop circle: demand rotations in a micro-founded model. . Department of Finance, London School of Economics and Political Science, London, UK. (Submitted)

Bar-Isaac, Heski and Cuñat, Alejandro ORCID: 0000-0001-7504-2801 (2005) Long-term debt and hidden borrowing. Financial Markets Group Discussion Papers (542). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bar-Isaac, Heski and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2014) Long-term debt and hidden borrowing. Review of Corporate Finance Studies, 3 (1-2). pp. 87-122. ISSN 2046-9128

Barberis, Janos (2016) Banks’ cautious approach to financial startups has matured. LSE Business Review (17 May 2016). Website.

Barbier-Gauchard, Amélie (2013) Non-Community spending is a little known, but important part of Europe’s financial resources. LSE European Politics and Policy (EUROPP) Blog (02 Oct 2013). Website.

Bardoscia, Marco, Battiston, Stefano, Caccioli, Fabio and Caldarelli, Guido (2017) Pathways towards instability in financial networks. Nature Communications, 8 (14416). ISSN 2041-1723

Bardsley, Peter and Meager, Rachael (2018) Competing lending platforms, endogenous reputation, and fragility in microcredit markets. European Economic Review, 112. pp. 107-126. ISSN 0014-2921

Barfuss, Wolfram, Massara, Guido Previde, Di Matteo, T. and Aste, Tomaso (2016) Parsimonious modeling with information filtering networks. Physical Review E, 94 (6). ISSN 2470-0045

Barigozzi, Matteo and Hallin, Marc (2017) A network analysis of the volatility of high-dimensionalfinancial series. Journal of the Royal Statistical Society. Series C: Applied Statistics. ISSN 0035-9254

Barinov, Alexander and Chabakauri, Georgy (2023) Idiosyncratic volatility, growth options, and the cross-section of returns. Review of Asset Pricing Studies, 13 (4). 653 – 690. ISSN 2045-9920

Barnett-Naghshineh, Olivia (2012) African economic growth must translate into positive change #ADFSOAS. Africa at LSE (16 May 2012). Website.

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2012) Credit crisis and pensions: international scope. In: Bovenberg, Lans, van Ewijk, Casper and Westerhout, Ed, (eds.) The Future of Multi-Pillar Pensions. Cambridge University Press, Cambridge, UK, pp. 90-141. ISBN 9781107022263

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2007) Foreword: investing in human capital: a capital markets approach to student funding. In: Lleras, Miguel Palacios, (ed.) Investing in Human Capital: a Capital Markets Approach to Student Funding. Cambridge University Press, Cambridge, UK, xvii-xx. ISBN 9780521039529

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2019) Gender and family: conceptual overview. Social Protection and Jobs Discussion Papers (1916). World Bank, Washington, DC.

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2023) How can people improve their relationship with money? LSE Business Review (01 Jun 2023). Blog Entry.

Barr, Nicholas ORCID: 0000-0002-5325-2055 (1993) Income transfers in Russia : problems and some policy directions. Economics of Transition, 1 (3). pp. 317-344. ISSN 0967-0750

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2023) Individual funded pension accounts and the World Bank: evolving views. Ubezpieczenia Społeczne. Teoria i praktyka, 156 (1). pp. 1-13. ISSN 1731-0725

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2009) International trends in pension provision. Accounting and Business Research, 39 (3). pp. 211-225. ISSN 0001-4788

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2016) Letter to friends: this is why I will vote Remain in the referendum. LSE Brexit (27 May 2016). Website.

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2016) Milton Friedman and the finance of higher education. In: Cord, Robert and Hammond, J. Daniel, (eds.) Milton Friedman: Contributions to Economics and Public Policy,. Oxford University Press, Oxford, UK, pp. 436-463. ISBN 9780198704324

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2004) The logic of income-contingent programs. In: O'Halloran, Elizabeth F, Palacios Llera, Miguel, Halliday, Amy L and Bruner, Robert F, (eds.) An Executive Briefing on Financing Human Capital. Darden Business Publishing, Charlotteville, Virginia, pp. 16-23. ISBN 1932692010

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2002) The pension puzzle : prerequisites and policy choices in pension design. Economic issues ; 29. International Monetary Fund, Washington DC. ISBN 1-58-906111-X

Barr, Nicholas ORCID: 0000-0002-5325-2055 and Diamond, Peter (2009) Reforming pensions: principles, analytical errors and policy directions. International Social Security Review, 62 (2). pp. 5-29. ISSN 0020-871X

Barr, Nicholas ORCID: 0000-0002-5325-2055 and Diamond, Peter (2018) Response to superannuation: assessing efficiency and competitiveness: productivity commission draft report. . Australian Government Productivity Commission. (Submitted)

Barr, Nicholas ORCID: 0000-0002-5325-2055 and Diamond, Peter (2006) The economics of pensions. Oxford Review of Economic Policy, 22 (1). pp. 15-39. ISSN 0266-903X

Barrell, Ray, Karim, Dilly and Macchiarelli, Corrado (2017) Towards an understanding of credit cycles: do all credit booms cause crises? Systemic Risk Centre Discussion Papers (76). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Barrell, Ray and Nahhas, Abdulkader (2019) The role of lender country factors in cross border bank lending. International Review of Financial Analysis. ISSN 1057-5219

Barrett, Michael and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2004) Electronic trading and the process of globalization in traditional futures exchanges: a temporal perspective. European Journal of Information Systems, 13 (1). pp. 65-79. ISSN 0960-085X

Barrett, Michael I. and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2000) The emergence of electronic trading in global financial markets: envisioning the role of future exchanges in the next millennium. In: Proceedings of the European Conference in Information Systems, 2000-07-03 - 2000-07-05, Vienna, Austria.

Barrieu, P. and El Karoui, N. (2008) Dynamic financial risk management. In: Yor, Marc, (ed.) Aspects of Mathematical Finance. Springer Berlin / Heidelberg, Paris, France, pp. 23-36. ISBN 9783540752585

Barrieu, Pauline and Bellamy, N. (2005) Impact of a market crisis on real options. In: Kyprianou, Andreas E., Schoutens, Wim and Wilmott, Paul, (eds.) Exotic Option Pricing and Advanced Lévy Models. John Wiley & Sons, London, UK. ISBN 9780470016848

Barrieu, Pauline, Bellamy, Nadine and Sahut, Jean-Michel (2012) Assessing the costs of protection in a context of switching stochastic regimes. Applied Mathematical Finance, 19 (6). pp. 495-511. ISSN 1350-486X

Barrieu, Pauline, Bellamy, Nadine and Sinclair-Desgagné, Bernard (2017) Assessing contaminated land cleanup costs and strategies. Applied Mathematical Modelling, 42. pp. 478-492. ISSN 0307-904X

Barrieu, Pauline, Bensusan, Harry, El Karoui, Nicole, Hillairet, Caroline, Loisel, Stephane, Ravanelli, Claudia and Salhi, Yahia (2012) Understanding, modelling and managing longevity risk: key issues and main challenges. Scandinavian Actuarial Journal, 3. pp. 203-231. ISSN 0346-1238

Barrieu, Pauline and El Karoui, Nicole (2005) Dynamic financial risk management. In: Aspects des Mathématiques Financières. Tec & Doc Lavoisier. ISBN 2743008873

Barrieu, Pauline and El Karoui, Nicole (2005) Inf-convolution of risk measures and optimal risk transfer. Finance and Stochastics, 9 (2). pp. 269-298. ISSN 0949-2984

Barrieu, Pauline and El Karoui, Nicole (2002) Optimal design of derivatives in illiquid markets. Quantitative Finance, 2 (3). pp. 181-188. ISSN 1469-7688

Barrieu, Pauline and El Karoui, Nicole (2004) Optimal risk transfer. Finance, 25. pp. 31-47. ISSN 0752-6180

Barrieu, Pauline and El Karoui, Nicole (2008) Pricing, hedging and optimally designing derivatives via minimization of risk measures. In: Carmona, René, (ed.) Indifference Pricing: Theory and Applications. Princeton University Press, Princeton, USA.

Barrieu, Pauline and El Karoui, Nicole (2003) Structuration optimale de produits dérivés et diversification en présence de sources de risque non-négociables. Comptes Rendus Series Mathematiques, 336 (6). pp. 493-498. ISSN 1631-073X

Barrieu, Pauline and Louberge, Henri (2013) Reinsurance and securitisation of life insurance risk: the impact of regulatory constraints. Insurance: Mathematics and Economics, 52 (2). pp. 135-144. ISSN 0167-6687 (Submitted)

Barrieu, Pauline, Rouault, A. and Yor, M. (2004) A study of the Hartmann-Watson distribution motivated by numerical problems related to the pricing of Asian options. Journal of Applied Probability, 41 (4). pp. 1049-1058. ISSN 0021-9002

Barrieu, Pauline and Scandolo, Giacomo (2014) Assessing financial model risk. European Journal of Operational Research, 242 (2). pp. 546-556. ISSN 0377-2217

Barrieu, Pauline and Scandolo, Giacomo (2008) General pareto optimal allocations and applications to multi-period risks. Astin Bulletin, 38 (1). pp. 105-136. ISSN 0515-0361

Barro, Robert and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2007) Economic effects of currency unions. Economic Inquiry, 45 (1). pp. 1-23. ISSN 0095-2583

Barthel, Fabian, Busse, Matthias and Neumayer, Eric ORCID: 0000-0003-2719-7563 (2010) The impact of double taxation treaties on foreign direct investment: evidence from large dyadic panel data. Contemporary Economic Policy, 28 (3). pp. 366-377. ISSN 1074-3529

Bartlett, Will ORCID: 0000-0002-6775-4339, Ker-Lindsay, James, Alexander, Kristian and Prelec, Tena (2017) The United Arab Emirates as an emerging actor in the Western Balkans: the case of strategic investment in Serbia. Journal of Arabian Studies, 7 (1). pp. 94-112. ISSN 2153-4764

Bartzokas, Anthony, Giacon, Renato and Macchiarelli, Corrado (2022) Assessing the ECB’s new transmission protection mechanism. LSE European Politics and Policy (EUROPP) blog (20 Jul 2022). Blog Entry.

Basak, Suleyman and Chabakauri, Georgy (2016) Dynamic hedging in incomplete markets: a simple solution. Review of Financial Studies, 25 (6). 1845 - 1896. ISSN 0893-9454

Basak, Suleyman and Chabakauri, Georgy (2011) Dynamic hedging in incomplete markets: a simple solution. Financial Markets Group Discussion Papers (680). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Basak, Suleyman and Chabakauri, Georgy (2010) Dynamic mean-variance asset allocation. Review of Financial Studies, 23 (8). pp. 2970-3016. ISSN 0893-9454

Basak, Suleyman, Chabakauri, Georgy and Yavuz, M. (2018) Investor protection and asset prices. Financial Markets Group Discussion Papers (779). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Basak, Suleyman, Chabakauri, Georgy and Yavuz, M. Deniz (2019) Investor protection and asset prices. Review of Financial Studies, 32 (12). 4905 - 4946. ISSN 0893-9454

Basedow, Robert (2018) While a global trade war is looming, the UK faces an anarchic world economy. LSE Brexit (19 Mar 2018). Website.

Baskaya, Yusuf Soner, Binici, Mahir and Kenc, Turalay (2017) Cross-border effects of regulation: lessons from Turkey. International Journal of Central Banking, 13 (S1). pp. 15-22. ISSN 1815-4654

Bassetto, Marco and Cui, Wei (2017) The fiscal theory of the price level in a world of low interest rates. CFM discussion paper series (CFMDP2017-31). Centre For Macroeconomics, London, UK.

Basta, Karlo (2012) Fiscal crisis and the Balkanization of Spain: Which way forward? International Affairs at LSE (25 Sep 2012). Website.

Basu, Sankarshan and Dassios, Angelos (2002) A Cox process with log-normal intensity. Insurance: Mathematics and Economics, 31 (2). pp. 297-302. ISSN 0167-6687

Bates, Timothy and Robb, Alicia (2015) Although the Community Reinvestment Act has improved loanavailability among small businesses run by minorities, equalitywith equally creditworthy white-owned firms remains elusive. USApp– American Politics and Policy Blog (30 Jun 2015). Website.

Battalio, Robert, Ellul, Andrew and Jennings, Robert (2005) Reputation effects in trading on the New York Stock Exchange. Financial Markets Group Discussion Papers (540). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bauchowitz, Stefan (2014) Entrepreneurship in southern Europe: Symptom or solution to the Euro Crisis? Euro Crisis in the Press (14 Feb 2014). Website.

Bauerle, N. and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2011) Einblicke in die Finanzmathematik: Optionsbewertung und Portfolio-Optimierung. In: Wendland, Katrin and Werner, Annette, (eds.) Facettenreiche Mathematik: Einblicke in Die Moderne Mathematische Forschung Für Alle, Die Mehr Von Mathematik Verstehen Wollen. Vieweg & Teubner. ISBN 9783834814142

Baurdoux, Erik J. ORCID: 0000-0002-5407-0683 and Kyprianou, Andreas E. (2004) Further calculations for Israeli options. Stochastics and Stochastic Reports, 76 (6). pp. 546-569. ISSN 1744-2508

Baurdoux, Erik J. ORCID: 0000-0002-5407-0683 and Pedraza, José M. (2024) Lp optimal prediction of the last zero of a spectrally negative Lévy process. Annals of Applied Probability, 34 (1B). 1350 - 1402. ISSN 1050-5164

Bayne, Nicholas (2011) The diplomacy of the financial crisis in context. Hague Journal of Diplomacy, 6 (1-2). pp. 187-201. ISSN 1871-1901

Bazdrech, Santiago, Belo, Frederico and Lin, Xiaoji (2009) Labor hiring, investment and stock return predictability in the cross section. Financial Markets Group Discussion Papers (628). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Beale, Hugh, Gullifer, Louise and Paterson, Sarah (2015) Ban on assignment clauses: views from the coalface. Butterworths Journal of International Banking and Financial Law, 30 (8). pp. 463-466. ISSN 0269-2694

Bean, C. (1992) Economic and monetary union. CEPDP (86). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Bean, Charles ORCID: 0000-0002-6524-8280 (2016) Living with low for long. The Economic Journal, 126 (592). 507 - 522. ISSN 0013-0133

Bean, Charles R. ORCID: 0000-0002-6524-8280 (2019) A Review Essay: David Kynaston's Till Time's Last Sand:: a history of the Bank of England, 1694-2013. Journal of Economic Literature, 57 (4). pp. 972-987. ISSN 0022-0515

Bear, Laura (2017) ‘Alternatives’ to austerity: a critique of financialized infrastructure in India and beyond. Anthropology Today, 33 (5). pp. 3-7. ISSN 0268-540X

Bear, Laura, Birla, Ritu and Puri, Stine Simonsen (2015) Speculation: futures and capitalism in India: opening statement. Comparative Studies of South Asia, Africa and the Middle East, 35 (3). pp. 387-391. ISSN 1089-201X

Beaver, William, Cascino, Stefano ORCID: 0000-0002-6703-741X, Correia, Maria and McNichols, Maureen (2018) Bankruptcy in groups. Systemic Risk Centre Discussion Papers (81). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Beaver, William H, Cascino, Stefano ORCID: 0000-0002-6703-741X, Correia, Maria and McNichols, Maureen F. (2023) Bankruptcy in groups. Review of Accounting Studies. ISSN 1380-6653

Beaver, William H, Cascino, Stefano ORCID: 0000-0002-6703-741X, Correia, Maria and McNichols, Maureen F. (2015) Business groups manage credit risk by reshuffling resources amongst units. LSE Business Review (04 Nov 2015). Website.

Beaver, William H, Cascino, Stefano ORCID: 0000-0002-6703-741X, Correia, Maria and McNichols, Maureen F. (2019) Group affiliation and default prediction. Management Science, 65 (8). pp. 3559-3584. ISSN 0025-1909

Beccalli, Elena (2007) IT and European bank performance. Palgrave Macmillan studies in banking and financial institutions. Palgrave Macmillan, New York, U.S.. ISBN 9780230006942

Beccalli, Elena (2000) Investire Online: come, dove e quando [The Online Investor. The Guide]. Tecniche Nuove, Milan, Italy. ISBN 884811099

Beccalli, Elena, Anolli, Mario and Borello, Giuliana (2015) Are European banks too big? evidence on economies of scale. Journal of Banking and Finance, 58. pp. 232-246. ISSN 0378-4266

Beccalli, Elena, Bozzolan, Saverio, Menini, Andrea and Molyneux, Philip (2013) Earnings management, forecast guidance and the banking crisis. European Journal of Finance, 21 (3). pp. 242-268. ISSN 1351-847X

Beccalli, Elena, Casu, Barbara and Girardone, Claudia (2006) Efficiency and stock performance in European banking. Journal of Business Finance and Accounting, 33. pp. 245-262. ISSN 0306-686X

Beccalli, Elena and Frantz, Pascal (2016) Why are some banks recapitalized and others taken over? Journal of International Financial Markets, Institutions and Money, 45. pp. 79-95. ISSN 1042-4431

Beccalli, Elena and Frantz, Pascal (2013) The determinants of mergers and acquisitions in banking. Journal of Financial Services Research, 43 (3). pp. 265-291. ISSN 0920-8550

Beccalli, Elena, Frantz, Pascal and Lenoci, Francesca (2018) Hidden effects of bank recapitalizations. Journal of Banking and Finance, 94. pp. 297-314. ISSN 0378-4266

Beccalli, Elena, Miller, Peter and O'Leary, Ted (2015) How analysts process information: technical and financial disclosures in the microprocessor industry. European Accounting Review, 24 (3). 519 - 549. ISSN 0963-8180

Beck, Thorsten, Degryse, Hans, Haas, Ralph and Horen, Neeltje (2015) When arm's length Is too far. Relationship banking over the credit cycle. Systemic Risk Centre Discussion Papers (33). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Beckett, Charlie (2009) African business journalism: a vital sector. POLIS: journalism and society at the LSE (16 Feb 2009). Website.

Beckett, Charlie (2008) Billions, banks, and the blog. POLIS: journalism and society at the LSE (08 Oct 2008). Website.

Beckett, Charlie (2008) Brown's ship not holed by Rock. POLIS: journalism and society at the LSE (21 Feb 2008). Website.

Beckett, Charlie (2007) Can you bank on the media? POLIS: journalism and society at the LSE (15 Sep 2007). Website.

Beckett, Charlie (2008) Crash! The end of financial journalism? POLIS: journalism and society at the LSE (17 Oct 2008). Website.

Beckett, Charlie (2007) Financial journalism – new media fun and games. POLIS: journalism and society at the LSE (03 Dec 2007). Website.

Beckett, Charlie (2008) Financial journalism: it's everyone's business. POLIS: journalism and society at the LSE (04 Jul 2008). Website.

Beckett, Charlie (2010) Financial journalism: what are we going to do about it? POLIS: journalism and society at the LSE (16 Sep 2010). Website.

Beckett, Charlie (2009) Treasury MPs to tackle financial reporting. POLIS: journalism and society at the LSE (05 Jan 2009). Website.

Beckett, Charlie (2008) Two years of carnage: Emily Bell on the great crash and the media. POLIS: journalism and society at the LSE (14 Oct 2008). Website.

Beckett, Charlie (2008) What does the crash mean for journalism? (DCMS convergence think-tank report). POLIS: journalism and society at the LSE (16 Sep 2008). Website.

Beckett, Charlie (2008) What if journalists had said nothing about the financial meltdown? POLIS: journalism and society at the LSE (08 Dec 2008). Website.

Beckett, Charlie (2009) What is financial journalism for? (Columbia Journalism Review of Polis report). POLIS: journalism and society at the LSE (28 Jan 2009). Website.

Beckett, Charlie (2008) What is financial journalism for? A new report from Polis. POLIS: journalism and society at the LSE (14 Nov 2008). Website.

Beckett, Charlie (2008) Why the crash (and new media) wins it for Obama. POLIS: journalism and society at the LSE (10 Oct 2008). Website.

Beecham, Nell and Nichols, Georgia (2014) Researching the elite. Researching Sociology (05 Feb 2014). Website.

Beekes, Wendy, Pope, Peter and Young, Steven (2004) The link between earnings timeliness, earnings conservatism and board composition: evidence from the UK. Corporate Governance: an International Review, 12 (1). pp. 47-59. ISSN 1467-8683

Begg, Iain (2013) Are better defined rules enough? An assessment of the post-crisis reforms of the governance of EMU. Transfer: European Review of Labour and Research, 19 (1). pp. 49-62. ISSN 1024-2589

Begg, Iain (2012) Banking union: inevitable, but profoundly challenging? CESifo Forum, 13 (4). pp. 15-20. ISSN 1615-245X

Begg, Iain (2018) The Brexit-sized hole in the future EU budget. LSE European Politics and Policy (EUROPP) blog (20 Jan 2018). Blog Entry.

Begg, Iain (2020) Deals, deals, deals: who needs them? LSE European Politics and Policy (EUROPP) blog (03 Mar 2020). Blog Entry.

Begg, Iain (2023) EU finances in search of a new approach. Intereconomics, 58 (6). 295 - 299. ISSN 0020-5346

Begg, Iain (2012) The EU’s response to the global financial crisis and sovereign debt crisis. Asia Europe Journal, 9 (2-4). pp. 107-124. ISSN 1610-2932

Begg, Iain (2006) Economic policy and institutional transparency: the ECB. In: Oxelheim, Lars, (ed.) Corporate and Institutional Transparency for Economic Growth in Europe. International business & management (19). Elsevier, Oxford, UK, pp. 47-70. ISBN 9780080446653

Begg, Iain (2021) The European Central Bank’s revised monetary policy strategy. LSE European Politics and Policy (EUROPP) blog (20 Aug 2021). Blog Entry.

Begg, Iain (2017) Fiscal rules and the scope for risk sharing. Intereconomics, 52 (3). pp. 131-137. ISSN 0020-5346

Begg, Iain (2006) Is full participation in the EMU likely to favour or slow real convergence? In: Balcerowicz, Leszek and Fischer, Stanley, (eds.) Living Standards and the Wealth of Nations : Successes and Failures in Real Convergence. MIT Press, Cambridge, USA, pp. 365-391. ISBN 9780262025959

Begg, Iain (2009) Monetary policy strategies. In: Dyson, Kenneth and Marcussen, Martin, (eds.) Central Banks in the Age of the Euro: Europeanization, Convergence, and Power. Oxford University Press, Oxford, UK. ISBN 9780199218233

Begg, Iain (2006) Real convergence and EMU enlargement: the time dimension of fit with the Euro area. In: Dyson, Kenneth, (ed.) Enlarging the Euro Area: External Empowerment and Domestic Transformation in East Central Europe. Oxford University Press, Oxford, UK. ISBN 9780199277674

Begg, Iain (2017) Reflecting on how to run €MU more effectively. LSE European Politics and Policy (EUROPP) Blog (29 Jun 2017). Website.

Begg, Iain (2012) A well designed Europe-wide financial transactions tax could be a powerful source of revenue for the EU budget. LSE European Politics and Policy (EUROPP) Blog (31 Mar 2012). Website.

Begg, Iain, Canova, Fabio, de Grauwe, Paul, Fatas, Antonio and Lane, Philip R. (2002) Surviving the slowdown. Monitoring the European central bank. , 4 Centre for Economic Policy Research (Great Britain), London, UK. ISBN 1898128650

Beirne, John, Caporale, Guglielmo M., Schulze-Ghattas, Marianne and Spagnolo, Nicola (2010) Global and regional spillovers in emerging stock markets: a multivariate GARCH-in-mean analysis. Emerging Markets Review, 11 (3). pp. 250-260. ISSN 1566-0141

Bell, Brian (2010) Bankers' bonuses. CEP Election Analysis (CEPEA010). The London School of Economics and Political Science, Center of Economic Performance, London, UK.

Bell, Brian and Van Reenen, John ORCID: 0000-0001-9153-2907 (2014) Bankers and their bonuses. The Economic Journal, 124 (574). F1-F21. ISSN 0013-0133

Bell, Lauren C. (2020) Despite past Congressional action on insider trading, Senators' stock trades are still business as usual. USApp-American Politics and Policy Blog (08 Apr 2020). Blog Entry.

Belli, Simone (2013) Book review: The research funding toolkit. LSE Review of Books (27 May 2013). Website.

Belo, Frederico and Lin, Xiaoji (2012) The inventory growth spread. Review of Financial Studies, 25 (1). pp. 278-313. ISSN 0893-9454

Beltratti, Andrea, Benetton, Matteo and Gavazza, Alessandro ORCID: 0000-0001-9236-5813 (2017) The role of prepayment penalties in mortgage loans. Journal of Banking and Finance, 82. pp. 165-179. ISSN 0378-4266

Bena, Jan and Hanousek, Jan (2006) Rent extraction by large shareholders: evidence using dividend policy in the Czech Republic. Financial Markets Group Discussion Papers (556). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Benati, Luca and Goodhart, Charles (2010) Monetary policy regimes and economic performance: the historical record, 1979-2008. In: Handbook of Monetary Economics. Elsevier, Amsterdam, The Netherlands, pp. 1159-1236. ISBN 9780444534545

Benbouzid, Nadia, Kumar, Abhishek, Mallick, Sushanta K., Sousa, Ricardo M. and Stojanovic, Aleksandar (2022) Bank credit risk and macro-prudential policies: role of counter-cyclical capital buffer. Journal of Financial Stability, 63. ISSN 1572-3089

Benedetti, Giuseppe and Campi, Luciano (2016) Utility indifference valuation for non-smooth payoffs with an application to power derivatives. Applied Mathematics and Optimization, 73 (2). pp. 349-389. ISSN 0095-4616

Benedetti, Giuseppe, Campi, Luciano, Kallsen, Jan and Muhle-Karbe, Johannes (2013) On the existence of shadow prices. Finance and Stochastics, 17 (4). pp. 801-818. ISSN 0949-2984

Benedikter, Roland (2022) What happens to Guinea’s gold has consequences for democracy. Africa at LSE (16 Mar 2022). Blog Entry.

Benediktsdottir, Sigridur, Danielsson, Jon and Zoega, Gylfi (2011) Lessons from a collapse of a financial system. Economic Policy, 26 (66). pp. 183-235. ISSN 0266-4658

Benetatou, Kelly and Katsoulacos, Yannis (2020) Legal standards and economic analysis in antitrust enforcement: an empirical investigation for the case of Greece. GreeSE papers (144). London School of Economics and Political Science, London, UK.

Benhamou, Eric (2000) Pricing convexity adjustment with Wiener chaos. Financial Markets Group Discussion Papers (351). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Benhamou, Eric (2000) A generalisation of Malliavin weighted scheme for fast computation of the Greeks. Financial Markets Group Discussion Papers (350). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Benigno, Gianluca (2004) Real exchange rate persistence and monetary policy rules. Journal of Monetary Economics, 51 (3). pp. 473-502. ISSN 0304-3932

Benigno, Gianluca and Benigno, Pierpalo (2006) Designing targeting rules for international monetary policy cooperation. Journal of Monetary Economics, 53 (3). pp. 473-506. ISSN 0304-3932

Benigno, Gianluca, Benigno, Pierpaolo and Nisticò, Salvatore (2012) Risk, monetary policy and the exchange rate. In: Acemoglu, Daron and Woodford, Michael, (eds.) NBER Macroeconomics Annual 2011. NBER macroeconomics annual (26). University of Chicago. Press, Chicago, US, pp. 247-309. ISBN 9780226002149

Benigno, Gianluca, Benigno, Pierpaolo and Nisticò, Salvatore (2011) Second-order approximation of dynamic models with time-varying risk. Financial Markets Group Discussion Papers (677). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Benigno, Gianluca, Chen, Huigang, Otrok, Christopher, Rebucci, Alessandro and Young, Eric R. (2012) Financial crises and macro-prudential policies. Journal of International Economics, 89 (2). pp. 453-470. ISSN 0022-1996

Benigno, Gianluca, Chen, Huigang, Otrok, Christopher, Rebucci, Alessandro and Young, Eric R. (2016) Optimal capital controls and real exchange rate policies: a pecuniary externality perspective. Journal of Monetary Economics, 84. pp. 147-165. ISSN 0304-3932

Benigno, Gianluca, Chen, Huigang, Otrok, Christopher, Rebucci, Alessandro and Young, Eric R. (2010) Revisiting overborrowing and its policy implications. CEP Discussion Papers (CEPDP1020). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Benigno, Gianluca, Converse, Nathan and Fornaro, Luca (2015) Large capital inflows, sectoral allocation andeconomic performance. CEP Discussion Papers (CEPDP1348). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Benigno, Gianluca, Converse, Nathan and Fornaro, Luca (2015) Large capital inflows, sectoral allocation, and economic performance. Journal of International Money and Finance, 55. pp. 60-87. ISSN 0261-5606

Benigno, Gianluca and Fornaro, Luca (2014) The financial resource curse. Scandinavian Journal of Economics, 116 (1). pp. 58-86. ISSN 0347-0520

Benigno, Gianluca and Kucuk, H. (2012) Portfolio allocation and international risk sharing. Canadian Journal of Economics, 45 (2). pp. 535-565. ISSN 0008-4085

Benigno, Gianluca and Küçük-Tuger, Hande (2011) Portfolio allocation and international risk sharing. CEP Discussion Papers (CEPDP1048). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Benigno, Gianluca and Theonissen, Christoph (2006) Consumption and real exchange rates with incomplete markets and non-traded goods. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Benigno, Gianluca and Thoenissen, Christoph (2003) Equilibrium exchange rates and supply-side performance. The Economic Journal, 113 (486). C103-C103. ISSN 0013-0133

Benigno, Gianluca Dimiano Carmelo, Converse, Nathan and Fornaro, Luca (2015) Large capital inflows, sectoral allocation and economic performance. CEP Discussion Papers (CEPDP1348). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Benigno, Pierpaolo and Benigno, Gianluca (2002) Implementing monetary cooperation through inflation targeting. CEPR discussion paper ; no. 3226. Centre for Economic Policy Research (Great Britain), London.

Benigno, Pierpaolo and Benigno, Gianluca (2001) Price stability as a Nash equilibrium in monetary open-economy models. CEPR discussion paper ; no. 2757. Centre for Economic Policy Research (Great Britain), London.

Benink, Harald, Danielsson, Jon and Goodhart, Charles (2009) The future of banking regulation: the Basel II Accord. John Wiley & Sons, London, UK. ISBN 9781405158268

Benink, Harald, Danielsson, Jon and Jónsson, Ásgeir (2008) On the role of regulatory banking capital. Financial Markets, Institutions and Instruments, 17 (1). pp. 85-96. ISSN 0963-8008

Benjamin, Joanna (2008) Cukurova in the Court of Appeal. Insolvency Intelligence, 21 (7). pp. 105-106. ISSN 0950-2645

Benjamin, Joanna (2017) Stewardship and collateral. LSE Law, Society and Economy Working Papers (7/2017). Department of Law, London School of Economics and Political Science, London, UK.

Benjamin, Joanna (2003) The dematerialisation of money market instruments. In: Worthington, Sarah, (ed.) Commercial Law and Commercial Practice. Hart Enterprises, Oxford, UK, pp. 249-304. ISBN 9781841134383

Benjamin, Joanna (2010) The narratives of financial law. Oxford Journal of Legal Studies, 30 (4). pp. 787-814. ISSN 0143-6503

Benjamin, Joanna, Bowden, Paul and Rouch, David (2008) Law and regulation for global financial markets: markets as rule-makers - enforcement, dispute resolution and risk. Law and Financial Markets Review, 2 (4). pp. 321-330. ISSN 1752-1440

Benjamin, Joanna and Maher, Felicity (2008) Financial collateral arrangements: lessons from Cukurova. Insolvency Intelligence, 21 (5). pp. 65-72. ISSN 0950-2645

Benjamin, Joanna and Maher, Felicity (2008) Lessons from Cukurova. Capital Markets Law Journal, 3 (2). pp. 126-138. ISSN 1750-7219

Benjamin, Joanna and Rouch, David (2007) Providers and distributors: responsibilities in relation to retail structured products. Law and Financial Markets Review, 1 (5). pp. 413-421. ISSN 1752-1440

Benjamin, Joanna and Rouch, David (2008) The international financial markets as a source of global law: the privatisation of rule-making? Law and Financial Markets Review, 2 (2). pp. 78-86. ISSN 1752-1440

Benmir, Ghassane, Jaccard, Ivan and Vermandel, Gauthier (2023) Optimal monetary policy in an estimated SIR model. European Economic Review, 156. ISSN 0014-2921

Bennett, Robert, Glennerster, Howard and Nevison, Douglas (1992) Learning should pay. BP Educational Service (London, England), London, UK.

Bentham, Caroline (2020) Direct cash transfers to households: the Bank of England’s response to COVID-19 and the end of orthodoxy. British Politics and Policy at LSE (12 Jun 2020). Blog Entry.

Bergbauer, Stephanie, Hernborg, Nils, Jamet, Jean-François and Persson, Eric (2020) The reputation of the euro and the European Central Bank: interlinked or disconnected? LSE European Politics and Policy (EUROPP) blog (10 Mar 2020). Blog Entry.

Bergeaud, Antonin and Ray, Simon (2021) Adjustment costs and factor demand: new evidence from firms' real estate. Economic Journal, 131 (633). 70 - 100. ISSN 0013-0133

Bergemann, Dirk, Shen, Ji, Xu, Yun and Yeh, Edmund (2012) Multi-dimensional mechanism design with limited information. In: Proceedings of the 13th ACM Conference on Electronic Commerce - Ec '12. ACM Press, New York, USA, pp. 162-178. ISBN 9781450314152

Berglöf, Erik (2020) A pandemic strategy as global as COVID-19. Project Syndicate.

Berglöf, Erik and Burkart, Mike ORCID: 0000-0002-0954-4499 (2003) European takeover regulation. Economic Policy, 18 (36). pp. 171-213. ISSN 0266-4658

Berglöf, Erik, Burkart, Mike ORCID: 0000-0002-0954-4499, Friebel, Guido and Paltseva, Elena (2012) Club-in-the-club: reform under unanimity. Journal of Comparative Economics, 40 (3). pp. 492-507. ISSN 0147-5967

Berglöf, Erik, Burkart, Mike ORCID: 0000-0002-0954-4499, Friebel, Guido and Paltseva, Elena (2008) Widening and deepening: reforming the European Union. American Economic Review, 98 (2). pp. 133-137. ISSN 0002-8282

Berman, Nicolas and Martin, Philippe (2013) Has the recent financial crisis had an impact on sub-Saharan Africa? International Growth Centre Blog (06 Dec 2013). Website.

Bernales, Alejandro, Garrido-Sureda, Nicolas, Sagade, Satchit, Valenzuela, Marcela and Westheide, Christian (2023) Trader competition in fragmented markets: liquidity supply versus picking-off risk. Journal of Financial and Quantitative Analysis. ISSN 0022-1090

Bernales, Alejandro, Ladley, Daniel, Litos, Evangelos and Valenzuela, Marcela (2021) Dark trading and alternative execution priority rules. Systemic Risk Centre Discussion Papers (111). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bernard, Andrew B., Massari, Renzo, Reyes, Jose-Daniel and Taglioni, Daria (2016) Exporter dynamics and partial-year effects. CEP Discussion Paper (1430). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Bernardo, Giovanni and Campiglio, Emanuele (2014) A simple model of income, aggregate demand and the process of credit creation by private banks. Empirica, 41 (3). 381 -405. ISSN 0340-8744

Bernick, Sandra, Davies, Richard and Valero, Anna (2017) Where industry is strong and where it's weak: key facts of UK business geography. LSE Business Review (25 Sep 2017). Blog Entry.

Berry, Craig (2015) Financialisation, home-ownership, and how democracy became a threat to economic growth. Democratic Audit Blog (04 May 2015). Website.

Bertero, Elisabetta (2003) Fa differenza il cambiamento dell'assetto proprietario, da pubblico a privati? Economia Pubblica, 33 (2). ISSN 0390-6140

Bertero, Elisabetta (1997) Restructuring financial systems in transition and developing economies: an approach based on the French financial system. Economics of Transition, 5 (2). pp. 367-393. ISSN 0967-0750

Bertero, Elisabetta (1994) The banking system, financial markets, and capital structure: some new evidence from France. Oxford Review of Economic Policy, 10 (4). pp. 68-78. ISSN 0266-903X

Bertero, Elisabetta and Mayer, Colin (1990) Structure and performance: global interdependence of stock markets around the crash of October 1987. European Economic Review, 34 (6). pp. 1155-1180. ISSN 0014-2921

Bertero, Elisabetta and Rondi, Laura (2003) Hardening a soft budget constraint through "upward devolution" to a supranational institution: the case of the European Union and Italian state-owned firms. In: Sun, Laixiang, (ed.) Ownership and Governance of Enterprises: Recent Innovative Developments. Studies in development economics and policy. Palgrave Macmillan, Basingstoke. ISBN 9781403916334

Bertero, Elisabetta and Rondi, Laura (2000) Investment, cash flow and managerial discretion in state-owned firms: evidence across soft and hard budget constraints. Working paper (10/2000). Ceris-Cnr.

Besley, Timothy (2013) Are economic conditions historically determined? Evidence from violence in Africa. International Growth Centre Blog (06 Dec 2013). Website.

Besley, Timothy (2001) From micro to macro : public policies and aggregate economic performance. Fiscal Studies, 22 (3). pp. 357-374. ISSN 0143-5671

Besley, Timothy (1994) How do market failures justify interventions in rural credit markets? World Bank Research Observer, 9 (1). pp. 27-47. ISSN 0257-3032

Besley, Timothy (2015) Law, regulation, and the business climate: the nature and influence of the World Bank Doing Business project. Journal of Economic Perspectives, 29 (3). pp. 99-120. ISSN 0895-3309

Besley, Timothy (1995) Nonmarket institutions for credit and risk-sharing in low-income countries. Journal of Economic Perspectives, 9 (3). pp. 115-127. ISSN 0895-3309

Besley, Timothy (2013) What's the good of the market? An essay on Michael Sandel's what money can't buy. Journal of Economic Literature, 51 (2). pp. 478-495. ISSN 0022-0515

Besley, Timothy (1991) The demand for health care and health insurance. In: McGuire, Alistair, Fenn, Paul and Mayhew, Ken, (eds.) Providing Health Care : the Economics of Alternative Systems of Finance and Delivery. Oxford University Press, Oxford, pp. 46-64. ISBN 0-198283229

Besley, Timothy, Burgess, Robin and Pratt, Andrea (2002) Mass media and political accountability. CARR Discussion Papers (DP 6). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Besley, Timothy and Coate, Stephen (1995) Group lending, repayment incentives and social collateral. Journal of Development Economics, 46 (1). pp. 1-18. ISSN 0304-3878

Besley, Timothy, Coate, Stephen and Loury, Glenn (1993) The economics of rotating savings and credit associations. American Economic Review, 83 (4). pp. 792-810. ISSN 0002-8282

Besley, Timothy, Fontana, Nicola and Limodio, Nicola (2021) Antitrust policies and profitability in non-tradable sectors. American Economic Review: Insights, 3 (2). 251 - 265. ISSN 2640-2068

Besley, Timothy and Ghatak, Maitreesh ORCID: 0000-0002-6231-5580 (2003) Incentives, choice and accountability in the provision of Public Services. CARR Discussion Papers (DP 14). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Besley, Timothy, Hall, John and Preston, Ian (1998) Private and public health insurance in the UK. European Economic Review, 42 (03-May). pp. 491-497. ISSN 0014-2921

Besley, Timothy, Hall, John and Preston, Ian (1999) The demand for private health insurance: do waiting lists matter? Journal of Public Economics, 72 (2). 155 - 181. ISSN 0047-2727

Besley, Timothy and Levenson, Alec (1996) The anatomy of an informal financial market : Roscas in Taiwan. Journal of Development Economics, 51 (1). pp. 45-68. ISSN 0304-3878

Besley, Timothy, Meads, Neil and Surico, Paolo (2008) Insiders versus outsiders in monetary policymaking. American Economic Review, 98 (2). pp. 218-223. ISSN 0002-8282

Besley, Timothy, Meads, Neil and Surico, Paolo (2013) Risk heterogeneity and credit supply: evidence from the mortgage market. NBER Macroeconomics Annual, 27 (1). pp. 375-419. ISSN 0889-3365

Besley, Timothy and Mueller, Hannes (2018) Institutions, volatility and investment. Journal of the European Economic Association, 16 (3). 604 - 649. ISSN 1542-4766

Besley, Timothy and Persson, Torsten (2014) Why do developing countries tax so little? Journal of Economic Perspectives, 28 (4). pp. 99-120. ISSN 0895-3309

Besley, Timothy and Persson, Torsten (2009) The origins of state capacity: property rights, taxation and politics. American Economic Review, 99 (4). pp. 1218-1244. ISSN 0002-8282

Besley, Timothy and Prat, Andrea (2004) Credible pensions. Financial Markets Group Discussion Papers (525). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Besley, Timothy and Prat, Andrea (2003) Pension fund governance and the choice between defined benefit and defined contribution plans. Financial Markets Group Discussion Papers (454). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Besley, Timothy, Roland, Isabelle and Van Reenen, John ORCID: 0000-0001-9153-2907 (2020) The aggregate consequences of default risk: evidence from firm-level data. CEP Discussion Papers (1672). Centre for Economic Performance, LSE, London, UK.

Besley, Timothy and Suzumura, Kotaro (1992) Taxation and welfare in an oligopoly with strategic commitment. International Economic Review, 33 (2). pp. 413-431. ISSN 0020-6598

Betermier, Sebastien, Calvet, Laurent E. and Sodini, Paolo (2017) Investors’ striking migration from growth to value investing over their life cycle. LSE Business Review (11 Jul 2017). Website.

Beugelsdijk, Sjoerd, Klasing, Mariko J. and Milionis, Petros (2017) Growing social value polarisation harms economic development. LSE Business Review (30 May 2017). Website.

Beunza, Daniel (2006) New artistic engagements with the capital markets. Economic Sociology, 7 (3). pp. 29-33. ISSN 1871-3351

Beunza, Daniel (2008) Re-imagining markets: a review essay of "Do Economists Make Markets". Journal of Cultural Economy, 1 (1). pp. 93-100. ISSN 1753-0350

Beunza, Daniel (2016) Why bankers need management. Management with Impact (14 Nov 2016). Website.

Beunza, Daniel and Garud, Raghu (2007) Calculators, lemmings or frame-makers? the intermediary role of securities analysts. Sociological Review, 55 (s2). pp. 13-39. ISSN 0038-0261

Beunza, Daniel, Hardie, Iain and MacKenzie, Donald (2006) A price is a social thing: towards a material sociology of arbitrage. Organization Studies, 27 (5). pp. 721-745. ISSN 0170-8406

Beunza, Daniel and Millo, Yuval (2015) Blended automation: integrating algorithms on the floor of the New York Stock Exchange. Systemic Risk Centre Discussion Papers (38). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Beunza, Daniel and Millo, Yuval (2013) Folding: integrating algorithms into the floor of the New York Stock Exchange. Working paper series. Social Science Research Network (SSRN), London, UK.

Beunza, Daniel and Muniesa, Fabian (2005) Listening to the spread plot. In: Latour, Bruno and Weibel, Peter, (eds.) Making Things Public: Atmospheres of Democracy. MIT Press, Cambridge, Massachusetts, USA, pp. 628-633. ISBN 9780262122795

Beunza, Daniel and Stark, David (2003) Dopo l'11 settembre: innovazione e ripresa nelle trading room di Wall Street. Stato e Mercato: Quadrimestrale di Analisi Dei Meccanismi e Delle Istituzioni Sociali, Politiche ed economiche, 68 (2). pp. 185-216. ISSN 0392-9701

Beunza, Daniel and Stark, David (2012) From dissonance to resonance: cognitive interdependence in quantitative finance. Economy and Society, 41 (3). pp. 383-417. ISSN 1469-5766

Beunza, Daniel and Stark, David (2006) How to recognize opportunities: heterarchical search in a trading room. In: Knorr Cetina, Karin and Preda, Alex, (eds.) Sociology of Financial Markets. Oxford University Press, New York, USA, pp. 84-101. ISBN 9780199275595

Beunza, Daniel and Stark, David (2004) La organización de la respuesta: innovación y recuperación en las salas de operaciones financieras del Bajo Manhattan. Española de Investigaciones Sociológicas, 107. pp. 89-102. ISSN 0392-9701

Beunza, Daniel and Stark, David (2003) Organiser la réactivité : innovation et reconstruction dans les salles de marché du Lower Manhattan. Politix: Revue des Sciences Sociales du Politique, 14 (63). pp. 171-196. ISSN 1953-8286

Beunza, Daniel and Stark, David (2005) Resolving identities: successive crises in a trading room after 9/11. In: Foner, Nancy, (ed.) Wounded City: the Social Impact of 9/11. September 11 Initiative. Russell Sage Foundation, New York, USA, pp. 293-320. ISBN 9780871542717

Beunza, Daniel and Stark, David (2012) Seeing through the eyes of others: dissonance within and across trading rooms. In: Knorr Cetina, Karin and Preda, Alex, (eds.) Oxford Handbook of the Sociology of Finance. Oxford handbooks in business and management. Oxford University Press, Oxford, UK, pp. 203-222. ISBN 9780199590162

Beunza, Daniel and Stark, David (2004) Tools of the trade: the socio-technology of arbitrage in a Wall Street trading room. Industrial and Corporate Change, 13 (2). pp. 369-400. ISSN 0960-6491

Beunza, Daniel and Stark, David (2008) Tools of the trade: the socio-technology of arbitrage in a Wall Street trading room. In: Pinch, Trevor and Swedberg, Richard, (eds.) Living in a Material World: Economic Sociology Meets Science and Technology Studies. Inside technology. MIT Press, Cambridge, USA, pp. 253-290. ISBN 9780262662079

Beunza, Daniel and Stark, David (2001) Trading sites - destroyed, revealed, restored. September 11: Perspectives From the Social Sciences (2001). Website.

Beunza, Daniel and Stark, David (2003) The organization of responsiveness: innovation and recovery in the trading rooms of Lower Manhattan. Socio-Economic Review, 1 (2). pp. 135-164. ISSN 1475-1461

Beuselinck, Christof, Cascino, Stefano ORCID: 0000-0002-6703-741X, Deloof, Marc and Vanstraelen, Ann (2019) Earnings management within multinational corporations. Accounting Review, 94 (4). pp. 45-76. ISSN 0001-4826

Bevilacqua, Mattia and Tunaru, Radu (2021) The SKEW index: extracting what has been left. Journal of Financial Stability, 53. ISSN 1572-3089

Bevilacqua, Mattia, Tunaru, Radu and Vioto, Davide (2020) Options-based systemic risk, financial distress, and macroeconomic downturns. Systemic Risk Centre Discussion Papers (107). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bevilacqua, Mattia, Tunaru, Radu and Vioto, Davide (2023) Options-based systemic risk, financial distress, and macroeconomic downturns. Journal of Financial Markets, 65. ISSN 1386-4181

Bevza, Irina (2022) Book review: Sustainable finance in Europe edited by Danny Busch, Guido Ferrarini and Seraina Grünewald. LSE Review of Books (06 Apr 2022). Blog Entry.

Beyer, Max, de Meza, David and Reyniers, Diane J. (2013) Do financial advisor commissions distort client choice? Economics Letters, 119 (2). pp. 117-119. ISSN 0165-1765

Bhanumurthy, N. R. and Kattumuri, Ruth ORCID: 0000-0003-2820-9060 (2017) Fiscal implications of food security in India: a critical review. In: De, Supriyo, (ed.) India's Fiscal Policy: Prescriptions, Pragmatics and Practice. Cambridge University Press. ISBN 9781107152632

Bhatt, Kinnari (2018) Book review: borrowing together: microfinance and cultivating social ties by Becky Yang Hsu. LSE Review of Books (16 Jan 2018). Website.

Bhattacharya, Sudipto, Boot, A. and Thakor, Anjan V. (1998) The economics of bank regulation. Journal of Money, Credit and Banking, 30 (4). pp. 745-770. ISSN 0022-2879

Bhattacharya, Sudipto, Chabakauri, Georgy and Nyborg, Kjell (2012) Securitized banking, asymmetric information, and financial crisis: regulating systemic risk away. Financial Markets Group Discussion Papers (704). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bhattacharya, Sudipto, Chabakauri, Georgy and Nyborg, Kjell G. (2011) Securitized lending, asymmetric information, and financial crisis. . Department of Finance, London School of Economics and Political Science, London, UK.

Bhattacharya, Sudipto, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Prat, Andrea (2008) Incentives in funds management: a literature overview. In: Thakor, Anjan V. and Boot, Arnoud, (eds.) Handbook of Financial Intermediation and Banking. Handbooks in finance. Elsevier, Amsterdam, The Netherlands, pp. 285-304. ISBN 9780444515582

Bhattacharya, Sudipto, Fulghieri, P. and Rovelli, R. (1998) Financial intermediation versus stock markets in a dynamic intertemporal model. Journal of Institutional and Theoretical Economics, 154 (1). pp. 291-319. ISSN 0932-4569

Bhattacharya, Sudipto, Goodhart, Charles, Tsomocos, Dimitrios P. and Vardoulakis, Alexandros P. (2015) A reconsideration of Minsky’s financial instabilityhypothesis. Journal of Money, Credit and Banking, 47 (5). pp. 931-973. ISSN 0022-2879

Bhattacharya, Sudipto and Guriev, Sergei (2005) Patents vs trade secrets: knowledge licensing and spillover. . Centre for Economic Policy Research (Great Britain), London, UK.

Bhattacharya, Sudipto and Jorge-Padilla, A. (1996) Dynamic banking: a reconsideration. Review of Financial Studies, 9 (3). pp. 1003-1032. ISSN 0893-9454

Bhattacharya, Sudipto and Nicodano, Giovanna (2001) Insider trading, investment and liquidity: a welfare analysis. Journal of Finance, 56 (3). 1141 - 1156. ISSN 0022-1082

Bhattacharya, Sudipto and Nicodano, Giovanna (1999) Insider trading, investment and liquidity: a welfare analysis. Financial Markets Group Discussion Papers (334). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bhattacharya, Sudipto and Nyborg, Kjell (2011) Bank bailout menus. Financial Markets Group Discussion Papers (676). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bhattacharya, Sudipto, Plank, Manfred, Strobl, Gunter and Zechner, Josef (2000) Bank capital regulation with random audits. Financial Markets Group Discussion Papers (354). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bhimani, Al ORCID: 0000-0002-1884-5840 and Mülder, Peter S. (2001) Managing processes, quality and costs: a case study. Journal of Cost Management, 15 (2). pp. 28-32. ISSN 1092-8057

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2007) Comparative management accounting research: past forays and emerging frontiers. In: Chapman, Christopher S, Hopwood, Anthony G and Shields, Michael D, (eds.) Handbook of Management Accounting Research. Elsevier, London, UK, pp. 343-364. ISBN 9780080453408

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2012) Cost management in the digital age. In: Mitchell, Falconer, Nørreklit, Hanne and Jakobsen, Morten, (eds.) The Routledge Companion to Cost Management. Routledge companions in business, management and accounting. Routledge, London, UK, pp. 381-388. ISBN 9780415592475

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2017) Financial management for technology start ups: A handbook for growth. Kogan Page (Firm), London, UK. ISBN 074948134X

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2020) Period-tracking apps: how femtech creates value for users and platforms. LSE Business Review (04 May 2020). Blog Entry.

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2008) Strategic finance. Strategy Press, London, UK. ISBN 9780954147730

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2017) Tech start-ups need a different approach to financial management. LSE Business Review (26 Oct 2017). Website.

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 and Bromwich, Michael (2001) Activity based costing. In: Warner, Malcolm, (ed.) The International Encyclopedia of Business and Management (International encyclopedia of business & management library). Cengage Learning EMEA, London, UK. ISBN 9781861521613

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 and Gosselin, Maurice (2009) Cost management diversity in a global world: what can we learn? Journal of Cost Management, Sept- (Oct). pp. 29-33. ISSN 1092-8057

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Gosselin, Maurice, Ncube, Mthuli and Okano, Hiroshi (2007) Activity-based costing: how far have we come internationally? Journal of Cost Management, 21 (3). pp. 12-17. ISSN 1092-8057

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Gosselin, Maurice and Soonawalla, Kazbi (2007) The value of accounting information in assessing investment risk. Journal of Cost Management, 21 (1). pp. 29-35. ISSN 1092-8057

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Gulamhussen, Mohamed Azzim and Rocha Lopes, Samuel (2014) Owner liability and financial reporting information as predictors of firm default in bank loans. Review of Accounting Studies, 19 (2). pp. 769-804. ISSN 1380-6653

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Gulamhussen, Mohamed Azzim and da Rocha Lopes, Samuel (2013) The role of financial, macroeconomic, and non-financial information in bank loan default timing prediction. European Accounting Review, 22 (4). pp. 739-763. ISSN 0963-8180

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Hausken, Kjell and Arif, Sameen (2022) Do national development factors affect cryptocurrency adoption? Technological Forecasting and Social Change, 181. ISSN 0040-1625

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Hausken, Kjell and Ncube, Mthuli (2010) Agent takeover risk of principal in outsourcing relationships. Global Business and Economics Review, 12 (4). pp. 329-340. ISSN 1097-4954

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 and Langfield-Smith, Kim (2007) Structure, formality and the importance of financial and non-financial information in strategy development and implementation. Management Accounting Research, 18 (1). pp. 3-31. ISSN 1044-5005

Bhimani, Alnoor ORCID: 0000-0002-1884-5840, Lopes, Alexsandro and De Aquino, Andre Carlos Busanelli (2017) Measurement costs and control in outsourcing relationships. International Journal of Managerial and Financial Accounting, 8 (3/4). pp. 296-318. ISSN 1753-6715

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 and Ncube, Mthuli (2006) Virtual integration costs and the limits of supply chain scalability. Journal of Accounting and Public Policy, 25 (4). pp. 390-408. ISSN 0278-4254

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 and Okano, Hiroshi (1995) Targeting excellence: target cost management at Toyota in the UK. Management Accounting: Magazine For Chartered Management Accountants, 73 (6). pp. 42-45. ISSN 0025-1682

Bhimani, Alnoor ORCID: 0000-0002-1884-5840 and Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 (2014) Digitisation, ‘big data’ and the transformation of accounting information. Accounting and Business Research, 44 (4). 469 - 490. ISSN 0001-4788

Biais, Bruno and Mariotti, Thomas (2003) Strategic liquidity supply and security design. TE (445). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Biais, Bruno, Rochet, Jean-Charles and Woolley, Paul (2010) Innovations, rents and risk. Financial Markets Group Discussion Papers (659). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bian, Jiangze, Da, Zhi, He, Zhiguo, Lou, Dong ORCID: 0000-0002-5623-4338, Shue, Kelly and Zhou, Hao (2021) Margin trading and leverage management. Financial Markets Group Discussion Papers (839). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bianchi, Daniele and Tamoni, Andrea (2016) The dynamics of expected returns: evidence from multi-scale time series modelling. Financial Markets Group Discussion Papers (752). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bianchimani, Giuseppe (2015) Are Italian public debt forecasts too optimistic? Euro Crisis in the Press (22 May 2015). Website.

Bienz, Carsten, Faure-Grimaud, Antoine and Fluck, Zsuzsanna (2011) Defeasance of control rights. Financial Markets Group Discussion Papers (679). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bienz, Carsten and Hirsch, Julia (2005) The dynamics of venture capital contracts. Financial Markets Group Discussion Papers (552). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bignon, Vincent and Avaro, Maylis (2017) How the Bank of France increased liquidity at no fiscal risk in the 1800’s. LSE Business Review (01 Jun 2017). Website.

Bijapur, Mohan (2013) Are credit crunches supply or demand shocks? . Social Science Electronic Publishing, Inc., New York, USA.

Bijapur, Mohan (2010) Does monetary policy lose effectiveness during a credit crunch? Economics Letters, 106 (1). pp. 42-44. ISSN 0165-1765

Bijapur, Mohan (2011) Moral hazard and renegotiation of multi-signal contracts. . Social Science Electronic Publishing, Inc., New York, USA.

Bijapur, Mohan, Croci, Manuela and Zaidi, Rida (2012) Do asset regulations impede portfolio diversification? evidence from European life insurance funds. . Social Science Electronic Publishing, Inc., New York, USA.

Bikbov, Ruslan and Chernov, Mikhail (2013) Monetary policy regimes and the term structure of interest rates. Journal of Econometrics, 174 (1). pp. 27-43. ISSN 0304-4076

Bikbov, Ruslan and Chernov, Mikhail (2010) No-arbitrage macroeconomic determinants of the yield curve. Journal of Econometrics, 159 (1). pp. 166-182. ISSN 0304-4076

Bikbov, Ruslan and Chernov, Mikhail (2009) Unspanned stochastic volatility in affine models: evidence from Eurodollar futures and options. Management Science, 55 (8). pp. 1292-1305. ISSN 0025-1909

Bikbov, Ruslan and Chernov, Mikhail (2011) Yield curve and volatility: lessons from Eurodollar futures and options. Journal of Financial Econometrics, 9 (1). pp. 66-105. ISSN 1479-8409

Billitteri, Tom (2018) Bitcoin may not last, but blockchain could be the real deal. LSE Business Review (19 Mar 2018). Website.

Biondi, Yuri, Tsujiyama, Eiko, Glover, Jonathan, Jenkins, Nicole T., Jorgensen, Bjorn N., Lacey, John and Macve, Richard (2014) ‘Old hens make the best soup’: accounting for the earning process and the IASB/FASB attempts to reform revenue recognition accounting standards. Accounting in Europe, 11 (1). pp. 13-33. ISSN 1744-9480

Bircan, Çağatay and Saka, Orkun (2021) Lending cycles and real outcomes: costs of political misalignment. Systemic Risk Centre Discussion Papers (85). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bird, R., Casavecchia, L., Pellizzari, P. and Woolley, Paul (2011) The impact on the pricing process of costly active management and performance chasing clients. Journal of Economic Interaction and Coordination, 6 (1). pp. 61-82. ISSN 1860-711X

Birkinshaw, Julian and Hill, Susan A. (2003) Corporate venturing performance: An investigation into the applicability of venture capital models. In: Academy of Management 2003 Best Paper Proceedings. Academy of Management, B1-B6.

Birkinshaw, Julian and Hill, Susan A. (2005) Corporate venturing units as vehicles for strategic success in the New Europe. Organizational Dynamics, 34 (3). pp. 247-257. ISSN 0090-2616

Biswas, Rajiv (2015) Reshaping the financial architecture for development finance: the new development banks. Working Paper (2/2015). London School of Economics and Political Science, Global South Unit, London, UK.

Bjerg, Ole (2017) The butcher, the brewer, the ba(n)ker and the nature of money. LSE Business Review (01 Mar 2017). Website.

Black, Ian (2016) Saudi Arabia’s Vision 2030: The road to a new economic paradigm in the Middle East? Middle East Centre Blog (04 Oct 2016). Website.

Black, Jane and Tonks, Ian (1999) Time series of commodity futures prices. Financial Markets Group Discussion Papers (331). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Black, Julia ORCID: 0000-0002-5838-3265 (2002) Critical reflections on regulation. CARR Discussion Papers (DP 4). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Black, Julia ORCID: 0000-0002-5838-3265 (2003) Enrolling actors in regulatory systems: examples from UK financial services regulation. Public Law, 2003 (Spring). pp. 63-91. ISSN 0033-3565

Black, Julia ORCID: 0000-0002-5838-3265 (2008) Forms and paradoxes of principles-based regulation. Capital Markets Law Journal, 3 (4). pp. 425-457. ISSN 1750-7219

Black, Julia ORCID: 0000-0002-5838-3265 (2008) Forms and paradoxes of principles-based regulation. LSE law, society and economics working papers (13-2008). Department of Law, London School of Economics and Political Science, London, UK.

Black, Julia ORCID: 0000-0002-5838-3265 (2006) Involving consumers in securities regulation. . Taskforce to Modernize Securities Regulation in Canada, London, UK.

Black, Julia ORCID: 0000-0002-5838-3265 (2006) Managing regulatory risks and defining the parameters of blame: a focus on the Australian Prudential Regulation Authority. Law and Policy, 28 (1). pp. 1-30. ISSN 0265-8240

Black, Julia ORCID: 0000-0002-5838-3265 (2003) Mapping the contours of contemporary financial services regulation. CARR Discussion Papers (DP 17). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753016532

Black, Julia ORCID: 0000-0002-5838-3265 (2009) Rebuilding the credibility of markets and regulators. Law and Financial Markets Review, 3 (1). pp. 1-2. ISSN 1752-1440

Black, Julia ORCID: 0000-0002-5838-3265 (2013) Reconceiving financial markets: from the economic to the social. Journal of Corporate Law Studies, 13 (2). pp. 401-442. ISSN 1473-5970

Black, Julia ORCID: 0000-0002-5838-3265 (2015) Regulatory styles and supervisory strategies. In: Moloney, Niamh, Ferran, Eilís and Payne, Jennifer, (eds.) The Oxford handbook of financial regulation. Oxford Handbooks. Oxford University Press, Oxford, UK, pp. 218-253. ISBN 9780199687206

Black, Julia ORCID: 0000-0002-5838-3265 (2012) Restructuring global and EU financial regulation: character, capacities and learning. In: Wymeersch, Eddy, Hopt, Klaus J. and Ferrarini, Guido, (eds.) Financial Regulation and Supervision: a Post-Crisis Analysis. Oxford University Press, Oxford, UK. ISBN 9780199660902

Black, Julia ORCID: 0000-0002-5838-3265 (2010) Risk-based regulation: choices, practices and lessons learnt. In: Risk and Regulatory Policy: Improving the Governance of Risk. Organisation for Economic Co-operation and Development, Paris, France, pp. 185-224. ISBN 97892640829922

Black, Julia ORCID: 0000-0002-5838-3265 (1997) Rules and regulators. Oxford socio-legal studies. Oxford University Press, Oxford, UK. ISBN 9780198262947

Black, Julia ORCID: 0000-0002-5838-3265 (2007) Tensions in the regulatory state. Public Law, 2007 (Spring). pp. 58-73. ISSN 0033-3565

Black, Julia ORCID: 0000-0002-5838-3265 (2007) The decentred regulatory state? In: Vass, Peter, (ed.) Cri Regulatory Review 2006/2007. Centre for the study of Regulated Industries, The University of Bath, Bath, UK, pp. 249-290. ISBN 1857901622

Black, Julia ORCID: 0000-0002-5838-3265 (2004) The development of risk based regulation in financial services: Canada, the UK and Australia. . ESRC Centre for the Analysis of Risk and Regulation, London School of Economics and Political Science, London, UK.

Black, Julia ORCID: 0000-0002-5838-3265 and Baldwin, Robert (2010) Really responsive risk-based regulation. Law and Policy, 32 (2). pp. 181-213. ISSN 0265-8240

Black, Julia ORCID: 0000-0002-5838-3265, Hopper, Martyn and Band, Christa (2007) Making a success of Principles-based regulation. Law and Financial Markets Review, 1 (3). pp. 191-206. ISSN 1752-1440

Black, Julia ORCID: 0000-0002-5838-3265 and Jacobzone, Stephan (2009) Tools for regulatory quality and financial sector regulation: a cross-country perspective. OECD Working Papers on Public Governance (16). Organisation for Economic Co-operation and Development, Paris.

Black, Julia ORCID: 0000-0002-5838-3265 and Rouch, David (2008) The development of the global markets as rule-makers: engagement and legitimacy. Law and Financial Markets Review, 2 (3). pp. 218-233. ISSN 1752-1440

Blackwell, Michael (2021) The tax tribunals: the next ten years. Tax Journal.

Blake, David (2003) Financial system requirements for successful pension reform. Financial Markets Group Discussion Papers (463). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) Is immigration the answer to the UK’s pension crisis? Financial Markets Group Discussion Papers (465). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) Modelling the composition of personal sector wealth in the United Kingdom. Financial Markets Group Discussion Papers (466). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) Take (smoothed) risks when you are young, not when you are old: how to get the best from your stakeholder pension plan. Financial Markets Group Discussion Papers (446). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) UK pension fund management after Myners: the hunt for correlation begins. Financial Markets Group Discussion Papers (445). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) The United Kingdom pension system: key issues. Financial Markets Group Discussion Papers (452). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) What is a promise from the government worth?:: measuring and assessing the implications of political risk in state and personal pension schemes in the United Kingdom. Financial Markets Group Discussion Papers (457). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David, Cairns, Andrew J. G. and Dowd, Kevin (2003) Pensionmetrics 2: stochastic pension plan design during the distribution phase. Financial Markets Group Discussion Papers (442). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David, Lehmann, Bruce N. and Timmermann, Allan (2002) Performance clustering and incentives in the UK pension fund industry. UBS Pensions Series (003). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David and Timmermann, Allan (2002) International asset allocation with time-varying investment opportunities. Financial Markets Group Discussion Papers (424). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David and Timmermann, Allan (2002) Returns from active management in international equity markets: evidence from a panel of UK pension funds. Financial Markets Group Discussion Papers (426). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blakeley, Sean (2012) Lessons on sanctions and North Korea – A dual approach to slowly enact change. International Affairs at LSE (15 Feb 2012). Website.

Blanc, Fanny ORCID: 0000-0002-5835-6507, Whitehead, Christine M E and Scanlon, Kathleen ORCID: 0000-0001-9957-4853 (2020) Later life borrowing in a world that's living longer. . London School of Economics and Political Science, London, UK.

Blanchard, OJ and Quah, Danny (1989) The dynamic effects of aggregate demand and supply disturbances. American Economic Review, 79 (4). pp. 655-673. ISSN 0002-8282

Blanden, Jo and Gregg, Paul (2004) Family income and educational attainment : a review of approaches and evidence for Britain. Oxford Review of Economic Policy, 20 (2). pp. 245-263. ISSN 1460-2121

Blanes i Vidal, Jordi (2003) Credibility and cheap talk of securities analysts: theory and evidence. Discussion paper (472). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blank, Sven, Buch, Claudia M. and Neugebauer, Katja (2009) Shocks at large banks and banking sector distress: the banking granular residual. Journal of Financial Stability, 5 (4). pp. 353-373. ISSN 1572-3089

Bleaney, Michael, Mizen, Paul and Veleanu, Veronica (2017) When EU corporate bond spreads widen, recession may be around the corner. LSE Business Review (07 Feb 2017). Website.

Blecher, Lara (2015) UN FORUM SERIES – the UK local government pension scheme: can pooled and passive funds adequately address human rights? Measuring Business and Human Rights (13 Nov 2015). Website.

Bloch, Maurice (1989) The symbolism of money in Imerina. In: Parry, Jonathan and Bloch, Maurice, (eds.) Money and the Morality of Exchange. Cambridge University Press, Cambridge, UK, pp. 165-190. ISBN 9780521367745

Blog Admin, LSE London Housing Blog (2013) About the role of foreign money. Accelerating Housing Production in London (01 Feb 2013). Website.

Blog Admin, LSE London Housing Blog (2017) Apex Tower: modern prefab construction techniques delivering housing London needs. Accelerating Housing Production in London (31 May 2017). Website.

Blog Admin, LSE London Housing Blog (2016) The Mayor of London has asked LSE London to investigate the impact of foreign investment on London’s housing market. Accelerating Housing Production in London (08 Dec 2016). Website.

Blog Admin, LSE London Housing Blog (2017) On devolution and why it’s what London needs. Accelerating Housing Production in London (08 Feb 2017). Website.

Blog Admin, LSE London Housing Blog (2017) Overseas investors and London’s housing market. Accelerating Housing Production in London (14 Jun 2017). Website.

Blog Admin, LSE London Housing Blog (2016) Towards a sustainable private rented sector: What can we learn from other countries? Accelerating Housing Production in London (09 Dec 2016). Website.

Bloise, Francesco, Brunori, Paolo and Piraino, Patrizio (2021) Estimating intergenerational income mobility on sub-optimal data: a machine learning approach. Journal of Economic Inequality, 19 (4). pp. 643-665. ISSN 1569-1721

Blonigen, Bruce and Cristea, Anca (2015) New evidence suggests that air services do boost regionaleconomic growth. USApp– American Politics and Policy Blog (21 Apr 2015). Website.

Bloom, Nicholas (2013) Fluctuations in uncertainty. CEP Occasional Papers (CEPOP038). The London School of Economics and Political Science, Center of Economic Performance, London, UK.

Bloom, Nicholas and Van Reenen, John ORCID: 0000-0001-9153-2907 (2015) Healthcare competition can improve management quality and save lives. LSE Business Review (25 Nov 2015). Website.

Bloom, Nick, Bond, S. and Van Reenen, John ORCID: 0000-0001-9153-2907 (2001) The dynamics of investment under uncertainty. IFS Working Papers (W01/05). Institute for Fiscal Studies (Great Britain), London, UK.

Bloom, Nick, Romer, Paul, Terry, Stephen and Van Reenen, John ORCID: 0000-0001-9153-2907 (2020) Trapped factors and China’s impact on global growth. Economic Journal. ISSN 0013-0133

Blumenstock, Joshua, Callen, Mike and Ghani, Tarek (2018) Why do defaults affect behavior? Experimental evidence from Afghanistan. American Economic Review, 108 (10). 2868 – 2901. ISSN 0002-8282

Blumenstock, Joshua E., Callen, Michael, Ghani, Tarek and Koepke, Lucas (2015) Promises and Pitfalls of Mobile Money in Afghanistan: Evidence from a Randomized Control Trial. In: Proceedings of the 7th International Conference on Information and Communication Technologies and Development, ICTD 2015. ACM International Conference Proceeding Series. Association for Computing Machinery, SGP. ISBN 9781450331630

Blums, Ivars, Weigand, Hans and Blums, Aleksandrs (2018) Conceptualizing resources and claims in consensual economic exchanges. In: The Joint Ontology Workshops Episode IV: The South African Spring, 2018-09-17 - 2018-09-18, Cape Town, South Africa.

Board, John, Sandmann, Gleb and Sutcliffe, Charles (2001) The effect of futures market volume on spot market volatility. Journal of Business, Finance and Accounting, 28 (7/8). pp. 799-819. ISSN 0306-686X

Board, John, Sutcliffe, Charles and Wells, Stephen (2002) Transparency and fragmentation: financial market regulation in a dynamic environment. LSE Financial Markets Group special paper series. (144). Palgrave Macmillan, London. ISBN 9780333986349

Board, John, Sutcliffe, Charles and Ziemba, William T. (2003) Applying operations research techniques to financial markets interfaces. Interfaces, 33 (2). pp. 12-24. ISSN 0092-2102

Board, John and Sutcliffe, Charles M. S. (2000) The proof of the pudding: the effects of increased trade transparency in the London Stock Exchange. Journal of Business Finance and Accounting, 27 (7-8). pp. 887-909. ISSN 0306-686X

Board, John, Villa, Anne and Wells, Stephen (1998) Liquidity in second tier equity markets: evidence from London's Alternative Investment Market (AIM). Financial Markets Group Discussion Papers (301). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Board, John and Wells, S. (2001) Liquidity and best execution in the UK: a comparison of SETS and Tradepoint. Journal of Asset Management, 1 (4). pp. 344-365. ISSN 1470-8272

Board, John L. G., Sutcliffe, Charles M. S and Vila, Anne F. (2000) Market maker performance: the search for fair weather market makers. Journal of Financial Services Research, 17 (3). pp. 259-276. ISSN 0920-8550

Bodea, Cristina and Higashijima, Masaaki (2015) Central banks and fiscal policy: why independent central banks can lead to lower fiscal deficits. LSE European Politics and Policy (EUROPP) Blog (26 Oct 2015). Website.

Boerner, Lars (2016) Medieval market making brokerage regulations in Central Western Europe, ca. 1250-1700. Economic History Working Papers (242/2016). London School of Economics and Political Science, London, UK.

Boerner, Lars and Volckart, Oliver (2010) The utility of a common coinage: currency unions and the integration of money markets in late medieval Central Europe. Economic History Working Papers (146/10). Department of Economic History, London School of Economics and Political Science, London, UK.

Boissinot, Jean, Goulard, Sylvie, Salin, Mathilde, Svartzman, Romain and Weber, Pierre-François (2022) Aligning financial and monetary policies with the concept of double materiality: rationales, proposals and challenges. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (5). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Boivie, Steven, Graffin, Scott D. and Gentry, Richard (2016) A trusted analyst’s opinion is worth gold for a company’s investors. LSE Business Review (02 Jun 2016). Website.

Bolton, Patrick and Feixas, Xavier (1998) A dilution cost approach to financial intermediation and securities markets. Financial Markets Group Discussion Papers (305). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bolton, Patrick and Freixas, Xavier (2000) Equity, bonds and bank debt: capital structure and financial market equilibrium under asymmetric information. Journal of Political Economy, 108 (2). pp. 324-351. ISSN 0022-3808

Bolton, Patrick and Oehmke, Martin ORCID: 0000-0001-9902-0711 (2019) Bank resolution and the structure of global banks. Review of Financial Studies, 32 (6). 2384 – 2421. ISSN 0893-9454

Bolton, Patrick and Oehmke, Martin (2018) Bank resolution and the structure of global banks. Financial Markets Group Discussion Papers (778). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bolton, Patrick and Oehmke, Martin ORCID: 0000-0001-9902-0711 (2015) Should derivatives be privileged in bankruptcy? Journal of Finance, 70 (6). 2353 - 2394. ISSN 0022-1082

Bonaccorso, C., Calenda, D. and Milio, Simona (2009) Gli investimenti diretti esteri e il sistema Italia. La mancanza di attrattivit del Bel Paese e la potenziale attrattivit delle regioni [Foreign direct investment and the Italian system. The lack of attractivity of the 'Bel Paese' and the attractive potentials of regions]. Speciale "Sardegna Economica". Camera di Commercio di Cagliari, Sardegna, Italy.

Bond, Philip and Zhong, Hongda (2016) Buying high and selling low: stock repurchases and persistent asymmetric information. Review of Financial Studies, 29 (6). 1409 - 1452. ISSN 0893-9454

Boneva, Lena, Cloyne, James, Weale, Martin and Wieladek, Tomasz (2019) Firms' price, cost and activity expectations: evidence from micro data. CFM discussion paper series (CFM-DP2019-05). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Boneva, Lena, Cloyne, James, Weale, Martin and Wieladek, Tomasz (2016) The effect of unconventional monetary policy on inflation expectations: evidence from firms in the United Kingdom. International Journal of Central Banking, 12 (3). pp. 161-195. ISSN 1815-4654

Boneva, Lena and Ferrucci, Gianluigi (2022) Inflation and climate change: the role of climate variables in inflation forecasting and macro modelling. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (1). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Bonin, J. P. and Schaffer, M. E. (1995) Banks, firms, bad debts and bankruptcy in Hungary 1991-4. CEPDP (234). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Bonina, Carla M. (2013) Big Data for finance: emerging trends in business models, innovation and technology. Network Economy Forum (09 Nov 2013). Website.

Bonnitcha, Jonathan M. and Aisbett, Emma (2013) An economic analysis of the substantive protections provided by investment treaties. In: Sauvant, Karl P., (ed.) Yearbook on International Investment Law and Policy 2011-2012. Oxford University Press, New York, USA. ISBN 9780199983025

Boone, Catherine ORCID: 0000-0001-5324-7814 (1994) Rentierism and local accumulation in Senegal. In: Berman, Bruce J. and Leys, Colin, (eds.) African Capitalists in African Development. Lynne Rienner Publishers, Boulder, CO, USA, pp. 163-188. ISBN 9781555874177

Boone, Catherine ORCID: 0000-0001-5324-7814 (2005) State, capital, and the politics of banking reform in sub-Saharan Africa. Comparative Politics, 37 (4). pp. 401-420. ISSN 0010-4159

Boone, Catherine ORCID: 0000-0001-5324-7814 and Henry, Clement (2001) Banking reform in the Middle East and North Africa: 1980-2000. Estudios internacionales, Documentos de Trabajo (DTEI-77). Centro de Investigaction y Docencia Economicas (CIDE), Mexico City, Mexico.

Boone, Catherine ORCID: 0000-0001-5324-7814 and Henry, Clement (2004) Neoliberalism in the Middle East and Africa: divergent banking reform trajectories, 1980s to 2000. Commonwealth and Comparative Politics, 42 (3). pp. 356-392. ISSN 1466-2043

Boone, Peter and Johnson, Simon (2014) Forty years of leverage: what have we learned about sovereign debt? American Economic Review, 104 (5). pp. 266-271. ISSN 0002-8282

Boran, Milan (2013) Trust & Check. Conduct Costs Blog (14 Nov 2013). Website.

Borke Tunali, Cigdem (2015) An overview of external imbalances in the Western Balkan Countries. South East Europe Blog (23 Jun 2015). Website.

Bosio, Erica, Djankov, Simeon, Glaeser, Edward and Shleifer, Andrei (2020) Public procurement in law and practice. Financial Markets Group Discussion Papers (798). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bosio, Erica, Djankov, Simeon, Jolevski, Filip and Ramalho, Rita (2020) Survival of firms during economic crisis. Financial Markets Group Discussion Papers (797). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bottazzi, Giulio, Cordoni, Francesco, Livieri, Giulia and Marmi, Stefano (2023) Uncertainty in firm valuation and a cross-sectional misvaluation measure. Annals of Finance, 19 (1). 63 - 93. ISSN 1614-2446

Bottini, Novella, Marouani, Mohamed Ali and Munro, Laura (2011) Service sector restrictiveness and economic performance: an estimation for the MENA region. World Economy, 34 (9). pp. 1652-1678. ISSN 0378-5920

Botzem, Sebastian and Hofmann, Jeanette (2008) Transnational institution building as public-private interaction: the case of standard setting on the Internet and in corporate financial reporting. CARR Discussion Papers (DP 51). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 9780853281436

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

Boucher, Christophe M., Danielsson, Jon, Kouontchou, Patrick S. and Maillet, Bertrand B. (2014) Risk models–at–risk. Systemic Risk Centre Discussion Papers (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

Boumparis, Perikilis, Milas, Costas and Panagiotidis, Theodore (2017) Fair or not? How credit rating agencies calculated their ratings during the Eurozone crisis. LSE European Politics and Policy (EUROPP) Blog (23 Mar 2017). Website.

Bourne, Clea and Edwards, Lee ORCID: 0000-0001-6542-1234 (2012) Producing trust, knowledge and expertise in financial markets: the global hedge fund industry ‘re-presents’ itself. Culture and Organization, 18 (2). pp. 107-122. ISSN 1475-9551

Bourne, Clea, Mumby, Dennis, Munshi, Debashish, Das, Arindam, Roy Chaudhuri, Himadri and Edwards, Lee ORCID: 0000-0001-6542-1234 (2022) Narrating the anxious market: in search of alternatives during global crises. Consumption Markets and Culture. ISSN 1025-3866

Bouvard, Matthieu, Chaigneau, Pierre and Motta, Adolfo (2012) Transparency in the financial system: rollover risk and crises. Financial Markets Group Discussion Papers (700). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bouçek, Francoise (2010) Can Anglo-French military cooperation fill the gaps of the Strategic Defence Review? British Politics and Policy at LSE (22 Oct 2010). Website.

Bowen, Alex (2011) Raising finance to support developing country action: some economic considerations. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment working papers (36). Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Bowen, Alex, Campiglio, Emanuele and Herreras Martinez, Sara (2017) An ‘equal effort’ approach to assessing the North–South climate finance gap. Climate Policy, 17 (2). pp. 231-245. ISSN 1469-3062

Bowen, Alex, Campiglio, Emanuele and Tavoni, Massimo (2014) A macroeconomic perspective on climate change mitigation: meeting the financing challenge. Climate Change Economics, 05 (01). p. 1440005. ISSN 2010-0078

Bowman, Andrew, Erturk, Ismail, Froud, Julie, Johal, Sukdev, Law, John, Leaver, Adam, Moran, Michael and Williams, Karel (2012) Banking on change?: we need strong political action to break the financial industry’s stranglehold on politics and promote the common good. British Politics and Policy at LSE (04 Jul 2012). Website.

Boyce, Robert (2019) The Bank of England in the First World War and its aftermath: the price of victory. In: Feiertag, Olivier and Margairaz, Michel, (eds.) Les banques centrales pendant la Grande Guerre: Central Banks in the Great War. Sciences Po, Paris, FR, 225 - 248. ISBN 9782724622850

Boyce, Robert (2003) La Banque de France et la Banque d'Angleterre dans l'entre-deux-guerres: origines et conséquences d'un conflit. In: Feiertag, Olivier and Margairaz, Michel, (eds.) Politiques et Pratiques des Banques D'émission En Europe (Xviie - Xxe Siècle). Albin Michel, pp. 451-474.

Boyer, Brian H., Kumagai, Timoni and Yuan, Kathy (2006) How do crises spread?: evidence from accessible and inaccessible stock indices. Journal of Finance, 61 (2). pp. 957-1003. ISSN 0022-1082

Boyle, Katie (2015) The Government’s new EVEL timeline still isn’t sufficient to facilitate the necessary debate and deliberation. Democratic Audit UK (10 Jul 2015). Website.

Boyle, Sean (2011) United Kingdom (England): health system review. Health Systems in Transition, 13 (1). pp. 1-486. ISSN 1817-6119

Bracht, Felix, Mahieu, Jeroen and Vanhaverbeke, Steven (2023) The signaling value of legal form in debt financing. CEP Discussion Papers (CEPDP1914). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Bracke, Philippe (2013) House prices and rents: micro evidence from a matched dataset in Central London. SERC discussion papers (SERCDP0127). Spatial Economics Research Centre, London School of Economics and Political Science, London, UK. (Submitted)

Bracke, Philippe (2013) How long do housing cycles last? A duration analysis for 19 OECD countries. Journal of Housing Economics, 22 (3). pp. 213-230. ISSN 1051-1377

Bracke, Philippe, Hilber, Christian A. L. ORCID: 0000-0002-1352-495X and Silva, Olmo (2018) Mortgage debt and entrepreneurship. Journal of Urban Economics, 103. pp. 52-66. ISSN 0094-1190

Bracke, Philippe, Pinchbeck, Edward W. and Wyatt, James (2017) The time value of housing: historical evidence on discount rates. The Economic Journal, 128 (613). pp. 1820-1843. ISSN 0013-0133

Bracke, Philippe, Pinchbeck, Ted and Wyatt, James (2014) The time value of housing: historical evidence from London residential leases. SERC discussion papers (SERCDP0168). Spatial Economics Research Centre, London, UK.

Brady, David (2013) The decline of unions is driving the problem of working poverty in the U.S. LSE American Politics and Policy (30 Oct 2013). Website.

Braithwaite, Jo (2017) Springwell-watch: new insights into the nature of contractual estoppel. LSE Law, Society and Economy Working Papers (12/2017). Department of Law, London School of Economics and Political Science, London, UK.

Braithwaite, Jo (2018) Thirty years of ultra vires: local authorities, national courts and the global derivatives markets. Current Legal Problems, 71 (1). 369 – 402. ISSN 0070-1998

Braithwaite, Jo (2020) The financial courts: adjudicating disputes in derivatives markets. International Corporate Law and Financial Market Regulation. Cambridge University Press, Cambridge, UK. ISBN 9781108474795

Braithwaite, Jo (2011) The inherent limits of ‘legal devices’: lessons for the public sector's central counterparty prescription for the OTC derivatives markets. European Business Organization Law Review, 12 (01). pp. 87-119. ISSN 1566-7529

Braithwaite, Jo and Murphy, David (2021) Client clearing in the EU: challenges and policy responses in OTC derivatives client clearing. In: Binder, Jens-Hinrich and Saguato, Paolo, (eds.) Financial Market Infrastructures: Law and Regulation. Oxford EU Financial Regulation. Oxford University Press, Oxford, UK. ISBN 9780198865858

Brandts, Silke and Laux, Christian (2005) ART versus reinsurance: the disciplining effect of information insensitivity. Financial Markets Group Discussion Papers (545). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Braun, Benjamin (2016) Schäuble vs Draghi: German losses from ECB policy are real but self-inflicted. LSE European Politics and Policy (EUROPP) Blog (12 May 2016). Website.

Braunstein, Juergen (2014) Financing Africa’s infrastructure gap through new forms of Co-investments and partnerships with sovereign wealth funds. Africa at LSE (21 Nov 2014). Website.

Braunstein, Juergen and Caoili, Arianne (2016) Indonesia: the vanguard of a new wave of sovereign wealth funds? LSE Department of Government Blog (30 Aug 2016). Website.

Braunstein, Jürgen (2017) Sovereign wealth funds and ethical investment guidelines:the role of regime type. Investment Funds for Development. World Bank Group, Finance & Markets, London, UK.

Braunstein, Jürgen (2017) Understanding the politics of bailout policies in non-Western countries: The use of sovereign wealth funds. Journal of Economic Policy Reform, 20 (1). pp. 46-63. ISSN 1748-7870

Braunstein, Jürgen, Laboure, Marion and Sen, Julius (2016) Windfall revenues in Europe: What’s next? Euro Crisis in the Press (16 Dec 2016). Website.

Brav, Alon, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Mathews, Richmond (2015) Wolf pack activism. Financial Markets Group Discussion Papers (742). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brav, Alon, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Mathews, Richmond D. (2022) Wolf pack activism. Management Science, 68 (8). 5557 - 5568. ISSN 0025-1909

Bray, Margaret and Goodhart, Charles (2002) You might as well be hung for a sheep as a lamb: the loss function of an agent. Financial Markets Group Discussion Papers (418). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Breinlich, Holger (2011) Heterogeneous firm-level responses to trade liberalisation: a test using stock price reactions. CEP Discussion Papers (CEPDP1085). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Breinlich, Holger, Leromain, Elsa, Novy, Dennis and Sampson, Thomas (2019) Exchange rates and consumer prices: evidence from Brexit. CEP Discussion Papers (CEPDP1667). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Breinlich, Holger, Leromain, Elsa, Novy, Dennis and Sampson, Thomas (2020) Voting with their money: Brexit and outward investment by UK firms. European Economic Review, 124. ISSN 0014-2921

Breinlich, Holger, Leromain, Elsa, Novy, Dennis, Sampson, Thomas and Usman, Ahmed (2018) The economic effects of Brexit - evidence from the stock market. Fiscal Studies. ISSN 0143-5671

Breinlich, Holger, Novy, Dennis and Santos Silva, J. M. C. (2021) Trade, gravity and aggregation. CEP Discussion Papers (1802). Centre for Economic Performance, LSE, London, UK.

Breitstein, Lance and Dini, Paolo (2011) A social constructivist analysis of the 2007 banking crisis: building trust and transparency through community currencies. Journal of Banking Regulation, 13 (1). pp. 36-62. ISSN 1745-6452

Bremus, Franziska and Neugebauer, Katja (2017) Don't stop me now: the impact of credit market fragmentation on firms' financing constraints. Systemic Risk Centre Discussion Papers (67). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bretscher, Lorenzo, Julliard, Christian and Rosa, Carlo (2016) Human capital and international portfolio diversification: a reappraisal. Journal of International Economics, 99 (1). S78-S96. ISSN 0022-1996

Bretscher, Lorenzo, Julliard, Christian and Rosa, Carlo (2015) Human capital and international portfolio diversification: a reappraisal. Systemic Risk Centre Discussion Papers (48). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bretscher, Lorenzo, Julliard, Christian and Rosa, Carlo (2015) Human capital and international portfolio diversification: a reappraisal. Systemic Risk Centre Discussion Papers (48). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Brett, Teddy (2013) International inequality and the global crisis – Managing markets for sustainable growth. International Development (23 Oct 2013). Website.

Brett, Teddy (2015) Teddy Brett: Failed Markets, failed states and the Global Recession: Responding to the Financial Crisis. International Development (27 Feb 2015). Website.

Brightwell, Ryan (2015) UN FORUM SERIES – what should banks do to take human rights seriously? Measuring Business and Human Rights (29 Oct 2015). Website.

Briola, Antonio, Vidal-Tomás, David, Wang, Yuanrong and Aste, Tomaso (2023) Anatomy of a stablecoin's failure: the Terra-Luna case. Finance Research Letters, 51. ISSN 1544-6123

Brixiová, Zuzana, Meng, Qingwei and Ncube, Mthuli (2015) Can intra-regional trade act as a global shock absorber in Africa? Africa at LSE (29 Sep 2015). Website.

Broadbent, Ben, Di Pace, Federico, Drechsel, Thomas, Harrison, Richard and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2023) The Brexit vote, productivity growth and macroeconomic adjustments in the United Kingdom. Review of Economic Studies. ISSN 0034-6527

Broadberry, Stephen and Crafts, Nicholas (2011) Openness, protectionism and Britain’s productivity performance over the long-run. In: Wood, Geoffrey, Mills, Terence C. and Crafts, Nicholas, (eds.) Monetary and Banking History: Essays in Honour of Forrest Capie. Routledge international studies in money and banking. Routledge, Abingdon, UK. ISBN 9780415451468

Broadie, Mark, Chernov, Mikhail and Johannes, Michael (2007) Model specification and risk premia: evidence from futures options. Journal of Finance, 62 (3). pp. 1453-1490. ISSN 0022-1082

Broadie, Mark, Chernov, Mikhail and Johannes, Michael (2009) Understanding index option returns. Review of Financial Studies, 22 (11). pp. 4493-4529. ISSN 0893-9454

Broadie, Mark, Chernov, Mikhail and Sundaresan, Suresh (2007) Optimal debt and equity values in the presence of chapter 7 and chapter 11. Journal of Finance, 62 (3). pp. 1341-1377. ISSN 0022-1082

Brock, Maria (2013) Cyprus and the fate of Russian money. Euro Crisis in the Press (28 Mar 2013). Website.

Brody, Dorje C., Syroka, Joanna and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2002) Dynamical pricing of weather derivatives. Quantitative Finance, 2 (3). pp. 189-198. ISSN 1469-7688

Brogan, David M. and Mossialos, Elias ORCID: 0000-0001-8664-9297 (2016) A critical analysis of the review on antimicrobial resistance report and the infectious disease financing facility. Globalization and Health, 12 (1). ISSN 1744-8603

Bromwich, Michael and Bhimani, Alnoor ORCID: 0000-0002-1884-5840 (2005) Management accounting: pathways to progress. CIMA Research. CIMA Publishing, London, UK. ISBN 9781874784272

Bromwich, Michael and Vaas, P. (2002) Regulation and accounting. In: Küpper, H.-U. and Wagenhofer, Alfred, (eds.) HandwöRterbuch Unternehmensrechnung und Controlling. Schäffer-Poeschel Verlag, Stuttgart. ISBN 9783791080482

Bronk, Richard (2020) Imagining a resilient future of equity finance. Rebuild Macro Blog (17 Apr 2020). Blog Entry.

Broome, André (2022) Doing business: how countries gamed the World Bank’s business rankings. British Politics and Policy at LSE (06 Jan 2022). Blog Entry.

Broome, André (2021) How countries gamed the World Bank’s business rankings. LSE European Politics and Policy (EUROPP) blog (07 Dec 2021). Blog Entry.

Brosamle, Klaus, Wenzel, Heinz-Dieter and Lackenbauer, Jorg (2004) Public debt and the future of the EU's stability and growth pact. BERG working paper series on government and growth (50). Berg (Firm), Germany. ISBN 393105246X

Broughton Micova, Sally (2014) Public service broadcasting in Slovenia and Macedonia: creating stars. In: Jones, Huw David, (ed.) The Media in Europe’s Small Nations. Cambridge Scholars Publishing, Newcastle-upon-Tyne, UK, pp. 31-46. ISBN 9781443854177

Brown, Chris ORCID: 0000-0003-3478-7246 (2013) David Cameron is unlikely to get the results he wants out of the G8 Summit. British Politics and Policy at LSE (17 Jun 2013). Website.

Brown, J. David, Earle, John Sutherland and Lup, Daniela (2004) Finance, human capital, technical assistance, and the business environment in Romania. William Davidson Institute Working Paper (639). William Davidson Institute at the University of Michigan, Ann Arbor MI, USA.

Brown, Ross, Mawson, Suzanne and Lee, Neil ORCID: 0000-0002-4138-7163 (2019) Start-up factories, transnational entrepreneurs and entrepreneurial ecosystems: unpacking the lure of start-up accelerator programmes. European Planning Studies, 27 (5). pp. 885-904. ISSN 0965-4313

Brown, Ward (1997) R&D intensity and finance: are innovative firms financially constrained? Financial Markets Group Discussion Papers (271). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brown, Ward and Haegler, Urs (2000) Financing constraints and inventories. Financial Markets Group Discussion Papers (367). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Broz, Lawrence (2015) The Federal Reserve as global lender of last resort, 2007-2010. Systemic Risk Centre Discussion Papers (30). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Brucal, Arlan, Javorcik, Beata and Love, Inessa (2019) Good for the environment, good for business: foreign acquisitions and energy intensity. CEPR discussion paper series (DP13810). Centre for Economic Policy Research (Great Britain), London, UK.

Bruche, Max (2003) Corporate bond prices and co-ordination failure. Financial Markets Group Discussion Papers (438). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruche, Max (2005) Estimating structural bond pricing models via simulated maximum likelihood. Financial Markets Group Discussion Papers (534). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruche, Max and Gonzalez-Aguado, Carlos (2006) Recovery rates, default probabilities and the credit cycle. Financial Markets Group Discussion Papers (572). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruche, Max and Llobet, Gerard (2011) Walking wounded or living dead? Making banks foreclose bad loans. Financial Markets Group Discussion Papers (675). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruche, Max, Malherbe, Frederic and Meisenzahlimeon, Ralf (2017) Pipeline risk in leveraged loan syndication. Financial Markets Group Discussion Papers (763). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruche, Max and Segura, Anatoli (2013) Debt maturity and the liquidity of secondary debt markets. Financial Markets Group Discussion Papers (726). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brunnermeier, Markus (1998) Buy on rumours - sell on news: a manipulative trading strategy. Financial Markets Group Discussion Papers (309). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brunnermeier, Markus (1997) On bounded rationality and risk aversion. Financial Markets Group Discussion Papers (255). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brunnermeier, Markus, De Gregorio, José, Eichengreen, Barry, El-Erian, Mohamed, Fraga, Arminio, Ito, Takatoshi, Lane, Philip R., Pisani-Ferry, Jean, Prasad, Eswar, Rajan, Raghuram, Ramos, Maria, Rey, Hélène, Rodrik, Dani, Rogoff, Kenneth S., Shin, Hyun Song, di Mauro, Beatrice Weder and Yu, Yongding (2012) Banks and cross-border capital flows: challenges and regulatory responses. . Brookings Institution, Washington, DC.

Brunnermeier, Markus and Grafe, Clemens (1999) Contrasting different forms of price stickiness: an analysis of exchange rate overshooting and the beggar thy neighbour policy. Financial Markets Group Discussion Papers (329). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brunnermeier, Markus and Julliard, Christian (2006) Money illusion and housing frenzies. In: European Summer Symposium in Financial Markets, 2006-07-17 - 2006-07-28, Gerzensee, Switzerland. (Submitted)

Brunnermeier, Markus K., Crockett, Andrew, Goodhart, Charles, Persaud, Avinash and Shin, Hyun Song (2009) The fundamental principles of financial regulation. Geneva Reports on the World Economy. Centre for Economic Policy Research (Great Britain), London, UK. ISBN 9780955700972

Brunnermeier, Markus K., Garicano, Luis, Lane, Philip R., Pagano, Marco, Reis, Ricardo, Santos, Tano, Thesmar, David, Nieuwerburgh, Stijn Van and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2016) The sovereign-bank diabolic loop and ESBies. CEP Discussion Paper (1414). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Brunnermeier, Markus K., Garicano, Luis, Lane, Philip R., Pagano, Marco, Reis, Ricardo, Santos, Tano, Thesmar, David, Van Nieuwerberg, Stijn and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2016) The sovereign-bank diabolic loop and ESBies. American Economic Review, 106 (5). pp. 508-512. ISSN 0002-8282

Brunnermeier, Markus K., Langfield, Sam, Pagano, Marco, Reis, Ricardo, Van Nieuwerburgh, Stijn and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2017) ESBies: safety in the tranches. Economic Policy, 32 (90). 175 - 219. ISSN 0266-4658

Brunnermeier, Markus K. and Oehmke, Martin ORCID: 0000-0001-9902-0711 (2014) Predatory short selling. Review of Finance, 18 (6). pp. 2153-2195. ISSN 1572-3097

Brunnermeier, Markus K. and Parker, Jonathan A. (2002) Optimal expectations. Financial Markets Group Discussion Papers (434). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brunnermeier, Markus K. and Pedersen, Lasse Heje (2007) Market liquidity and funding liquidity. Financial Markets Group Discussion Papers (580). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Brunnermeier, Markus K. and Pederson, Lasse Heje (2003) Predatory trading. Financial Markets Group Discussion Papers (441). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruno, Randolph Luca, Crescenzi, Riccardo ORCID: 0000-0003-0465-9796, Estrin, Saul ORCID: 0000-0002-3447-8593 and Petralia, Sergio (2022) How intellectual property rights affect innovation in multinational firms. Global Investments & Local Developments (14 Dec 2022). Blog Entry.

Bruno, Randolph Luca, Ferreira Campos, Nauro and Estrin, Saul ORCID: 0000-0002-3447-8593 (2021) The effect on foreign direct investment of membership in the European Union. Journal of Common Market Studies, 59 (4). pp. 802-821. ISSN 0021-9886

Bruno, Valentina G. and Claessens, Stijn (2006) Corporate governance and regulation: can there be too much of a good thing? Financial Markets Group Discussion Papers (574). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bruton, Garry D., Khavul, Susanna and Chavez, Helmuth (2011) Microlending in emerging economies: building a new line of inquiry from the ground up. Journal of International Business Studies, 42 (5). pp. 718-739. ISSN 0047-2506

Bruton, Garry D., Khavul, Susanna, Siegel, Donald and Wright, Mike (2014) New financial alternatives in seeding entrepreneurship: microfinance, crowdfunding, and peer-to-peer innovations. Entrepreneurship Theory and Practice, 39 (1). pp. 9-26. ISSN 1042-2587

Bryan, Gharad, Fischer, Gregory, de Quidt, Jonathan and Akbar, Ali (2017) Sharing once hidden information: credit bureaus, MFIs, and client welfare. International Growth Centre Blog (02 Mar 2017). Website.

Bryan, Gharad, Karlan, Dean and Zinman, Jonathan (2015) Referrals: peer screening and enforcement in a consumer credit field experiment. American Economic Journal: Microeconomics, 7 (3). pp. 174-204. ISSN 1945-7669

Bryan, Gharad, Osman, Adam and Karlan, Dean (2023) Big loans to small businesses: predicting winners and losers in an entrepreneurial lending experiment. American Economic Review. ISSN 0002-8282 (In Press)

Bryson, Alex, Forth, John and Zhou, Minghai (2012) CEO bonding: who posts performance bonds and why? NIESR discussion papers (389). The National Institute of Economic and Social Research, London, UK.

Bryson, Alex and Freeman, Richard B. (2014) Employee stock purchase plans – gift or incentive? evidence from a multinational corporation. CEP Discussion Papers (CEPDP1307). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Bryzgalova, Svetlana, Huang, Jiantao and Julliard, Christian (2020) Bayesian solutions for the factor zoo: we just ran two quadrillion models. Systemic Risk Centre Discussion Papers (93). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bryzgalova, Svetlana and Julliard, Christian (2020) Consumption in asset returns. Systemic Risk Centre Discussion Papers (92). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Brzustowski, Thomas, Petrosky-Nadeau, Nicolas and Wasmer, Etienne (2018) Disentangling goods, labor, and credit market frictions in three European economies. Labour Economics, 50. pp. 180-196. ISSN 0927-5371

Buch, Claudia M. and Neugebauer, Katja (2009) Diversification of banks' International portfolios: evidence and policy lessons. Zeitschrift Für Wirtschaftspolitik, 58 (3). pp. 355-370. ISSN 0721-3808

Buch, Claudia M., Neugebauer, Katja and Schröder, Christoph (2013) Changing forces of gravity: how the crisis affected international banking. Discussion Paper (48/2013). Deutsche Bundesbank Research Centre, Deutsche Bundesbank, Frankfurt am Main, Germany. ISBN 97838655892

Buckley, Ross P., Arner, Douglas W., Zetzsche, Dirk and Didenko, Anton (2022) After Libra, the e-CNY and COVID-19: the new world of money and payments. LSE Business Review (28 Feb 2022). Blog Entry.

Buckley, Ross P., Jevglevskaja, Natalia and Farrell, Scott (2022) Open banking and Australia’s data-sharing regime: six lessons for Europe. LSE Business Review (28 Apr 2022). Blog Entry.

Buera, Francisco J. and Moll, Benjamin (2015) Aggregate implications of a credit crunch: the importance of heterogeneity. American Economic Journal: Macroeconomics, 7 (3). 1 - 42. ISSN 1945-7707

Buera, Francisco J., Moll, Benjamin and Shin, Yongseok (2013) Well-intended policies. Review of Economic Dynamics, 16 (1). 216 - 230. ISSN 1094-2025

Buerger, Mira (2015) Algorithms: neither makers nor mirrors of reality. Researching Sociology (16 Nov 2015). Website.

Buffa, Andrea, Vayanos, Dimitri and Woolley, Paul (2014) Asset management contracts and equilibrium prices. Financial Markets Group Discussion Papers (736). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Buffa, Andrea M., Vayanos, Dimitri ORCID: 0000-0002-0944-4914 and Woolley, Paul (2022) Asset management contracts and equilibrium prices. Journal of Political Economy, 130 (12). 3146 - 3201. ISSN 0022-3808

Buitenhek, Mark (2017) Blockchain: Will it ever be as big as the buzz? LSE Business Review (28 Feb 2017). Website.

Buiter, Willem H. (1999) Alice in Euroland. Journal of Common Market Studies, 37 (2). pp. 181-209. ISSN 0021-9886

Buiter, Willem H. (1999) Alice in Euroland. CEPDP (423). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753012731

Buiter, Willem H. (2003) Capital account liberalization and financial sector development in transition countries. In: Bakker, Age and Chapple, Bryan, (eds.) Capital Liberalization in Transition Countries, Lessons From the Past and for the Future. Elgar, Cheltenham, UK, pp. 105-141. ISBN 9781843763451

Buiter, Willem H. (2004) Macroeconomic adjustment to structural change : comments. In: Szapary, Gyorgy and von Hagen, Jurgen, (eds.) Monetary Strategies for Joining the Euro. Elgar, Cheltenham, UK, pp. 218-21. ISBN 9781843766896

Buiter, Willem H. (1995) Macroeconomic policy during a transition to monetary union. CEPDP (261). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753002736

Buiter, Willem H. (2000) Monetary misconceptions. CEPDP (469). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753014084

Buiter, Willem H. (2009) Negative nominal interest rates: three ways to overcome the zero lower bound. Discussion paper (636). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Buiter, Willem H. (2005) New developments in monetary economics: two ghosts, two eccentricities, a fallacy, a mirage and a mythos. 2004 Royal Economic Society Hahn Lecture. The Economic Journal, 115 (502). pp. 1-31. ISSN 0013-0133

Buiter, Willem H. (2000) Optimal currency areas: why does the exchange rate regime matter? (with an application to UK membership in EMU). CEPDP (462). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753013886

Buiter, Willem H. (2003) Overcoming the zero bound on nominal interest rates with negative interest on currency : Gesell's solution. The Economic Journal, 113 (490). pp. 723-746. ISSN 0013-0133

Buiter, Willem H. (2004) Regional banks and regionalism : a new frontier for development financing : comment. In: Birdsall, Nancy and Rojas-Suarez, Liliana, (eds.) Financing Development: the Power of Regionalism. Center for Global Development, Washington, D.C., USA, pp. 91-95. ISBN 0881323535

Buiter, Willem H. (2004) Should we worry about deflation? Prevention and cure. In: 2003 McKenna lecture on international trade and economics; Perspective on the economy., 2003-11-24, Claremont CA, United States.

Buiter, Willem H. (2004) Sovereign bond restructuring : collective action clauses and official crisis intervention : comment. In: Haldane, Andrew G., (ed.) Fixing Financial Crises in the Twenty-First Century. Routledge international studies in money and banking. Routledge, London, UK, pp. 91-95. ISBN 9780415327602

Buiter, Willem H. (2003) Ten commandments for a fiscal rule in the E(M)U. Oxford Review of Economic Policy, 19 (1). pp. 84-99. ISSN 1460-2121

Buiter, Willem H. (2004) To purgatory and beyond: when and how should the accession countries from Central and Eastern Europe become full members of the EMU? In: Challenges for central banks in an enlarged EMU, 2004-02-20 - 2004-02-21, Vienna, Austria.

Buiter, Willem H. (2005) To purgatory and beyond; When and how should the accession countries from Central and Eastern Europe become full members of the EMU? In: Breuss, Fritz and Hochreiter, Eduard, (eds.) Challenges for Central Banks in an Enlarged Emu. European Community Studies Association of Austria Publication Series. Springer Berlin / Heidelberg, New York, USA, pp. 145-186. ISBN 9783211225356

Buiter, Willem H. (1999) Weathering the international storm. Business Economist, 30 (1). pp. 13-22. ISSN 0306-5049

Buiter, Willem H. (2008) Why the United Kingdom should join the eurozone. International Finance, 11 (3). pp. 269-282. ISSN 1468-2362

Buiter, Willem H., Corsetti, Giancarlo and Roubini, Nouriel (2001) Excessive deficits: sense and nonsense in the treaty of Maastricht. In: de Grauwe, Paul, (ed.) The Political Economy of Monetary Union. The International library of critical writings in economics (134). Elgar, Cheltenham, UK: Northampton, MA, pp. 297-331.

Buiter, Willem H., Corsetti, Giancarlo M. and Pesenti, Paolo A. (1997) Interpreting the ERM crisis: country-specific and systemic issues. CEPDP (321). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Buiter, Willem H. and Grafe, Clemens (2002) Anchor, float or abandon ship: exchange rate regimes for the accession countries. Banca Nazionale Del Lavoro Quarterly Review, 55 (221). pp. 1-32. ISSN 0005-4607

Buiter, Willem H. and Grafe, Clemens (2003) Reforming EMU's fiscal policy rules; some suggestions for enhancing fiscal sustainability and macroeconomic stability in an enlarged European Union. In: Buti, Marco, (ed.) Monetary and Fiscal Policies in Emu: Interactions and Coordination. Cambridge University Press, Cambridge, UK, pp. 92-145. ISBN 9780521832151

Buiter, Willem H. and Kletzer, K. (1995) Capital mobility. CEPDP (245). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Buiter, Willem H., Lago, R. and Rey, H. (1997) Enterprises in transition: macroeconomic influences on enterprise decision-making and performance. CEPDP (340). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 085328296X

Buiter, Willem H., Lago, Ricardo and Rey, Helene (1999) Financing transition: investing in enterprises during macroeconomic transition. In: Blejer, Mario I. and Skreb, Marko, (eds.) Financial Sector Transformation: Lessons From Economies in Transition. Cambridge University Press, Cambridge, UK, pp. 150-194. ISBN 9780521640374

Buiter, Willem H., Lagos, R. and Rey, H. (1997) A portfolio approach to a cross-sectoral and cross-national investment strategy in transition economics. CEPDP (320). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Buiter, Willem H. and Lankes, Hans Peter (2003) International financial institutions ; adapting to a world of private capital flows. In: Das, Dilip, (ed.) An International Finance Reader. Routledge, London, UK, pp. 145-158. ISBN 9780415312622

Buiter, Willem H. and Panigirtzoglou, Nikolaos (2001) Liquidity traps: how to avoid them and how to escape them. In: Vanthoor, W F V and Mooij, J, (eds.) Reflections on Economics and Econometrics, Essays in Honour of Martin Fase. De Nederlandsche Bank NV, Amsterdam, pp. 13-58.

Buiter, Willem H. and Patel, U. (1995) Budgetary aspects of stabilization and structural adjustment in India: the painful road to a sustainable fiscal-financial-monetary plan. CEPDP (247). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Buiter, Willem H. and Sibert, Anne (1999) UDROP: a small contribution to the international financial architecture. CEPDP (425). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753012839

Buiter, Willem H. and Sibert, Anne C. (2001) Designing a monetary authority. In: Santomero, Anthony M., Viotti, Staffan and Vredin, Anders, (eds.) Challenges for Central Banking. Kluwer Academic Publishers, Boston, pp. 173-185. ISBN 9780792373469

Bujunoori, Raja Reddy, Mannil, Nithin and Tantri, Prasanna (2024) Does labor composition impact the transmission of monetary policy to output? Journal of Development Economics, 167. ISSN 0304-3878

Bulzomi, Anna (2015) UN FORUM SERIES – human rights due diligence is redefining investment opportunities in frontier markets. Measuring Business and Human Rights (24 Nov 2015). Website.

Buraschi, Andrea, Trojani, Fabio and Vedolin, Andrea (2011) Economic uncertainty, disagreement, and credit markets. .

Buraschi, Andrea, Trojani, Fabio and Vedolin, Andrea (2011) When uncertainty blows in the orchard: comovement and equilibrium volatility risk premia. EFA 2009 Bergen meetings paper. SSRN.

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

Burchardt, Tania ORCID: 0000-0003-4822-4954 and Hills, John (1997) Mortgage payment protection: replacing state provision? Housing Finance (33). pp. 24-31. ISSN 0955-3800

Burchardt, Tania ORCID: 0000-0003-4822-4954 and Hills, John (1997) The changing mortgage payment protection market. Post Magazine. ISSN 1365-4284

Burgess, Robin (2015) Tackling extreme poverty: in conversation with Robin Burgess. International Growth Centre Blog (09 Dec 2015). Website.

Burgess, Robin and Pande, Rohini (2003) Do rural banks matter? Evidence from the Indian social banking experiment. Development Economics discussion paper; DEDPS 40 (DEDPS/40). Suntory and Toyota International Centres for Economics and Related Disciplines, London.

Burkart, Mike ORCID: 0000-0002-0954-4499 (1995) Initial shareholdings and overbidding in takeover contests. Journal of Finance, 50 (5). pp. 1491-1515. ISSN 0022-1082

Burkart, Mike ORCID: 0000-0002-0954-4499 and Dasgupta, Amil ORCID: 0000-0001-8474-9470 (2015) Activist funds, leverage, and procyclicality. Systemic Risk Centre Discussion Papers (40). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Dasgupta, Amil ORCID: 0000-0001-8474-9470 (2014) Activist funds, leverage, and procyclicality. Financial Markets Group Discussion Papers (733). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Ellingsen, Tore (2002) In-kind finance. Financial Markets Group Discussion Papers (421). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Ellingsen, Tore (2004) In-kind finance: a theory of trade credit. American Economic Review, 94 (3). pp. 569-590. ISSN 0002-8282

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis, Mueller, Holger M and Panunzi, Fausto (2014) Legal investor protection and takeovers. Journal of Finance, 69 (3). 1129 - 1165. ISSN 0022-1082

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis and Panunzi, Fausto (2000) Agency conflicts in public and negotiated transfers of corporate control. Journal of Finance, 55 (2). pp. 647-677. ISSN 0022-1082

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis and Panunzi, Fausto (1997) Large shareholders, monitoring, and the value of the firm. Quarterly Journal of Economics, 112 (3). pp. 693-728. ISSN 0033-5533

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis and Panunzi, Fausto (2005) Minority blocks and takeover premia. Financial Markets Group Discussion (544). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis and Panunzi, Fausto (2006) Minority blocks and takeover premia. Journal of Institutional and Theoretical Economics, 162 (1). pp. 32-49. ISSN 0932-4569

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis and Panunzi, Fausto (1998) Why higher takeover premia protect minority shareholders. Journal of Political Economy, 106 (1). pp. 172-204. ISSN 0022-3808

Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2022) Activism and takeovers. Review of Financial Studies, 35 (4). 1868 - 1896. ISSN 0893-9454

Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2008) One share - one vote: the theory. Review of Finance, 12 (1). pp. 1-49. ISSN 1572-3097

Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2010) Signalling in tender offer games. Financial Markets Group Discussion Papers (655). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2015) Signalling to dispersed shareholders and corporate control. Review of Economic Studies, 82 (3). pp. 922-962. ISSN 0034-6527

Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2016) Smart buyers. Review of Corporate Finance Studies, 5 (2). 239 - 270. ISSN 2046-9128

Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2012) Smart buyers. Financial Markets Group Discussion Papers (696). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499, Miglietta, Salvatore and Ostergaard, Charlotte (2023) Why do boards exist? Governance design in the absence of corporate law. Review of Financial Studies, 36 (5). pp. 1788-1836. ISSN 0893-9454

Burkart, Mike ORCID: 0000-0002-0954-4499 and Panunzi, Fausto (2001) Agency conflicts, ownership concentration, and legal shareholder protection. Financial Markets Group Discussion Papers (378). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Panunzi, Fausto (2006) Agency conflicts, ownership concentration, and legal shareholder protection. Journal of Financial Intermediation, 15 (1). pp. 1-31. ISSN 1042-9573

Burkart, Mike ORCID: 0000-0002-0954-4499 and Panunzi, Fausto (2004) Mandatory bids, squeeze-out, sell-out and the dynamics of the tender offer process. In: Ferrarini, Guido, Hopt, Klaus J., Winter, Jaap and Wymeersch, Eddy, (eds.) Reforming Company and Takeover Law in Europe. Oxford University Press, Oxford, UK. ISBN 9780199273805

Burkart, Mike ORCID: 0000-0002-0954-4499 and Panunzi, Fausto (2008) Takeovers. In: Freixas, Xavier, Hartmann, Philipp and Mayer, Colin, (eds.) Handbook of European Financial Markets and Institutions. Oxford University Press, Oxford, UK, pp. 265-297. ISBN 9780199229956

Burkart, Mike ORCID: 0000-0002-0954-4499, Panunzi, Fausto and Shleifer, Andrei (2003) Family firms. Journal of Finance, 58 (5). pp. 2167-2201. ISSN 0022-1082

Burkart, Mike ORCID: 0000-0002-0954-4499 and Raff, Konrad (2015) Performance pay, CEO dismissal, and the dual role of takeovers. Review of Finance, 19 (4). pp. 1383-1414. ISSN 1572-3097

Burkart, Mike ORCID: 0000-0002-0954-4499 and Raff, Konrad (2011) Performance pay, CEO dismissal, and the dual role of takeovers. Financial Markets Group Discussion Papers (694). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Wallner, Klaus (2000) Club enlargement: early versus late admittance. Financial Markets Group Discussion Papers (359). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Burkart, Mike ORCID: 0000-0002-0954-4499 and Zhong, Hongda (2023) Equity issuance methods and dilution. Review of Corporate Finance Studies, 12 (1). 78 – 130. ISSN 2046-9128

Burkhauser, Richard V., Hérault, Nicolas, Jenkins, Stephen P. ORCID: 0000-0002-8305-9774 and Wilkins, Roger (2018) Survey under-coverage of top incomes and estimation of inequality: what is the role of the UK’s SPI adjustment? Fiscal Studies, 39 (2). 213 - 240. ISSN 0143-5671

Burnett, Brian M., Jorgensen, Bjorn N. and Pollard, Troy J. (2017) The stock market reaction to losing or gaining foreign private issuer status. Journal of Accounting and Public Policy, 36 (2). pp. 101-118. ISSN 0278-4254

Bursztyn, Leonardo, Callen, Mike, Ferman, Bruno, Gulzar, Saad, Hasanain, Ali and Yuchtman, Noam (2020) Political identity: experimental evidence on anti-Americanism in Pakistan. Journal of the European Economic Association, 18 (5). 2532 – 2560. ISSN 1542-4774

Bursztyn, Leonardo, Ederer, Florian, Ferman, Bruno and Yuchtman, Noam (2014) Understanding mechanisms underlying peer effects: evidence from a field experiment on financial decisions. Econometrica, 82 (4). 1273 - 1301. ISSN 0012-9682

Bursztyn, Leonardo, Fiorin, Stefano, Gottlieb, Daniel ORCID: 0000-0002-0555-6185 and Kanz, Martin (2019) Moral incentives in credit card debt repayment: evidence from a field experiment. Journal of Political Economy, 127 (4). 1641 - 1683. ISSN 0022-3808

Bursztyn, Leonardo, Kolstad, Jonathan T., Rao, Aakaash, Tebaldi, Pietro and Yuchtman, Noam (2022) Political adverse selection. CEP Discussion Papers (CEPDP1858). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Burton, Guy (2010) Continuity and change during the K Era in Argentina. International Affairs at LSE (28 Oct 2010). Website.

Bustamante, Maria Cecilia (2017) Firms in less competitive industries are riskier investments. LSE Business Review (07 Mar 2017). Website.

Bustamante, Maria Cecilia (2011) How do frictions affect corporate investment?: a structural approach. Working Paper Series (08-47). Swiss Finance Institute, Switzerland.

Bustamante, Maria Cecilia (2015) Intra-industry competition informs stock markets investment decisions. LSE Business Review (11 Sep 2015). Website.

Bustamante, Maria Cecilia (2015) Strategic investment and industry risk dynamics. Review of Financial Studies, 28 (2). 297 - 341. ISSN 0893-9454

Bustamante, Maria Cecilia (2011) Strategic investment, industry concentration and the cross section of returns. Financial Markets Group Discussion Papers (681). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Bustamante, Maria Cecilia (2008) What do frictions mean for Q-theory testing? Swiss Finance Institute Research Paper Series (08-47). Swiss Finance Institute.

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

Bustamante, Maria Cecilia and Donangelo, Andrés (2014) Product market competition and industry returns. Financial Markets Group Discussion Papers (728). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Butz, M. and Oomen, R. (2019) Internalisation by electronic FX spot dealers. Quantitative Finance, 19 (1). pp. 35-56. ISSN 1469-7688

Byrd, William A. (2019) Unexploited potential? What role can international financial institutions play in drugs and development? Journal of Illicit Economies and Development, 1 (1). pp. 101-117. ISSN 2516-7227

Byrne, Alistair, Harrison, Debbie and Blake, David (2004) Barriers to pension scheme participation in small and medium sized enterprises. Financial Markets Group Discussion Papers (523). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Böheim, René and Jenkins, Stephen P. ORCID: 0000-0002-8305-9774 (2006) A comparison of current and annual measures of income in the British Household Panel Survey. Journal of Official Statistics, 22 (4). pp. 733-758. ISSN 0282-423X

Bøler, Esther Ann, Moxnes, Andreas and Ulltveit-Moe, Karen Helene (2023) Strapped for cash: the role of financial constraints for innovating firms. CEP Discussion Papers (CEPDP1905). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

C

C. Howe, Lauren, Giurge, Laura ORCID: 0000-0002-7974-391X, F. Wagner, Alexander and I. Menges, Jochen (2024) CEOs showing humanity: human care statements in conference calls and stock market performance during crisis. Academy of Management Discoveries. ISSN 2168-1007 (In Press)

CHPI Research Team, (2018) How and why the State's purchasing power should be used to renegotiate PFI deals. British Politics and Policy at LSE (01 Feb 2018). Website.

Cabaña, Gabriela and Linares, Julio (2022) Decolonising money: learning from collective struggles for self-determination. Sustainability Science, 17 (4). pp. 1159-1170. ISSN 1862-4065

Caccioli, Fabio, Ferrara, Gerardo and Ramadiah, Amanah (2024) Modelling fire sale contagion across banks and non-banks. Journal of Financial Stability, 71. ISSN 1572-3089

Caccioli, Fabio, Kondor, Imre and Papp, Gábor (2015) Portfolio optimization under expected shortfall: contour maps of estimation error. Systemic Risk Centre Discussion Papers (49). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Cadot, Olivier, Iacovone, Leonardo, Pierola, Denisse and Rauch, Ferdinand (2011) Success and failure of African exporters. CEP Discussion Papers (CEPDP1054). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Caggese, Andrea (2000) Financial constraints, precautionary saving and firm dynamics. Financial Markets Group Discussion Papers (338). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Caggese, Andrea (2003) Financing constraints, irreversibility, and investment dynamics. Financial Markets Group Discussion Papers (440). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Caggese, Andrea and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2008) Financing constraints and fixed-term employment contracts. The Economic Journal, 118 (533). pp. 2013-2046. ISSN 0013-0133

Caggese, Andrea and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2011) Financing constraints, firm dynamics, export decisions, and aggregate productivity. Financial Markets Group Discussion Papers (685). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Caggese, Andrea and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2012) Financing constraints, firm dynamics, export decisions, and aggregate productivity. Review of Economic Dynamics, 16 (1). pp. 177-193. ISSN 1094-2025

Caggese, Andrea, Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Metzger, Daniel (2018) Firing the wrong workers: financing constraints and labor misallocation. Journal of Financial Economics, 133 (3). 589 - 607. ISSN 0304-405X

Caglio, Ariela, Dossi, Andrea and Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2018) CFO role and CFO compensation: an empirical analysis of their implications. Journal of Accounting and Public Policy, 37 (4). 265 - 281. ISSN 0278-4254

Cai, Jing and Szeidl, Adam (2018) Business relationships boost firms' performance. LSE Business Review (06 Sep 2018). Website.

Cai, Jing and Szeidl, Adam (2017) Interfirm relationships and business performance in Nanchang (China). International Growth Centre Blog (09 Feb 2017). Website.

Cairncross, Alec and Goodhart, C. A. E. (2018) Richard Sidney Sayers (1908–1989). In: Cord, Robert A., (ed.) The Palgrave Companion to LSE Economics. Palgrave Macmillan, pp. 533-554. ISBN 9781137582737

Cairns, David (1999) Applying international accounting standards. Butterworth, London, UK. ISBN 9780406924261

Cairns, David (1999) The Financial Times International Accounting Standards survey 1999. FT Finance, London, UK.

Cairns, David (2001) International accounting standards survey 2000: an assessment of the use of IAS in the financial statements of listed companies. David Cairns International Financial Reporting, Henley on Thames. ISBN 0954024702

Cairns, David and Nobes, Christopher (2000) The convergence handbook: a comparison between IASs and UK financial reporting requirements. Institute of Chartered Accountants in England and Wales, London, UK. ISBN 1841520578

Calkin, Sydney (2013) Conference Report: Gender, Neoliberalism, and Financial Crisis: Gendered impacts and feminist alternatives. Engenderings (23 Oct 2013). Website.

Callen, Michael, De Mel, Suresh, McIntosh, Craig and Woodruff, Christopher (2019) What are the headwaters of formal savings? Experimental evidence from Sri Lanka. Review of Economic Studies, 86 (6). 2491 - 2529. ISSN 0034-6527

Callen, Mike, Blumenstock, Joshua E. and Ghani, Tarek (2016) Mobile-izing savings with automatic contributions: experimental evidence on dynamic inconsistency and the default effect in Afghanistan. IPA Working Papers. Innovations for Poverty Action, New Haven, CT.

Callen, Mike, Blumenstock, Joshua E. and Ghani, Tarek (2014) Violence and financial decisions: evidence from mobile money in Afghanistan. .

Calomiris, C. W. and Neal, L. (2013) History of financial globalization. In: Caprio, Gerard, (ed.) Handbook of Key Global Financial Markets, Institutions, and Infrastructure. Elsevier, London, pp. 3-14. ISBN 9780123978738

Calvert Jump, Rob and Naqvi, Natalya (2019) Financial and legal barriers to the creation and operation of a British national investment bank. Policy Report Working Paper Series (IIPP WP) (2019-07). University College London, London, UK.

Calzorali, Giorgio, Fiorentini, Gabriele and Sentana, Enrique (2001) Constrained indirect inference estimation. Financial Markets Group Discussion Papers (384). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Camacho, Carmen and Sun, Yu (2019) Longterm decision making under the threat of earthquakes? Systemic Risk Centre Discussion Papers (91). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Camanho-Da-Costa-Neto, Nelson, Deb, Pragyan and Liu, Zijun (2010) Credit rating and competition. Financial Markets Group Discussion Papers (653). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cambell, John Y. and Nosbusch, Yves (2007) Intergenerational risksharing and equilibrium asset prices. Journal of Monetary Economics, 54 (8). pp. 2251-2268. ISSN 0304-3932

Cammaerts, Bart ORCID: 0000-0002-9508-5128 (2010) Do banking disasters reflect rotten apples – or a rotten basket? British Politics and Policy at LSE (09 Jun 2010). Website.

Campbell, John and Martin, Ian (2021) Sustainability in a risky world. Financial Markets Group Discussion Papers (830). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Campbell, John Y., Giglio, Stefano and Polk, Christopher (2013) Hard times. Review of Asset Pricing Studies, 3 (1). pp. 95-132. ISSN 2045-9920

Campbell, John Y., Giglio, Stefano and Polk, Christopher (2011) Hard times. AFA 2012 Chicago Meetings Paper. SSRN.

Campbell, John Y., Giglio, Stefano and Polk, Christopher (2012) An intertemporal CAPM with stochastic volatility. . National Bureau of Economic Research.

Campbell, John Y., Giglio, Stefano, Polk, Christopher and Turley, Robert (2018) An Intertemporal CAPM with stochastic volatility. Journal of Financial Economics, 128 (2). pp. 207-233. ISSN 0304-405X

Campbell, John Y. and Nosbusch, Yves (2007) Intergenerational risksharing and equilibrium asset prices. Financial Markets Group Discussion Papers (589). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Campbell, John Y., Polk, Christopher and Vuolteenaho, Tuomo (2010) Growth or glamour?: fundamentals and systematic risk in stock returns. Review of Financial Studies, 23 (1). pp. 305-344. ISSN 0893-9454

Campi, Luciano, Cetin, Umut ORCID: 0000-0001-8905-853X and Danilova, Albina (2011) Dynamic Markov bridges motivated by models of insider trading. Stochastic Processes and Their Applications, 121 (3). pp. 534-567. ISSN 0304-4149

Campi, Luciano, Cetin, Umut ORCID: 0000-0001-8905-853X and Danilova, Albina (2013) Explicit construction of a dynamic Bessel bridge of dimension 3. Electronic Journal of Probability, 18 (20). pp. 1-25. ISSN 1083-6489

Campi, Luciano, Laachir, Ismail and Martini, Claude (2017) Change of numeraire in the two-marginals martingale transport problem. Finance and Stochastics, 21 (2). pp. 471-486. ISSN 0949-2984

Campi, Luciano and Owen, Mark P. (2011) Multivariate utility maximization with proportional transaction costs. Finance and Stochastics, 15 (3). pp. 461-499. ISSN 0949-2984

Campi, Luciano and Zabaljauregui, Diego (2020) Optimal market making under partial information with general intensities. Applied Mathematical Finance, 27 (1-2). 1 - 45. ISSN 1350-486X

Campiglio, Emanuele, Dafermos, Yannis, Monnin, Pierre, Ryan-Collins, Josh, Schotten, Guido and Tanaka, Misa (2018) Climate change challenges for central banks and financial regulators. Nature Climate Change, 8 (6). pp. 462-468. ISSN 1758-678X

Campiglio, Emanuele, Lamperti, Francesco and Terranova, Roberta (2023) Believe me when I say green! Heterogeneous expectations and climate policy uncertainty. Grantham Research Institute on Climate Change and the Environment Working Papers (395). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Campiglio, Emanuele, Lamperti, Francesco and Terranova, Roberta (2023) Believe me when I say green! Heterogeneous expectations and climate policy uncertainty. CCCEP Working Paper (419). Centre for Climate Change Economics and Policy, London, UK.

Campion, Sonali (2016) “Can we do better?” Raghuram Rajan on rethinking the global monetary system. South Asia @ LSE (07 Jun 2016). Website.

Camponovo, Lorenzo, Matsushita, Yukitoshi and Otsu, Taisuke (2019) Empirical likelihood for high frequency data. Journal of Business and Economic Statistics. ISSN 0735-0015

Campos, Nauro (2017) Only foreign direct investment can save Europe. LSE Business Review (03 May 2017). Website.

Campos, Nauro F. and Macchiarelli, Corrado (2021) The dynamics of core and periphery in the European monetary union: a new approach. Journal of International Money and Finance, 112. ISSN 0261-5606

Canale, Rosaria Rita, de Grauwe, Paul, Foresti, Pasquale and Napolitano, Oreste (2018) Is there a trade-off between free capital mobility, financial stability and fiscal policy flexibility in the EMU? Review of World Economics, 154 (1). pp. 177-201. ISSN 1610-2878

Capie, Forrest, Fischer, Stanley, Goodhart, Charles and Schnadt, Norbert (1994) The future of central banking: the tercentenary symposium of the Bank of England. Cambridge University Press, Cambridge, UK. ISBN 9780521496346

Carabias, Jose M. (2014) Downside risk, capital flexibility and operating leases. .

Carabias, Jose M. (2018) The real-time information content of macroeconomic news: implications for firm-level earnings expectations. Review of Accounting Studies, 23 (1). pp. 136-166. ISSN 1380-6653

Cardoso, Fernando Henrique, Lagos, Ricardo, Santos, Juan Manuel, Zedillo Ponce de León, Ernesto, Cárdenas, Mauricio, Chang, Roberto, De Gregorio, José, Goldfajn, Ilan, Hausmann, Ricardo, Levy Yeyati, Eduardo, Sturzenegger, Federico, Valdés, Rodrigo and Velasco, Andres ORCID: 0000-0003-0441-5062 (2020) Ethical and economic imperatives in confronting Covid-19: a view from Latin America. UNSPECIFIED.

Carletti, Elena (1999) Bank moral hazard and market discipline. Financial Markets Group Discussion Papers (326). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Carletti, Elena (2001) The structure of bank relationships, endogenous monitoring and loan rates. Financial Markets Group Discussion Papers (388). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Carletti, Elena, Cerasi, Vittoria and Daltung, Sonja (2004) Multiple-bank lending: diversification and free-riding in monitoring. Financial Markets Group Discussion Papers (490). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Carlin, Wendy, Charlton, Andrew and Mayer, Colin (2006) Capital markets, ownership and distance. CEPDP (744). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753020505

Caro, J. Jaime, Huybrechts, K, Klittich, Wendy S., Jackson, Joseph D. and McGuire, Alistair (2003) Allocating funds for cardiovascular disease prevention in light of the NCEP ATP III guidelines. American Journal of Managed Care, 9 (7). pp. 477-489. ISSN 1088-0224

Carozzi, Felipe (2015) Credit constraints and the composition of housing sales. Farewell to first-time buyers? SERC discussion papers (SERCDP0183). Spatial Economics Research Centre, London, UK.

Carranza, Luis and Galdón-Sánchez, Jose E. (2000) Financial intermediation, variability and the development process. DEDPS (21). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Carrasco, M., Chernov, Mikhail, Florens, Jean-Pierre and Ghysels, E. (2007) Efficient estimation of general dynamic models with a continuum of moment conditions. Journal of Econometrics, 140 (2). pp. 529-573. ISSN 0304-4076

Carrasco Farré, Carlos (2013) Book review: The problem with banks. LSE Review of Books (20 Apr 2013). Website.

Cascino, Stefano ORCID: 0000-0002-6703-741X (2018) Bridging financial reporting research and policy: a discussion of “the impact of accounting standards on pension investment decisions”. European Accounting Review. ISSN 0963-8180

Cascino, Stefano ORCID: 0000-0002-6703-741X (2017) Stock-bond return co-movement and accounting information. Journal of Business Finance and Accounting, 44 (7-8). 1036 - 1072. ISSN 0306-686X

Cascino, Stefano ORCID: 0000-0002-6703-741X, Clatworthy, Mark A., Osma, Beatriz Garcia, Gassen, Joachim, Imam, Shahed and Jeanjean, Thomas (2014) Who uses financial reports and for what purpose? Evidence from capital providers. Accounting in Europe, 11 (2). pp. 185-209. ISSN 1744-9480

Cascino, Stefano ORCID: 0000-0002-6703-741X, Correia, Maria and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2019) Does consumer protection enhance disclosure credibility in reward crowdfunding? Journal of Accounting Research, 57 (5). pp. 1247-1302. ISSN 0021-8456

Cascino, Stefano ORCID: 0000-0002-6703-741X and Gassen, Joachim (2016) Have unified standards made financial reporting more comparable? LSE Business Review (01 Jun 2016). Website.

Cascino, Stefano ORCID: 0000-0002-6703-741X, Tamayo, Ane ORCID: 0000-0001-7154-0221 and Vetter, Felix (2020) Labor market effects of spatial licensing requirements: evidence from CPA mobility. Journal of Accounting Research. 0 - 0. ISSN 0021-8456

Caselli, Francesco and Feyrer, James (2005) The marginal product of capital. . National Bureau of Economic Research, London, UK.

Caselli, Francesco and Gennaioli, Nicola (2006) Dynastic management. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Caselli, Francesco and Gennaioli, Nicola (2003) Dynastic management. . Centre for Economic Policy Research (Great Britain), London, UK.

Caselli, Francesco and Gennaioli, Nicola (2003) Dynastic management. . National Bureau of Economic Research, Cambridge, MA., USA.

Caselli, Francesco and Gennaioli, Nicola (2007) Economics and politics of alternative institutional reforms. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Caselli, Francesco and Gennaioli, Nicola (2007) Economics and politics of alternative institutional reforms. . National Bureau of Economic Research, Cambridge, MA., USA.

Caselli, Francesco and Wilson, Daniel J. (2004) Importing technology. Journal of Monetary Economics, 51 (1). pp. 1-32. ISSN 0304-3932

Casey, Terrence (2013) Neoliberalism can (and should) be saved by macroprudential financial regulation. British Politics and Policy at LSE (24 Jun 2013). Website.

Cassis, Yousseff (2006) Capitals of capital : a history of international financial centres, 1780-2005. Cambridge University Press, Cambridge. ISBN 0521845351

Castellano, Giuliano (2012) Towards a general framework for a common definition of“securities”: financial markets regulation in multilingual contexts. Uniform Law Review, 13 (3). pp. 449-481. ISSN 1124-3694

Castelle, Michael, Millo, Yuval, Beunza, Daniel and Lubin, David C. (2016) Where do electronic markets come from? Regulation and the transformation of financial exchanges. Economy and Society, 45 (2). pp. 166-200. ISSN 0308-5147

Catarineu-Rabell, Eva, Jackson, Patricia and Tsomocos, Dimitrios P. (2003) Procyclicality and the new Basel Accord–banks’ choice of loan rating system. Financial Markets Group Discussion Papers (464). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Catá Backer, Larry, Richard, W. and Eshelman, Mary (2015) UN FORUM SERIES – the measure of … things: measurement first principles and the business and human rights assessment project. Measuring Business and Human Rights (02 Dec 2015). Website.

Cañon, Carlos, Gerba, Eddie, Pambira, Alberto and Stoja, Evarist (2023) An unconventional FX tail risk story. .

Cella, Cristina, Ellul, Andrew and Giannetti, Mariassunta (2013) Investors' horizons and the amplification of market shocks. Financial Markets Group Discussion Papers (717). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cengiz, Firat (2021) What the EU’s new MiCA regulation could mean for cryptocurrencies. LSE European Politics and Policy (EUROPP) blog (05 Jul 2021). Blog Entry.

Centre, for Macroeconomics (2016) The Brexit question will increase financial market volatility. LSE Business Review (29 Feb 2016). Website.

Cerami, Alfio (2014) Socio-Economic security, transnational solidarity and the legitimation crisis of the European Union. Euro Crisis in the Press (22 Sep 2014). Website.

Cerasi, Vittoria and Daltung, Sonja (1998) Close relationships between banks and firms: is it good or bad? Financial Markets Group Discussion Papers (293). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cerasi, Vittoria and Daltung, Sonja (2002) Diversification and delegation in firms. Financial Markets Group Discussion Papers (403). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cerasi, Vittoria and Daltung, Sonja (2006) Financial structure, managerial compensation and monitoring. Financial Markets Group Discussion Papers (576). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cespedes, Luis Felipe, Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2000) Balance sheets and exchange rate policy. NBER Working Paper Series (7840). National Bureau of Economic Research, Cambridge, MA.

Cetin, Umut ORCID: 0000-0001-8905-853X (2010) Stochastic integration. In: Cont, Rama, (ed.) Encyclopedia of Quantitative Finance. John Wiley & Sons, Chichester, UK. ISBN 9780470057568

Cetin, Umut ORCID: 0000-0001-8905-853X and Hok, Julien (2023) Speeding up the Euler scheme for killed diffusions. Finance and Stochastics. ISSN 0949-2984 (In Press)

Cetin, Umut ORCID: 0000-0001-8905-853X, Jarrow, P., Protter, M. and Warachka, M. (2006) Pricing options in an extended black-scholes economy with illiquidity: theory and empirical evidence. Review of Financial Studies, 19 (2). pp. 493-529. ISSN 0893-9454

Cetin, Umut ORCID: 0000-0001-8905-853X, Jarrow, R. and Protter, P. (2010) Liquidity risk and arbitrage pricing theory. In: Lee, Cheng-Few, Lee, Alice C. and Lee, John, (eds.) Handbook of Quantitative Finance and Risk Management. Springer Berlin / Heidelberg, New York, USA. ISBN 9780387771168

Cetin, Umut ORCID: 0000-0001-8905-853X, Jarrow, R., Protter, P. and Yildirim, Y. (2004) Modeling credit risk with partial information. Annals of Applied Probability, 14 (3). pp. 1167-1178. ISSN 1050-5164

Cetin, Umut ORCID: 0000-0001-8905-853X, Jarrow, Robert A. and Protter, Philip (2004) Liquidity risk and arbitrage pricing theory. Finance and Stochastics, 8 (3). pp. 311-341. ISSN 1432-1122

Cetin, Umut ORCID: 0000-0001-8905-853X and Rogers, L.C.G. (2007) Modeling liquidity effects in discrete time. Mathematical Finance, 17 (1). pp. 15-29. ISSN 0960-1627

Cetin, Umut ORCID: 0000-0001-8905-853X and Verschuere, Michel (2009) Pricing and hedging in carbon emissions markets. International Journal of Theoretical and Applied Finance, 12 (7). pp. 949-967. ISSN 0219-0249

Cetin, Umut ORCID: 0000-0001-8905-853X and Xing, Hao (2013) Point process bridges and weak convergence of insider trading models. Electronic Journal of Probability, 18 (26). pp. 1-24. ISSN 1083-6489

Chabakauri, Georgy (2010) Asset pricing with heterogeneous investors and portfolio constraints. Working paper series. London School of Economics and Political Science, London, UK.

Chabakauri, Georgy (2012) Asset pricing with heterogeneous investors and portfolio constraints. Financial Markets Group Discussion Papers (707). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chabakauri, Georgy (2015) Asset pricing with heterogeneous preferences, beliefs, and portfolio constraints. Journal of Monetary Economics, 75. pp. 21-34. ISSN 0304-3932

Chabakauri, Georgy (2015) Dynamic equilibrium with rare events and heterogeneous Epstein-Zin investors. Working papers. Social Science Research Network (SSRN), Rochester, USA.

Chabakauri, Georgy (2015) Dynamic equilibrium with rare events and heterogeneous Epstein-Zin investors. Systemic Risk Centre Discussion Papers (35). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Chabakauri, Georgy (2013) Dynamic equilibrium with two stocks, heterogeneous investors, and portfolio constraints. Review of Financial Studies, 26 (12). pp. 3104-3141. ISSN 0893-9454

Chabakauri, Georgy and Han, Brandon (2017) Collateral constraints and asset prices. Financial Markets Group Discussion Papers (776). Financial Markets Group, The London School of Economics and Political Science, London, UK.

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

Chabakauri, Georgy and Rytchkov, Oleg (2021) Asset pricing with index investing. Journal of Financial Economics, 141 (1). 195 - 216. ISSN 0304-405X

Chabakauri, Georgy and Rytchkov, Oleg (2020) Asset pricing with index investing. Financial Markets Group Discussion Papers (806). Financial Markets Group, The London School of Economics and Political Science, London, UK.

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.

Chabakauri, Georgy, Yuan, Kathy and Zachariadis, Konstantinos (2021) Multi-asset noisy rational expectations equilibrium with contingent claims. Financial Markets Group Discussion Papers (745). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chabakauri, Georgy, Yuan, Kathy and Zachariadis, Konstantinos E. (2022) Multi-asset noisy rational expectations equilibrium with contingent claims. Review of Economic Studies, 89 (5). 2445 - 2490. ISSN 0034-6527

Chabakauri, Georgy and Yueyang Han, Brandon (2020) Collateral constraints and asset prices. Journal of Financial Economics, 138 (3). 754 - 776. ISSN 0304-405X

Chadha, Jagjit and Newby, Elisa (2012) 'Midas, transmuting all, into paper': the Bank of England and the Banque de France during the Napoleonic Wars. In: Modern and Comparative Seminar, 2012-05-03, London, United Kingdom. (Submitted)

Chadha, Jagjit S. (2023) Mr Putin and the chronicle of a normalisation foretold. LSE Public Policy Review, 3 (1). ISSN 2633-4046

Chadha, Jagjit S. and Perlman, Morris (2014) Was the Gibson Paradox for real? A Wicksellian study of the relationship between interest rates and prices. Financial History Review, 21 (2). 139 - 163. ISSN 0968-5650

Chaigneau, Pierre (2010) Aversion to the variability of pay and optimal incentive contracts. Financial Markets Group Discussion Papers (654). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre (2011) Explaining the structure of CEO incentive pay with decreasing relative risk aversion. Financial Markets Group Discussion Papers (693). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre (2012) The effect of risk preferences on the valuation and incentives of compensation contracts. Financial Markets Group Discussion Papers (697). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre (2010) The optimal timing of executive compensation. Financial Markets Group Discussion Papers (660). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre, Edmans, Alex and Gottlieb, Daniel ORCID: 0000-0002-0555-6185 (2018) Does improved information improve incentives? Journal of Financial Economics, 130 (2). 291 - 307. ISSN 0304-405X

Chaigneau, Pierre, Edmans, Alex and Gottlieb, Daniel ORCID: 0000-0002-0555-6185 (2014) The value of informativeness for contracting. Financial Markets Group Discussion Papers (737). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre and Eeckhoudt, Louis (2016) Downside risk neutral probabilities. Financial Markets Group Discussion Papers (756). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre and Sahuguet, Nicolas (2013) The effect of monitoring on CEO pay practices in a matching equilibrium. Financial Markets Group Discussion Papers (725). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chaigneau, Pierre and Sahuguet, Nicolas (2012) The structure of CEO pay: pay-for-luck and stock-options. Financial Markets Group Discussion Papers (713). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chakravarti, Amitav, Grenville, Andrew, Morwitz, Vicki G, Tang, Jane and Ülkümen, Gülden (2013) Malleable conjoint partworths: how the breadth of response scales alters price sensitivity. Journal of Consumer Psychology, 23 (4). pp. 515-525. ISSN 1057-7408

Chalmers, Adam William and Dellmuth, Lisa Maria (2017) All spending is not equal: How the EU can increase public support for the EU. LSE European Politics and Policy (EUROPP) Blog (04 Jul 2017). Website.

Chalmers, Damian and Lodge, Martin ORCID: 0000-0002-4273-6118 (2003) The open method of co-ordination and the European welfare state. CARR Discussion Papers (DP 11). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Chambers, Stephan (2020) Under pressure from consumers and employees, firms now compete for the most fragile commodity: goodwill. LSE Business Review (31 Jan 2020). Blog Entry.

Chang, Briana and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2015) Endogenous market making and network formation. Systemic Risk Centre Discussion Papers (50). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Chang, Briana and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2015) Endogenous market making and network formation. Systemic Risk Centre Discussion Papers (50). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Chang, Jeffery (Jinfan), Du, Huancheng, Lou, Dong ORCID: 0000-0002-5623-4338 and Polk, Christopher (2022) Ripples into waves: trade networks, economic activity, and asset prices. Journal of Financial Economics, 145 (1). 217 - 238. ISSN 0304-405X

Chang, R and Velasco, Andres ORCID: 0000-0003-0441-5062 (2005) Currency mismatches and monetary policy: a tale of two equilibria. Journal of International Economics, 69 (1). pp. 150-175. ISSN 0022-1996

Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2007) Endogenous financial dollarization and exchange rate policy. Journal of Policy Reform, 8 (4). pp. 263-280. ISSN 1384-1289

Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2017) Financial frictions and unconventional monetary policy in emerging economies. IMF Economic Review, 65 (1). pp. 154-191. ISSN 2041-4161

Charalambous, Giorgos (2012) Understanding the Greek Communist Party. LSE Greece@LSE (02 Sep 2012). Website.

Charles, Constantin, Frydman, Cary and Kilic, Mete (2023) Insensitive Investors. Journal of Finance. ISSN 0022-1082 (In Press)

Chatzinikolaou, Panos (2017) Could Grexit follow Brexit? Euro Crisis in the Press (12 Apr 2017). Website.

Chau, Minh and Vayanos, Dimitri (2005) Strong-form efficiency with monopolistic insiders. . CEPR, London School of Economics and Political Science, London, UK.

Chau, Minh and Vayanos, Dimitri (2008) Strong-form efficiency with monopolistic insiders. Review of Financial Studies, 21 (5). pp. 2275-2306. ISSN 0893-9454

Chawla, Arunish (2008) Multinational firms, monopolistic competition and foreign investment uncertainty. CEPDP (866). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853282624

Chemla, Gilles and Faure-Grimaud, Antoine (1998) Dynamic adverse selection and debt. Financial Markets Group Discussion Papers (288). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chen, Ciao-Wei, Correia, Maria and Urcan, Oktay (2023) Accounting for leases and corporate investment. Accounting Review, 98 (3). 109 - 133. ISSN 0001-4826

Chen, Deyang, Zeng, Zheyu and Chen, Yunyue (2024) Heterogeneous impacts of multiple climate policies on the Chinese stock market. Finance Research Letters, 60. ISSN 1544-6123

Chen, Feng, Jorgensen, Bjorn N. and Yoo, Yong K. (2004) Implied cost of equity capital in earnings-based valuation: international evidence. Accounting and Business Research, 34 (4). pp. 323-344. ISSN 0001-4788

Chen, Huaizhi, Cohen, Lauren, Gurun, Umit, Lou, Dong ORCID: 0000-0002-5623-4338 and Malloy, Christopher (2020) IQ from IP: simplifying search in portfolio choice. Journal of Financial Economics, 138 (1). 118 - 137. ISSN 0304-405X

Chen, Huaizhi, Cohen, Lauren and Lou, Dong ORCID: 0000-0002-5623-4338 (2016) Industry window dressing. Review of Financial Studies, 29 (12). 3354 - 3393. ISSN 0893-9454

Chen, Huaizhi, Cohen, Lauren and Lou, Dong ORCID: 0000-0002-5623-4338 (2013) Industry window dressing. Financial Markets Group Discussion Papers (719). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chen, Nan-Kuang and Chu, Hsiao-Lei (2003) Collateral value and forbearance lending. CEPDP (603). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753016818

Chen, Natalie and Novy, Dennis (2017) Currency unions, trade and heterogeneity. CEP Discussion Papers (CEPDP1550). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Chen, Runquan (2009) Regime switching in volatilities and correlation between stock and bond markets. Financial Markets Group Discussion Papers (640). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chen, Xiaohong, Fan, Yanqin and Patton, Andrew J. (2004) Simple tests for models of dependence between multiple financial time series, with applications to U.S. equity returns and exchange rates. Financial Markets Group Discussion Papers (483). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chen, Xiaohong, Favilukis, Jack and Ludvigson, Sydney C. (2007) An estimation of economic models with recursive preferences. Financial Markets Group Discussion Papers (603). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chen, Xiaohong, Favilukis, Jack and Ludvigson, Sydney C. (2013) An estimation of economic models with recursive preferences. Quantitative Economics, 4 (1). pp. 39-83. ISSN 1759-7323

Chen, Zhuoqiong (Charlie) (2017) Removing commissions does not restore impartial advice. Management with Impact (30 Jan 2017). Website.

Chenet, Hugues, Kedward, Katie, Ryan-Collins, Josh and van Lerven, Frank (2022) Developing a precautionary approach to financial policy: from climate to biodiversity. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (2). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Chenhall, Robert H. and Moers, Frank (2016) Management control systems have evolved to address the need for innovation. LSE Business Review (09 May 2016). Website.

Cherla, Avi, Howard, Natasha and Mossialos, Elias ORCID: 0000-0001-8664-9297 (2020) The Netflix plus model: Can subscription financing improve access to medicines in low- And middle-income countries? Health Economics, Policy and Law. ISSN 1744-1331

Chernov, Mikhail (2003) Alternative models for stock price dynamics. Journal of Econometrics, 116 (1-2). pp. 225-257. ISSN 0304-4076

Chernov, Mikhail (2003) Empirical reverse engineering of the pricing kernel. Journal of Econometrics, 116 (1-2). pp. 329-364. ISSN 0304-4076

Chernov, Mikhail (2007) On the role of risk premia in volatility forecasting. Journal of Business and Economic Statistics, 25 (4). pp. 411-426. ISSN 0735-0015

Chernov, Mikhail and Ghysels, Eric (2000) A study towards a unified approach to the joint estimation of objective and risk neutral measures for the purpose of options valuation. Journal of Financial Economics, 56 (3). pp. 407-458. ISSN 0304-405X

Chernov, Mikhail, Gorbenko, Alexander and Makarov, Igor (2011) CDS auctions. Financial Markets Group Discussion Papers (688). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chernov, Mikhail, Gorbenko, Alexander S. and Makarov, Igor (2013) CDS auctions. Review of Financial Studies, 26 (3). pp. 768-805. ISSN 0893-9454

Chernov, Mikhail and Mueller, Philippe (2012) The term structure of inflation expectations. Journal of Financial Economics, 106 (2). pp. 367-394. ISSN 0304-405X

Cheshire, Paul (2011) Productivity: every little helps? Spatial Economics Research Centre Blog (01 Jul 2011). Website.

Cheshire, Paul and Magrini, Stefano (2002) The spatial economic impact of Euroland and the implications for policy. In: Cuadrado-Roura, Juan R and Parellada, Martí, (eds.) Regional Convergence in the European Union: Facts, Prospects, and Policies. Springer Berlin / Heidelberg, New York, pp. 211-230. ISBN 3540432426

Chesney, Marc, Gheyssens, Jonathan and Taschini, Luca ORCID: 0000-0001-5355-1736 (2013) Environmental finance and investments. Springer Texts in Business and Economics. (1). Springer Berlin / Heidelberg, Berlin, Germany. ISBN 978364236622-2

Chesterton, Fiona (2015) Book review: the media and financial crises: comparative and historical perspectives edited by Steve Schifferes and Richard Roberts. LSE Review of Books (01 Jan 2015). Website.

Chia, Aloysius (2015) Book review: the Oxford handbook of banking, Second Edition. LSE Review of Books (20 Apr 2015). Website.

Chia, Wai-Mun, Cheng, Tianyin and Li, Mengling (2012) Exogenous shocks and exchange rate regimes. World Economy, 35 (4). pp. 444-460. ISSN 0378-5920

Chilosi, David (2015) Revisiting the notes on the history of the interest rate: bonds’ markets in the Republic of Genoa’. In: Comité pour l'histoire économique et financière de la France, , (ed.) Ressources publiques et construction étatique en Europe XIIIe-XVIIIe siècle. Institut de la gestion publique et du développement économique, Paris. ISBN 9782111293816

Chilosi, David, Schulze, Max-Stephan and Volckart, Oliver (2016) Benefits of empire? Capital market integration north and south of the Alps, 1350-1800. Economic History working papers (236/2016). London School of Economics and Political Science, London, UK.

Chilosi, David, Schulze, Max-Stephan and Volckart, Oliver (2018) Benefits of empire? Capital market integration north and south of the Alps, 1350-1800. Journal of Economic History, 78 (3). 637 - 672. ISSN 0022-0507

Chilosi, David and Volckart, Oliver (2010) Good or bad money?: debasement, society and the state in the late Middle Ages. Economic History Working Papers (140/10). Department of Economic History, London School of Economics and Political Science, London, UK.

Chilosi, David and Volckart, Oliver (2009) Money, states and empire: financial integration cycles and institutional change in Central Europe, 1400-1520. Economic History Working Papers (132/09). Department of Economic History, London School of Economics and Political Science, London, UK.

Chilosi, David ORCID: 0000-0002-2251-0381 and Volckart, Oliver (2011) Money, states, and empire: financial integration and institutional change in Central Europe, 1400–1520. Journal of Economic History, 71 (03). pp. 762-791. ISSN 0022-0507

Chintagunta, Pradeep K., Kadiyali, Vrinda and Vilcassim, Naufel J. (2006) Endogeneity and simultaneity in competitive pricing and advertising: a logit demand analysis. Journal of Business, 79 (9). pp. 2761-2787. ISSN 0021-9398

Chintagunta, Pradeep K. and Vilcassim, Naufel J. (1994) Marketing investment decisions in a dynamic duopoly: a model and empirical analysis. International Journal of Research in Marketing, 11 (3). pp. 287-306. ISSN 0167-8116

Cho, Thummim (2020) Turning alphas into betas: arbitrage and endogenous risk. Journal of Financial Economics, 137 (2). 550 - 570. ISSN 0304-405X

Cho, Thummim (2018) Turning alphas into betas: arbitrage and the cross-section of risk. Financial Markets Group Discussion Papers (780). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cho, Thummim, Kremens, Lukas, Lee, Dongryeol and Polk, Christopher (2024) Scale or yield? A present-value identity. Review of Financial Studies, 37 (3). 950 – 988. ISSN 0893-9454

Cho, Thummim and Polk, Christopher (2023) Putting the price in asset pricing. Journal of Finance. ISSN 0022-1082 (In Press)

Cho, Young-Hyun, Linton, Oliver and Whang, Yoon-Jae (2006) Are there Monday effects in stock returns: a stochastic dominance approach. Financial Markets Group Discussion Papers (568). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Choi, Darwin, Lou, Dong ORCID: 0000-0002-5623-4338 and Mukherjee, Abhiroop (2018) The effect of superstar firms on college major choice. Financial Markets Group Discussion Papers (772). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Choi, Hoyong, Mueller, Philippe and Vedolin, Andrea (2016) Bond variance risk premiums. . Social Science Research Network (SSRN).

Choi, Jaewon, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Oh, Ji (2022) Bond funds and credit risk. Financial Markets Group Discussion Papers (857). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Choi, Young-Soo, O'Hanlon, John F. and Pope, Peter (2006) Conservative accounting and linear information valuation models. Contemporary Accounting Research, 23 (1). pp. 73-101. ISSN 0823-9150

Choudhary, M. Ali and Jain, Anil (2022) Finance and inequality: the distributional impacts of bank credit rationing. Journal of Financial Intermediation, 52. ISSN 1042-9573

Christensen, John (2012) Arguments linking a lower corporation tax to increased productivity and growth have no basis in reality. British Politics and Policy at LSE (29 Feb 2012). Website.

Christodoulaki, Olga and Penzer, Jeremy (2004) News from London: Greek government bonds on the London Stock Exchange, 1914-1929. Economic History Working Papers (86/04). Department of Economic History, London School of Economics and Political Science, London, UK.

Christodoulakis, Nicos (2018) Sustainability and fairness still missing in the Greek social insurance system. Managerial and Decision Economics, 39 (8). pp. 897-906. ISSN 0143-6570

Christopoulou, Rebekka and Pantalidou, Maria (2018) The parental home as labour market insurance for young Greeks during the crisis. GreeSE papers (122). Hellenic Observatory, European Institute, London, UK.

Chryssogelos, Angelos (2016) Still Europeanized? Greek foreign policy during the Eurozone crisis. LSE Greece@LSE (24 Feb 2016). Website.

Chwieroth, Jeffrey (2010) Capital ideas: the IMF and the rise of financial liberalization. Princeton University Press, New Jersey, USA. ISBN 9780691142319

Chwieroth, Jeffrey (2014) Controlling capital: the international monetary fund and transformative incremental change from within international organisations. New Political Economy, 19 (3). pp. 445-469. ISSN 1356-3467

Chwieroth, Jeffrey (2012) Creating policy stigmas in financial governance: the International Monetary Fund and capital controls. In: Mayes, David G. and Wood, Geoffrey, (eds.) Reforming the Governance of the Financial Sector. Routledge international studies in money and banking. Routledge, London, UK, pp. 187-219. ISBN 9780415686846

Chwieroth, Jeffrey (2008) International liquidity provision: the IMF and the World Bank in the Treasury and Marshall Systems, 1942-1957. In: Andrews, David M., (ed.) Orderly Change: International Monetary Relations Since Bretton Woods. Cornell University Press, Ithaca, N.Y., pp. 52-77. ISBN 9780801473999

Chwieroth, Jeffrey (2015) Managing and transforming policy stigmas in international finance: Emerging markets and controlling capital inflows after the crisis. Review of International Political Economy, 22 (1). pp. 44-76. ISSN 0969-2290

Chwieroth, Jeffrey (2008) Organizational change ‘from within’: exploring the World Bank's early lending practices. Review of International Political Economy, 15 (4). pp. 481-505. ISSN 0969-2290

Chwieroth, Jeffrey (2005) U.S. policy, IMF financing arrangements, and the coercive diffusion of capital account liberalization to emerging markets. EUI working papers (2005/06). Robert Schuman Centre for Advanced Studies, European University Institute, Florence, Italy.

Chwieroth, Jeffrey (2006) The World Bank, stabilization loans, and balance of payments financing: "lost" pieces of the Bretton Woods liquidity architecture. Working papers (06-3). Scripps College, Claremont, California, USA.

Chwieroth, Jeffrey (2011) The crisis in global finance: political economy perspectives on international financial regulatory change. In: Beyond National Boundaries: Building a World Without Walls. Academy of Korean Studies Press. ISBN 9788971058091

Chwieroth, Jeffrey (2012) "The silent revolution": how the staff exercise informal governance over IMF lending. Review of International Organizations, 8 (2). pp. 265-290. ISSN 1559-7431

Chwieroth, Jeffrey and Danielsson, Jon (2015) Averting financial crisis. Britain in 2015.

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

Chwieroth, Jeffrey, Simpson, Cohen and Walter, Andrew (2014) Networked default: public debt, trade embeddedness, and partisan survival in democracies since 1870. Systemic Risk Centre Discussion Papers (22). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Chwieroth, Jeffrey and Walter, Andrew (2013) Banking crises and political survival over the long run: why great expectations matter. Vox (10 May 2013). Website.

Chwieroth, Jeffrey and Walter, Andrew (2017) Banking crises and politics: a long run perspective. International Affairs, 93 (5). pp. 1107-1129. ISSN 0020-5850

Chwieroth, Jeffrey and Walter, Andrew (2015) Great expectations, veto players, and the changing politics of banking crises. Systemic Risk Centre Discussion Papers (28). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Chwieroth, Jeffrey and Walter, Andrew (2019) The wealth effect: how the great expectations of the middle class have changed the politics of banking crises. Cambridge University Press, Cambridge, UK. ISBN 9781107153745

Chwieroth, Jeffrey M. and Walter, Andrew (2022) Neoliberalism and banking crisis bailouts: distant enemies or warring neighbors? Public Administration, 100 (3). 600 - 615. ISSN 0033-3298

Chwieroth, Jeffrey M. and Walter, Andrew (2019) The financialization of mass wealth, banking crises and politics over the long run. European Journal of International Relations, 25 (4). pp. 1007-1034. ISSN 1354-0661

Cingano, Federico and Hassan, Fadi (2020) International financial flows and misallocation. CEP Discussion Papers (1697). Centre for Economic Performance, LSE, London, UK.

Cipriani, Marco, Guarino, Antonio and Uthemann, Andreas (2022) Financial transaction taxes and the informational efficiency of financial markets: a structural estimation. Journal of Financial Economics, 146 (3). 1044 - 1072. ISSN 0304-405X

Cipriani, Marco, Guarino, Antonio and Uthemann, Andreas (2019) Financial transaction taxes and the informational efficiency of financial markets: a structural estimation. Systemic Risk Centre Discussion Papers (88). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Clark, Peter, Goodhart, C. A. E. and Huang, Haizhou (1996) Optimal monetary policy rules in a rational expectations model of the Phillips curve. Financial Markets Group Discussion Papers (247). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Clark, Peter B., Goodhart, Charles A. E. and Huang, Haizhou (1999) Optimal monetary policy rules in a rational expectations model of the Phillips curve. Journal of Monetary Economics, 43 (2). 497 - 520. ISSN 0304-3932

Clark, Tom (2001) The limits of social democracy? Tax and spend under Labour, 1974-1979. Economic History Working Papers (64/01). Department of Economic History, London School of Economics and Political Science, London, UK.

Clarke, Daniel J. and Grenham, Dermot (2013) Microinsurance and natural disasters: challenges and options. Environmental Science and Policy, 27 (S1). S89-S98. ISSN 1462-9011

Clarke, John (2014) Talking about imagined economies points to how different imaginaries circulate and offer competing visions. British Politics and Policy at LSE (30 Oct 2014). Website.

Clatworthy, Mark A., Peel, David A. and Pope, Peter (2012) Are analysts' loss functions asymmetric? Journal of Forecasting, 31 (8). pp. 736-756. ISSN 0277-6693

Clatworthy, Mark A., Peel, David A. and Pope, Peter (2007) Evaluating the properties of analysts’ forecasts: a bootstrap approach. British Accounting Review, 39 (1). pp. 3-13. ISSN 0890-8389

Clayton, Matthew J. and Jorgensen, Bjorn N. (2011) Corporate equity ownership, investment, and product market relationships. Journal of Corporate Finance, 17 (5). pp. 1377-1388. ISSN 0929-1199

Clohessy, Laura (2013) How can private long-term care insurance supplement state systems? AXA-funded study looking at the UK as a case study reports on 30 January 2013. LSE Health and Social Care (07 Jan 2013). Website.

Cloyne, James (2014) Government spending shocks, wealth effects and distortionary taxes. CFM discussion paper series (CFM-DP2014-13). Centre For Macroeconomics, London, UK.

Coban, Mehmet Kerem (2016) Book review: better bankers, better banks: promoting good business through contractual commitment by Claire A. Hill and Richard W. Painter. LSE Review of Books (02 Feb 2016). Website.

Cocco, Joao F. and Lopes, Paula (2019) Aging in place, housing maintenance and reverse mortgages. Review of Economic Studies. ISSN 0034-6527

Cocco, Joao F. and Lopes, Paula (2004) Defined benefit or defined contribution?: An empirical study of pension choices. Financial Markets Group Discussion Papers (505). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cocco, Joao F. and Lopes, Paula (2011) Defined benefit or defined contribution?: a study of pension choices. Journal of Risk and Insurance, 78 (4). pp. 931-960. ISSN 0022-4367

Coco, Giuseppe and de Meza, David (2001) In defence of usury laws. Financial Markets Group Discussion Papers (369). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Codogno, Lorenzo and Monti, Mara (2020) Christine Lagarde has her work cut out for her. LSE Business Review (11 Jan 2020). Blog Entry.

Codogno, Lorenzo and Monti, Mara (2017) Is Italy’s recent support to its banks the start of a new wave of public intervention in the EU? LSE European Politics and Policy (EUROPP) Blog (16 Jan 2017). Website.

Codogno, Lorenzo and van den Noord, Paul (2021) Going fiscal? A stylised model with fiscal capacity and a safe asset in the Eurozone. Review of Economics and Finance, 19. 54 - 72. ISSN 1923-7529

Coelho, Marta (2012) Unrealistic optimism: what it is and how to deal with it. Management Research: the Journal of the Iberoamerican Academy of Management, 10 (3). pp. 226-238. ISSN 1536-5433

Coelho, Marta and de Meza, David (2012) Do bad risks know it? Experimental evidence on optimism and adverse selection. Economics Letters, 114 (2). pp. 168-171. ISSN 0165-1765

Coeurdacier, Nicolas and Guibaud, Stéphane (2011) International portfolio diversification is better than you think. Journal of International Money and Finance, 30 (2). pp. 289-308. ISSN 0261-5606

Cohen, Lauren and Lou, Dong ORCID: 0000-0002-5623-4338 (2011) Complicated firms. Financial Markets Group Discussion Papers (683). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cohen, Randolph B., Polk, Christopher and Vuolteenaho, Tuomo (2009) The price is (almost) right. Journal of Finance, 64 (6). pp. 2739-2782. ISSN 1540-6261

Cohen, Randolph B., Polk, Christopher and Vuolteenaho, Tuomo (2003) The value spread. Journal of Finance, 58 (2). pp. 609-642. ISSN 0022-1082

Collier, Paul (2013) One budget number every African citizen will need to know. International Growth Centre Blog (10 Dec 2013). Website.

Collier, Paul and Laroche, Caroline (2014) If we want the full benefit from resources; this is what we need. International Growth Centre Blog (05 Mar 2014). Website.

Collier, Stephen J., Elliott, Rebecca ORCID: 0000-0001-6983-7026 and Lehtonen, Turo-kimmo (2021) Climate change and insurance. Economy and Society, 50 (2). 158 - 172. ISSN 0308-5147

Collignon, Stefan (2011) Despite past criticisms, the European Central Bank has prevented a meltdown of EU banks and helped to stave off a global depression. British Politics and Policy at LSE (28 Oct 2011). Website.

Collignon, Stefan (2002) Monetary stability in Europe. Routledge international studies in money and banking. (16). Routledge, London, UK. ISBN 0415267323

Colomer, Josep M. (2009) On building the American and the European empires. LSE 'Europe in Question' discussion paper series (06/2009). London School of Economics and Political Science, London.

Colonnelli, Alessio (2015) Eurosceptics at a Junction: Antagonising the EU for the Sake of it is Risky. Euro Crisis in the Press (18 May 2015). Website.

Colonnelli, Emanuele and Haas, Astrid (2016) Corruption in construction. International Growth Centre Blog (01 Sep 2016). Website.

Colvin, Christopher Louis (2007) Universal banking failure?: an analysis of the contrasting responses of the Amsterdamsche Bank and the Rotterdamsche Bankvereeniging to the Dutch financial crisis of the 1920s. Economic History Working Papers (98/07). Department of Economic History, London School of Economics and Political Science, London, UK.

Comas-Herrera, Adelina ORCID: 0000-0002-9860-9062 and Guillén, Montserrat (2012) How much risk is mitigated by long-term care protection schemes? A methodological note and a case study of the public system in Spain. LSE Health and Social Care (01 Nov 2012). Website.

Comotti, Sebastiano and Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 (2022) Inward FDI in Italy: some recent trends. . London School of Economics and Political Science, London, UK.

Connor, Gregory (2001) A structured GARCH model of daily equity return volatility. Financial Markets Group Discussion Papers (370). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Connor, Gregory, Hagmann, Matthias and Linton, Oliver (2007) Efficient estimation of a semiparametric characteristic-based factor model of security returns. Financial Markets Group Discussion Papers (599). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Connor, Gregory and Sehgal, Sanjay (2001) Tests of the Fama and French model in India. Financial Markets Group Discussion Papers (379). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Connor, Gregory and Woo, Mason (2004) An Introduction to hedge funds. Discussion paper (477). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cooper, Zack (2009) Incentives, incentives, incentives (and adverse selection). Altarum Health Policy Forum (31 Aug 2009). Website.

Cooper, Zack (2009) Incentives, incentives, incentives (and risk selection). Altarum Health Policy Forum (21 Jul 2009). Website.

Corbridge, Stuart (2015) Stuart Corbridge: Arthur Lewis and Development Economics. International Development (26 Feb 2015). Website.

Corea, Francesco (2017) Can Twitter sentiment predict stock market behaviour? USApp-American Politics and Policy Blog (14 Oct 2017). Blog Entry.

Cormier, Ben and Manger, Mark S. (2022) Power, ideas, and World Bank conditionality. Review of International Organizations, 17 (3). 397 - 425. ISSN 1559-7431

Cormier, Benjamin (2023) Chinese or western finance? Transparency, official credit flows, and the international political economy of development. Review of International Organizations, 18 (2). 297 - 328. ISSN 1559-7431

Cormier, Benjamin and Naqvi, Natalya ORCID: 0000-0003-0821-070X (2023) Delegating discipline: how indexes restructured the political economy of sovereign bond markets. Journal of Politics, 85 (4). 1501 - 1515. ISSN 0022-3816

Corneliussen, Filippa (2004) Justifying non-compliance. A case study of a Norwegian biotech firm. CARR Discussion Papers (DP 20). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753017709

Corneliussen, Filippa (2004) The impact of regulations on firms. A study of the biotech industry. CARR Discussion Papers (DP 19). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753016559

Cornelli, Francesca and Felli, Leonardo (2010) How to sell a (bankrupt) company? . Centre for Economic Policy Research (Great Britain), London, UK.

Cornelli, Francesca and Felli, Leonardo (2000) How to sell a (bankrupt) company? . CESifo, Munich, Germany.

Cornelli, Francesca and Felli, Leonardo (1998) Revenue efficiency and change of control: the case of bankruptcy. CEPR Discussion Paper (2030). Centre for Economic Policy Research (Great Britain), London, UK.

Cornelli, Francesca and Felli, Leonardo (1998) Revenue efficiency and change of control: the case of bankruptcy. Financial Markets Group Discussion Papers (300). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Corradi, Valentina, Distaso, Walter and Mele, Antonio (2013) Macroeconomic determinants of stock volatility and volatility premiums. Journal of Monetary Economics, 60 (2). pp. 203-220. ISSN 0304-3932

Correia, Maria, Kang, Johnny and Richardson, Scott (2018) Asset volatility. Review of Accounting Studies, 23 (1). pp. 37-94. ISSN 1380-6653

Correia, Maria, Kang, Johnny and Richardson, Scott (2018) Credit market investors may not be paying enough attention to fundamental asset volatility. LSE Business Review (28 May 2018). Website.

Corry, Dan (2013) As Europe’s fiscal union marches on, it is time for thecentre-left to debate what it can do to make the eurozonemore progressiveBlo g. LSE European Politics and Policy (EUROPP) Blog (21 Jan 2013). Website.

Corsetti, Giancarlo, Dasgupta, Amil ORCID: 0000-0001-8474-9470, Morris, Stephen and Shin, Hyun Song (2001) Does one Soros make a difference? A theory of currency crises with large and small traders. Financial Markets Group Discussion Papers (372). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cortes, Fabio, Lindner, Peter, Malik, Sheheryar and Segoviano, Miguel (2018) A comprehensive multi-sector tool for analysis of Systemic Risk and Interconnectedness (SyRIN). Systemic Risk Centre Discussion Papers (80). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Costa Storti, Claudia and de Grauwe, Paul (2004) Electronic money and the optimal size of monetary unions. In: Alexander, Volbert, von Furstenberg, George M. and Mélitz, Jacques, (eds.) Monetary Unions and Hard Pegs: Effects on Trade, Financial Development and Stability. Oxford University Press and the Centre for Economic Policy Research, Oxford, UK, pp. 321-336. ISBN 9780199271405

Costa Storti, Claudia and de Grauwe, Paul (2002) Monetary policy in a cashless society. In: Balling, Morten, Lierman, Frank and Mullineux, Andy, (eds.) Technology and Finance, Challenges for Financial Markets, Business Strategies and Policy Makers. Routledge international studies in money and banking. Routledge, London, UK, pp. 241-260. ISBN 9780415298278

Costa-Font, Joan ORCID: 0000-0001-7174-7919, Courbage, Christophe and Wagner, Joël (2019) Long-term care insurance research and trajectory. Geneva Papers on Risk and Insurance: Issues and Practice, 44 (2). pp. 179-182. ISSN 1018-5895

Costa-i-Font, Joan ORCID: 0000-0001-7174-7919 (2010) Regional single currency effects on bilateral trade with the European Union. LSE 'Europe in Question' discussion paper series (26/2010). London School of Economics and Political Science, London.

Costa-i-Font, Joan ORCID: 0000-0001-7174-7919 and Tremosa, R (2003) Spanish regions and the macroeconomic benefits of the European monetary union. Regional Studies, 37 (3). pp. 219-228. ISSN 0034-3404

Coulter, Steve (2014) Debunking 10 ‘pseudo facts’ about the crisis. LSE New European Trade Unions (08 May 2014). Website.

Covas, Francisco and Den Haan, Wouter J. (2012) The role of debt and equity finance over the business cycle. The Economic Journal, 122 (565). pp. 1262-1286. ISSN 0013-0133

Coviello, Decio, Guglielmo, Andrea and Spagnolo, Giancarlo (2016) The effect of discretion on procurement performance. CEP Discussion Paper (1427). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Cowell, Frank (2012) Bequests, taxation and the distribution of income and wealth. Hacienda Pública Española, 200 (1). pp. 75-93. ISSN 1133-9470

Cowell, Frank (2008) Problems and promise of smart cards in taxation. National Tax Journal, 61 (4). pp. 865-882. ISSN 0028-0283

Cowell, Frank, Karagiannaki, Eleni and McKnight, Abigail (2012) Mapping and measuring the distribution of householdwealth: a cross-country analysis. CASEpapers (165). Centre for Analysis of Social Exclusion, London, UK.

Cowling, Marc (2015) What really happens to smaller businesses in a global financial crisis? British Politics and Policy at LSE (02 Oct 2015). Website.

Cox, Michael (2015) The Great Game. International Affairs at LSE (10 Jul 2015). Website.

Cox Pahnke, Emily, Katila, Riitta and Eisenhardt, Kathleen (2016) Startups working with venture capital firms perform the best. LSE Business Review (12 Apr 2016). Website.

Coyle, Diane (2014) Book review: how to speak money by John Lanchester. LSE Review of Books (09 Sep 2014). Website.

Crafts, Nicholas (2000) Globalization and growth in the twentieth century. In: Prasad, E., (ed.) World Economic Outlook: Supporting Studies. International Monetary Fund, pp. 1-44. ISBN 9781557758934

Crafts, Nicholas (2003) Quantifying the contribution of technological change to economic growth in different eras: a review of the evidence. Economic History Working Papers (79/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Crafts, Nicholas (2003) Steam as a general purpose technology: a growth accounting perspective. Economic History Working Papers (75/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Cramer, Kim Fe (2023) Bank presence and health. Financial Markets Group Discussion Papers (872). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cramer, Kim Fe and Koont, Naz (2021) Peer effects in deposit markets. . Social Science Research Network (SSRN). (Submitted)

Cranston, Ross (2007) Law through practice: London and Liverpool commodity markets c.1820-1975. LSE law, society and economy working papers (14-2007). Department of Law, London School of Economics and Political Science, London, UK.

Crean, Aisling, Gold, Natalie, Vines, David and Williamson, Annie (2018) Restoring trustworthiness in the financial system: norms, behaviour and governance. Journal of the British Academy, 6 (s1). 131 - 155. ISSN 2052-7217

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796, Datu, Kerwin and Iammarino, Simona ORCID: 0000-0001-9450-1700 (2017) European cities and foreign investment networks. Scienze Regionali: Italian Journal of Regional Science, 16 (2). pp. 229-260. ISSN 1720-3929

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796, Di Cataldo, Marco and Giua, Mara ORCID: 0000-0001-8923-437X (2021) FDI inflows in Europe: does investment promotion work? Journal of International Economics, 132. ISSN 1464-3758

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Ganau, Roberto (2022) When the rain comes, don’t stay at home! Regional innovation and trans-local investment in the aftermath of the Great Recession. Economic Geography and Spatial Economics Series (36). Department of Geography and Environment, London School of Economics and Political Science, London, UK.

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796, Giua, Mara and Valeria Sonzogno, Giulia (2021) Mind the clock: an evidence-based approach to the implementation of Next Generation EU. Geography and Environment Discussion Paper Series (24). Department of Geography and Environment, LSE, London, UK.

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Harman, Oliver (2022) Climbing up global value chains: leveraging FDI for economic development. . Hinrich Foundation.

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Harman, Oliver ORCID: 0000-0001-7459-1470 (2023) Harnessing global value chains for regional development: how to upgrade through regional policy, FDI and trade. Regional Studies Policy Impact Books. Taylor and Francis Inc., Abingdon, UK. ISBN 9781032410760

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Limodio, Nicola (2021) The impact of Chinese FDI in Africa: evidence from Ethiopia. Geography and Environment Discussion Paper Series (22). Department of Geography and Environment, LSE, London, UK.

Crescenzi, Riccardo ORCID: 0000-0003-0465-9796, Luca, Davide and Milio, Simona (2016) Beyond the nation state: how European cities and regions responded to the financial crisis. LSE European Politics and Policy (EUROPP) Blog (19 May 2016). Website.

Cross, Rod, Kozyakin, Victor, O'Callaghan, Brian, Pokrovskii, Alexei and Pokrovskiy, Alexey (2012) Periodic sequences of arbitrage: a tale of four currencies. Metroeconomica, 63 (2). pp. 250-294. ISSN 0026-1386

Croucher, Richard, Rizov, Marian and Lange, Thomas (2017) National minimum wages improve productivity. LSE Business Review (18 Jan 2017). Website.

Csullag, Balazs, Danielsson, Jon and Macrae, Robert (2016) Why it doesn't make sense to hold bonds. VoxEU.

Cui, Yiran, del Baño Rollin, Sebastian and Germano, Guido (2017) Full and fast calibration of the Heston stochastic volatility model. European Journal of Operational Research, 263 (2). pp. 625-638. ISSN 0377-2217

Cullen, Matt (2016) InsureTech firms look to disrupt, but not to overtake incumbents. LSE Business Review (14 Jun 2016). Website.

Culpepper, Pepper D. (2014) The economic footprint of its banks helped the U.S. to have a better bank bailout than the UK. USApp– American Politics and Policy Blog (18 Nov 2014). Website.

Cumperayot, Phornchanok J., Danielsson, Jon, Jorgensen, Bjorn N. and Vries, Casper G. (2000) On the (Ir)relevancy of value-at-risk regulation. In: Franke, Jürgen, Stahl, Gerhard and Härdle, Wolfgang, (eds.) Measuring Risk in Complex Stochastic Systems. Lecture Notes in Statistics,147. Springer Science+Business Media B.V., New York, 99 - 117. ISBN 9780387989969

Cunat, Alejandro and Fons-Rosen, Christian (2008) Relative factor endowments and international portfolio choice. CEPDP (879). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853282860

Curcio, R. (1994) The effect of managerial ownership of shares and voting concentration on performance. CEPDP (185). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Curcio, Riccardo and Goodhart, C. A. E. (1992) When support/resistance levels are broken, can profits be made? Evidence from the foreign exchange market. Financial Markets Group Discussion Papers (142). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Curran, Brendan, Martin, Ralf, Muller, Sabrina, Nguyen-Tien, Viet, Oliveira Cunha, Juliana, Serin, Esin, Shah, Arjun, Valero, Anna and Verhoeven, Dennis (2022) Growing clean: identifying and investing in sustainable growth opportunities across the UK. . The Economy 2030 Inquiry, London, UK.

Cutts, Tatiana (2018) Dummy asset tracing. LSE Law, Society and Economy Working Papers (4/2018). Department of Law, London School of Economics and Political Science, London, UK.

Cutts, Tatiana (2019) Dummy asset tracing. Law Quarterly Review, 135. 140 - 165. ISSN 0023-933X

Cutts, Tatiana (2019) Smart contracts and consumers. West Virginia Law Review, 122 (2). 389 - 446. ISSN 0043-3268

Cuñat, Vicente ORCID: 0000-0001-7504-2801 (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

Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2006) Trade credit: suppliers as debt collectors and insurance providers. Review of Financial Studies, 20 (2). pp. 491-527. ISSN 0893-9454

Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2000) Trade credit: suppliers as debt collectors and insurance providers. Financial Markets Group Discussion Papers (365). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Cvijanovic, Dragana and Yuan, Kathy (2018) Within-bank spillovers of real estate shocks. Review of Corporate Finance Studies, 7 (2). 157 - 193. ISSN 2046-9128

Cuñat, Vicente ORCID: 0000-0001-7504-2801, 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 ORCID: 0000-0001-7504-2801, Gine, Mireia and Guadalupe, Maria (2010) The vote is cast: the effect of corporate governance on shareholder value. NBER working paper (16574). The National Bureau of Economic Research, Cambridge, MA, USA.

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Gine, Mireia and Guadalupe, Maria (2012) The vote is cast: the effect of corporate governance on shareholder value. Journal of Finance, 67 (5). pp. 1943-1977. ISSN 0022-1082

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Giné, Mireia and Guadalupe, Maria (2020) Price and probability: decomposing the takeover effects of anti-takeover provisions. Journal of Finance, 75 (5). 2591 - 2629. ISSN 0022-1082

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Giné, Mireia and Guadalupe, Maria (2013) Say pays! Shareholder voice and firm performance. Financial Markets Group Discussion Papers (724). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Giné, Mireia and Guadalupe, Maria (2016) Say pays! Shareholder voice and firm performance. Review of Finance, 20 (5). 1799 - 1834. ISSN 1572-3097

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Giné, Mireia and Guadalupe, Maria (2010) The vote is cast: the effect of corporate governance on shareholder value. Financial Markets Group Discussion Papers (663). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Gonzalez-Iturriaga, Claudio (2005) Shocks to the cost of borrowing and capital structure. . Department of Finance, London School of Economics and Political Science, London, UK. (Submitted)

Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Guadalupe, Maria (2007) Executive compensation and competition in the banking and financial sectors. Financial Markets Group Discussion Papers (598). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Guadalupe, Maria (2009) Executive compensation and competition in the banking and financial sectors. Journal of Banking and Finance, 33 (3). pp. 495-504. ISSN 0378-4266

Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Guadalupe, Maria (2009) Globalization and the provision of incentives inside the firm: the effect of foreign competition. Journal of Labor Economics, 27 (2). pp. 179-212. ISSN 0734-306X

Cuñat, Vicente ORCID: 0000-0001-7504-2801 and Guadalupe, Maria (2005) How does product market competition shape incentive contracts? Journal of the European Economic Association, 3 (5). pp. 1058-1082. ISSN 1542-4774

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Lu, Yiqing and Wu, Hong (2021) Managerial response to shareholder empowerment: evidence from majority- voting legislation changes. Financial Markets Group Discussion Papers (826). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cuñat, Vicente ORCID: 0000-0001-7504-2801, Lu, Yiqing and Wu, Hong (2023) Managerial response to shareholder empowerment: evidence from majority-voting legislation changes. Journal of Financial and Quantitative Analysis. ISSN 0022-1090 (In Press)

Cvijanovic, Dragana, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Zachariadis, Konstantinos (2014) Ties that bind: how business connections affect mutual fund activism. Financial Markets Group Discussion Papers (731). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cvijanovic, Dragana, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Zachariadis, Konstantinos (2021) The Wall Street stampede: exit as governance with interacting blockholders. Financial Markets Group Discussion Papers (841). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cvijanovic, Dragana, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Zachariadis, Konstantinos E. (2016) Some mutual funds do business with firms whose shares they own. LSE Business Review (29 Mar 2016). Website.

Cvijanovic, Dragana, Favilukis, Jack and Polk, Christopher (2010) New in town: demographics, immigration, and the price of real estate. . Department of Finance, London School of Economics and Political Science, London, UK.

Cvijanović, Dragana, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Zachariadis, Konstantinos (2016) Ties that bind: how business connections affect mutual fund activism. Journal of Finance, 71 (6). pp. 2933-2966. ISSN 0022-1082

Cvijanović, Dragana, Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Zachariadis, Konstantinos (2022) The wall street stampede: exit as governance with interacting blockholders. Journal of Financial Economics, 144 (2). pp. 433-455. ISSN 0304-405X

Cvitanić, Jakŝa and Xing, Hao (2018) Asset pricing under optimal contracts. Journal of Economic Theory, 173. pp. 142-180. ISSN 1095-7235

Czech, Robert, Huang, Shiyang, Lou, Dong ORCID: 0000-0002-5623-4338 and Wang, Tianyu (2021) Informed trading in government bond markets. Journal of Financial Economics, 142 (3). 1253 - 1274. ISSN 0304-405X

Czech, Robert, Huang, Shiyang, Lou, Dong ORCID: 0000-0002-5623-4338 and Wang, Tianyu (2021) Informed trading in government bond markets. Financial Markets Group Discussion Papers (837). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Czichowsky, Christoph and Schachermayer, Walter (2017) Portfolio optimisation beyond semimartingales: shadowprices and fractional Brownian motion. Annals of Applied Probability, 27 (3). pp. 1414-1451. ISSN 1050-5164

Czichowsky, Christoph, Schachermayer, Walter and Yang, Junjian (2017) Shadow prices for continuous processes. Mathematical Finance, 27 (3). pp. 623-658. ISSN 0960-1627

Cziraki, Peter and Jenter, Dirk ORCID: 0000-0003-4168-9329 (2021) The market for CEOs. Financial Markets Group Discussion Papers (832). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cziraki, Peter and Xu, Moqi (2014) CEO job security and risk-taking. Financial Markets Group Discussion Papers (729). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Cziraki, Peter and Xu, Moqi (2020) CEO turnover and volatility under long-term employment contracts. Journal of Financial and Quantitative Analysis, 55 (6). 1757 - 1791. ISSN 0022-1090

Céspedes, Luis Felipe, Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2017) Financial intermediation, real exchange rates, and unconventional policies in an open economy. Journal of International Economics, 108. S76-S86. ISSN 0022-1996

Céspedes, Luis Felipe, Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2003) IS-LM-BP in the Pampas. IMF Staff Papers, 50 (Special Issue). International Monetary Fund, Washington, DC.

Céspedes, Luis Felipe, Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2012) Is inflation targeting still on target? NBER Working Paper (18570). National Bureau of Economic Research, Cambridge, MA.

Céspedes, Luis Felipe, Parrado, Eric and Velasco, Andres ORCID: 0000-0003-0441-5062 (2014) Fiscal rules and the management of natural resource revenues: the case of Chile. Annual Review of Resource Economics, 6 (1). pp. 105-132. ISSN 1941-1340

Céspedes, Luis Felipe and Velasco, Andres ORCID: 0000-0003-0441-5062 (2013) Was this time different? Fiscal policy in commodity republics. NBER Working Paper (19748). National Bureau of Economic Research, Cambridge, MA.

Céspedes, Luis Felipe and Velasco, Andres ORCID: 0000-0003-0441-5062 (2014) Was this time different? Fiscal policy in commodity republics. Journal of Development Economics, 106. pp. 92-106. ISSN 0304-3878

D

Dafe, Florence (2018) Fuelled power: oil, financiers and central bank policy in Nigeria. New Political Economy. ISSN 1356-3467

Dafe, Florence (2017) The politics of finance: How capital sways African central banks. The Journal of Development Studies. ISSN 0022-0388

Dafe, Florence, Hager, Sandy, Naqvi, Natalya ORCID: 0000-0003-0821-070X and Wansleben, Leon (2022) Introduction: the structural power of finance meets financialization. Politics & Society, 50 (4). 523 – 542. ISSN 0032-3292

Dafermos, Yannis, Gabor, Daniela, Nikolaidi, Maria and van Lerven, Frank (2022) Greening collateral frameworks. The INSPIRE Sustainable Central Banking Toolbox Policy Briefing Papers (7). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Dafermos, Yannis, van Lerven, Frank and Nikolaidi, Maria (2022) Greening capital requirements. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (8). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Dahlström, Tom and Mella-Barral, Pierre (1999) Corporate walkout decisions and the value of default. Financial Markets Group Discussion Papers (325). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dainauskas, Justas ORCID: 0000-0002-1425-8921 (2023) Time-varying exchange rate pass-through into terms of trade. Journal of International Money and Finance, 137. ISSN 0261-5606

Dale, Elina, Peacocke, Elizabeth F., Movik, Espen, Voorhoeve, Alex, Ottersen, Trygve, Kurowski, Christoph, Evans, David B., Norheim, Ole Frithjof and Gopinathan, Unni (2023) Criteria for the procedural fairness of health financing decisions: a scoping review. Health Policy and Planning, 38 (1 S). i13 – i35. ISSN 0268-1080

Dalmia, Ritush, Baek, Jiin and Doshi, Siddhi (2016) An attempt to unpick the ‘productivity paradox’ and other barriers to growth. LSE Business Review (18 Nov 2016). Website.

Dani, Marco, Chiti, Edoardo, Mendes, Joana, Menéndez, Agustín José, Schepel, Harm and Wilkinson, Michael (2021) Roundtable: Monetary policy in the EU: Beneath the spurious legality of the ECB’s monetary policy. Just Money: Roundtables (12 Jan 2021). Blog Entry.

Daniele, Vittorio, Foresti, Pasquale and Napolitano, Oreste (2017) The stability of money demand in the long-run: Italy 1861–2011. Cliometrica, 11 (2). pp. 217-244. ISSN 1863-2505

Danielsson, Jon (2008) Blame the models. Journal of Financial Stability, 4 (4). pp. 321-328. ISSN 1572-3089

Danielsson, Jon (2018) Cryptocurrencies: policy, economics and fairness. Systemic Risk Centre Discussion Papers (86). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

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

Danielsson, Jon (2011) Financial risk forecasting: the theory and practice of forecasting market risk with implementation in R and Matlab. Wiley-Blackwell. ISBN 9780470669433

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

Danielsson, Jon (2015) Iceland, Greece and political hectoring. VoxEU.

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, Reykjavik, Iceland.

Danielsson, Jon (2015) Post-crisis banking regulation: evolution of economic thinking as it happened on Vox. VoxEU.

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, Brussels, Belgium.

Danielsson, Jon (2015) What the Swiss FX shock says about risk models. VoxEU.

Danielsson, Jon (2002) The emperor has no clothes: limits to risk modelling. Journal of Banking and Finance, 26 (7). pp. 1273-1296. ISSN 0378-4266

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

Danielsson, Jon, Bair, Sheila, Shin, Hyun Song, Borio, Claudio, Ratnovski, Lev, Boot, Arnoud, Goodhart, Charles, Zamil, Raihan, Hagendorff, Jens, Vallascas, Francesco, Gersbach, Hans, Calomiris, Charles W., Persaud, Avinash, Atkinson, Paul E., Blundell-Wignall, Adrian, Schmitz, Stefan W., Laeven, Luc, Levine, Ross, Hoshi, Takeo, Bremus, Franziska, Buch, Claudia M., Russ, Katheryn, Schnitzer, Monika, Cabellero, Ricardo, Claessens, Stijn, Pozsar, Zoltan, Singh, Manmohan, Čihák, Martin, Nier, Erlend W., Igan, Deniz, Mishra, Prachi, Tressel, Thierry, Perotti, Enrico and Spagnolo, Giancarlo (2015) Post-crisis banking regulation: evolution of economic thinking as it happened on Vox. VoxEU.org eBooks. Centre for Economic Policy Research (Great Britain), London, UK. ISBN 9781907142833

Danielsson, Jon, Fouché, Morgane and Macrae, Robert (2016) Cyber risk as systemic risk. VoxEU.

Danielsson, Jon, Fouché, Morgane and Macrae, Robert (2015) The macro-micro conflict. VoxEU.

Danielsson, Jon and Goodhart, Charles (2002) The inter-temporal nature of risk. In: Balling, Morten, Lierman, Frank and Mullineux, Andrew, (eds.) Technology and Finance: Challenges for Financial Markets, Business Strategies and Policy Makers. Routledge international studies in money and banking (17). Routledge, London, UK, pp. 18-40. ISBN 9780415298278

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2015) Can we prove a bank guilty of creating systemic risk? A minority report. Systemic Risk Centre Discussion Papers (47). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2015) Can we prove a bank guilty of creating systemic risk? A minority report. Systemic Risk Centre Discussion Papers (47). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2012) Dealing with systematic risk when we measure it badly. . European Center for Advanced Research in Economics and Statistics.

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 (2016) Model risk of risk models. Journal of Financial Stability, 23. pp. 79-91. ISSN 1572-3089

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2011) Model risk of systemic risk models. . Jon Danielsson.

Danielsson, Jon, Jorgensen, Bjorn N. and De Vries, Casper G. (1998) The value of value at risk: statistical, financial, and regulatory considerations summary of presentation. Economic Policy Review. pp. 107-108. ISSN 0147-6580

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, Jorgensen, Bjorn N., Vries, Casper G. and Yang, Xiaoguang (2008) Optimal portfolio allocation under the probabilistic VaR constraint and incentives for financial innovation. Annals of Finance, 4 (3). pp. 345-367. ISSN 1614-2446

Danielsson, Jon, Jorgensen, Bjørn N., Mandira, Sarma, Samorodnitsky, Gennady and Vries, C. G. de (2005) Subadditivity re–examined: the case for value-at-risk. Financial Markets Group Discussion Papers (549). Financial Markets Group, The London School of Economics and Political Science, London, UK.

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

Danielsson, Jon and Kristjánsdóttir, Ásdís (2015) Why Iceland can now remove capital controls. VoxEU.

Danielsson, Jon and Love, Ryan (2004) Feedback trading. Financial Markets Group Discussion Papers (510). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Luo, Jinhui and Payne, Richard (2012) Exchange rate determination and inter–market order flow effects. European Journal of Finance, 18 (9). pp. 823-840. ISSN 1351-847X

Danielsson, Jon, Luo, Jinhui and Payne, Richard (2011) Exchange rate determination and inter–market order flow effects. . Jon Danielsson.

Danielsson, Jon, Macrae, Robert and Tchouparov, Nikola (2023) Lessons from the collapse of Silicon Valley Bank. LSE Business Review (15 Mar 2023). Blog Entry.

Danielsson, Jon, Macrae, Robert, Tsomocos, Dimitrios P. and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2016) Why macropru can end up being procyclical. VoxEU.

Danielsson, Jon, Macrae, Robert and Uthemann, Andreas (2022) Artificial intelligence and systemic risk. Journal of Banking and Finance, 140. ISSN 0378-4266

Danielsson, Jon, Macrae, Robert and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2016) On the financial market consequences of Brexit. VoxEU.

Danielsson, Jon, Micheler, Eva, Neugebauer, Katja, Uthemann, Andreas and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2015) Europe’s proposed capital markets union: disruption will drive investment and innovation. VoxEU.

Danielsson, Jon, Panayi, Efstathios, Peters, Gareth and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2018) Market resilience. Systemic Risk Centre Discussion Papers (78). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Payne, R. (2002) Real trading patterns and prices in spot inter-dealer foreign exchange markets. Journal of International Money and Finance, 21 (2). pp. 203-222. ISSN 0261-5606

Danielsson, Jon and Payne, Richard (1999) Real trading patterns and prices in spot foreign exchange markets. Financial Markets Group Discussion Papers (320). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Penaranda, Francisco (2007) On the impact of fundamentals, liquidity and coordination on market stability. Financial Markets Group Discussion Papers (586). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Peñaranda, Francisco (2011) On the impact of fundamentals, liquidity, and coordination on market stability. International Economic Review, 52 (3). pp. 621-638. ISSN 0020-6598

Danielsson, Jon and Pyne, Richard (2012) Liquidity determination in an order driven market. European Journal of Finance, 18 (9). pp. 799-821. ISSN 1351-847X

Danielsson, Jon and Saltoglu, Burak (2003) Anatomy of a market crash: a market microstructure analysis of the Turkish overnight liquidity crisis. Financial Markets Group Discussion Papers (456). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Shin, Hyun Song and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2001) Asset price dynamics with value-at-risk constrained traders. Financial Markets Group Discussion Papers (394). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Shin, Hyun Song and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2004) The impact of risk regulation on price dynamics. Journal of Banking and Finance, 28 (5). pp. 1069-1087. ISSN 0378-4266

Danielsson, Jon, Song Shin, Hyun and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2011) Balance sheet capacity and endogenous risk. Financial Markets Group Discussion Papers (665). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Song Shin, Hyun and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2012) Endogenous and systemic risk. NBER chapters (12054). National Bureau of Economic Research, Massachusetts, USA.

Danielsson, Jon, Song Shin, Hyun and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2012) Endogenous extreme events and the dual role of prices. Annual Review of Economics, 4. pp. 111-129. ISSN 1941-1383

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2020) Financial volatility and economic growth, 1870-2016. Systemic Risk Centre Discussion Papers (100). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2016) Learning from history: volatility and financial crises. Systemic Risk Centre Discussion Papers (57). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2018) Learning from history: volatility and financial crises. Review of Financial Studies, 31 (7). 2774 - 2805. ISSN 0893-9454

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2018) Learning from history: volatility and financial crises. Systemic Risk Centre Discussion Papers (57). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2016) Low volatility makes a financial crisis more likely. LSE Business Review (22 Aug 2016). Website.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2015) Volatility, financial crises and Minsky's hypothesis. VoxEU.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2022) The impact of risk cycles on business cycles: a historical view. Review of Financial Studies. ISSN 0893-9454

Danielsson, Jon and Vries, C. G. de (2000) Value-at-risk and extreme returns. Annales d'economie et de Statistique, 60 (Specia). pp. 236-269. ISSN 0769-489X

Danielsson, Jon and Vries, Casper (1998) Beyond the sample: extreme quantile and probability estimation. Financial Markets Group Discussion Papers (298). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Vries, Casper (1997) Value-at-risk and extreme returns. Financial Markets Group Discussion Papers (273). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Zhou, Chen (2015) Why risk is hard to measure. VoxEU.

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2015) Are asset managers systemically important? VoxEU.

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2006) Equilibrium asset pricing with systemic risk. Financial Markets Group Discussion Papers (561). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2008) Equilibrium asset pricing with systemic risk. Economic Theory, 35 (2). pp. 293-319. ISSN 1432-0479

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2006) On time-scaling of risk and the square-root-of-time rule. Journal of Banking and Finance, 30 (10). pp. 2701-2713. ISSN 0378-4266

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2003) On time-scaling of risk and the square–root–of–time rule. Financial Markets Group Discussion Papers (439). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2007) Regulating hedge funds. Financial Stability Review, 10 (Spec.). pp. 29-36. ISSN 1636-6964

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2015) A proposed research and policy agenda for systemic risk. VoxEU.

Danielsson, Jon, de Vries, Casper G., Jorgensen, Bjorn, Samorodnitsky, Gennady and Mandira, Sarma (2012) Fat tails, VaR and subadditivity. . Jon Danielsson.

Danilova, Albina (2010) Stock market insider trading in continuous time with imperfect dynamic information. Stochastics: an International Journal of Probability and Stochastic Processes, 82 (1). pp. 111-131. ISSN 1744-2508

Danilova, Albina and Julliard, Christian (2015) Information asymmetries, volatility, liquidity and the Tobin Tax. Financial Markets Group Discussion Papers (748). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danilova, Albina and Julliard, Christian (2014) Information asymmetries, volatility, liquidity, and the Tobin Tax. Systemic Risk Centre Discussion Papers (24). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danilova, Albina, Monoyios, Michael and Ng, Andrew (2009) Optimal investment with inside information and parameter uncertainty. . arXiv.

Danilova, Albina, Monoyios, Michael and Ng, Andrew (2010) Optimal investment with inside information and parameter uncertainty. Mathematics and Financial Economics, 3 (1). pp. 13-38. ISSN 1862-9679

Dasgupta, Amil ORCID: 0000-0001-8474-9470 (2002) Coordination, learning, and delay. Financial Markets Group Discussion Papers (435). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470 (2002) Financial contagion through capital connections: a model of the origin and spread of bank panics. Financial Markets Group Discussion Papers (436). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Burkart, Mike ORCID: 0000-0002-0954-4499 (2020) Competition for flow and and short-termism in activism. Review of Corporate Finance Studies, 10 (1). pp. 44-81. ISSN 2046-9128

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Fos, Vyacheslav and Sautner, Zacharias (2021) Institutional investors and corporate governance. Foundations and Trends in Finance, 12 (4). 276 - 394. ISSN 1567-2395

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Leon-Gonzalez, Roberto and Shortland, Anja (2011) Regionality revisited: an examination of the direction of spread of currency crises. Journal of International Money and Finance, 30 (5). 831 - 848. ISSN 0261-5606

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Maug, Ernst (2022) Delegation chains. Financial Markets Group Discussion Papers (858). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Piacentino, Giorgia (2015) The Wall Street walk when blockholders compete for flows. Journal of Finance, 70 (6). 2853 - 2896. ISSN 0022-1082

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Piacentino, Giorgia (2011) The Wall Street walk when blockholders compete for flows. Financial Markets Group Discussion Papers (692). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Prat, Andrea (2005) Asset price dynamics when traders care about reputation. . Centre for Economic Policy Research (Great Britain), London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Prat, Andrea (2004) Career concerns in financial markets. In: European Summer Symposium in Economic Theory, 2004-07-05 - 2004-07-16, Gersensee, Switzerland. (Submitted)

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Prat, Andrea (2006) Financial equilibrium with career concerns. Theoretical Economics, 1 (1). pp. 67-93. ISSN 1933-6837

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Prat, Andrea (2008) Information aggregation in financial markets with career concerns. Journal of Economic Theory, 143 (1). pp. 83-113. ISSN 1095-7235

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Prat, Andrea (2003) Trading volume with career concerns. . Centre for Economic Policy Research (Great Britain), London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Prat, Andrea and Verardo, Michela (2007) Institutional trade persistence and long-term equity returns. . Centre for Economic Policy Research (Great Britain), London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Prat, Andrea and Verardo, Michela (2011) Institutional trade persistence and long-term equity returns. Journal of Finance, 66 (2). pp. 635-653. ISSN 0022-1082

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Prat, Andrea and Verardo, Michela (2010) Institutional trade persistence and long-term equity returns. Financial Markets Group Discussion Papers (661). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Prat, Andrea and Verardo, Michela (2011) The price impact of institutional herding. Review of Financial Studies, 24 (3). pp. 892-925. ISSN 0893-9454

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Prat, Andrea and Verardo, Michela (2010) The price impact of institutional herding. Financial Markets Group Discussion Papers (652). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Steiner, Jakub and Stewart, Colin (2012) Dynamic coordination with individual learning. Games and Economic Behavior, 74 (1). pp. 83-101. ISSN 0899-8256 (Submitted)

Dasgupta, Amil ORCID: 0000-0001-8474-9470 and Zachariadis, Konstantinos (2011) Delegated activism and disclosure. Financial Markets Group Discussion Papers (689). Financial Markets Group, 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

Dassios, Angelos (2006) Quantiles of Lévy processes and applications in finance. . Department of Statistics, London School of Economics and Political Science, London, UK.

Dassios, Angelos ORCID: 0000-0002-3968-2366 and Jang, J.W. (2005) Kalman-Bucy filtering for linear systems driven by the Cox process with shot noise intensity and its application to the pricing of reinsurance contracts. Journal of Applied Probability, 42 (1). pp. 93-107. ISSN 0021-9002

Dassios, Angelos and Jang, Jiwook (2003) Pricing of catastrophe reinsurance and derivatives using the Cox process with shot noise intensity. Finance and Stochastics, 7 (1). pp. 73-95. ISSN 1432-1122

Dassios, Angelos ORCID: 0000-0002-3968-2366 and Lim, Jia Wei (2017) An analytical solution for the two-sided Parisian stopping time, its asymptotics and the pricing of Parisian options. Mathematical Finance, 27 (2). pp. 604-620. ISSN 0960-1627

Dassios, Angelos and Nagaradjasarma, Jayalaxshmi (2011) Pricing of Asian options on interest rates in the CIR model. . Department of Statistics, London School of Economics and Political Science, London, UK.

Dassios, Angelos and Nagaradjasarma, Jayalaxshmi (2006) The square-root process and Asian options. Quantitative Finance, 6 (4). pp. 337-347. ISSN 1469-7688

Dassios, Angelos and Wu, Shanle (2010) Perturbed Brownian motion and its application to Parisian option pricing. Finance and Stochastics, 14 (3). pp. 473-494. ISSN 0949-2984

Dassios, Angelos and Zhang, You You (2016) The joint distribution of Parisian and hitting times of the Brownian motion with application to Parisian option pricing. Finance and Stochastics, 20. pp. 773-804. ISSN 0949-2984

Dassios, Angelos and Zhao, Hongbiao (2014) A Markov chain model for contagion. Risks, 2 (4). pp. 434-455. ISSN 2227-9091

Dassios, Angelos ORCID: 0000-0002-3968-2366 and Zhao, Hongbiao (2012) Ruin by dynamic contagion claims. Insurance: Mathematics and Economics, 51 (1). pp. 93-106. ISSN 0167-6687

Dassios, Angelos and Zhao, Hongbiao (2011) A dynamic contagion process and an application to credit risk. In: LSE Research Day 2011: The Early Career Researcher, 2011-05-26, London, United Kingdom. (Submitted)

Dassios, Angelos and Zhao, Hongbiao (2017) A generalised contagion process with an application to credit risk. International Journal of Theoretical and Applied Finance, 20 (1). ISSN 0219-0249

Datzberger, Simone (2012) In the aftermath of the Fourth High Level Forum in Busan – Reflections on the effectiveness of Aid. International Affairs at LSE (10 Feb 2012). Website.

Davanne, Olivier, Haldane, Andrew, Ingham, Graham, Kenen, Peter B. and Rogoff, Ken (1999) World financial reform. Centre for Economic Performance special papers (CEPSP13). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Davies, Howard (2009) Are bankers really overpaid? Project Syndicate, 3 Augu.

Davies, Howard (2007) Balls must save us from US regulatory creep. The Independent, 27 Jan. p. 54. ISSN 0951-9467

Davies, Howard (2008) Banking and the State: changing the social contract. UNSPECIFIED.

Davies, Howard (2005) Comment and analysis: conflicts of interest for banks, auditors and law firms. In: Clark, Keith, (ed.) Conflicts of Interest : Jurisdictional Comparisons in the Law and Regulation for the Financial Services, Auditing and Legal Prof. European Lawyer, London, UK, xv-xix. ISBN 9780954652340

Davies, Howard (2000) Containing the risks of hedge funds: regulating Highly Leveraged Institutions. Derivatives Use, Trading and Regulation, 6 (3). pp. 203-209. ISSN 1357-0927

Davies, Howard (2004) Creating a single financial market in Europe: What do we mean? Special paper (SP155). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Davies, Howard (2009) The Davos hunt for mutual reassurance. Financial Times, 29 Jan. p. 10. ISSN 0307-1766

Davies, Howard (1999) FSA's strategy in applying its powers under the new regime. Journal of International Financial Markets, 1 (2). pp. 51-58. ISSN 1463-3779

Davies, Howard (2010) The Federal Reserve diet. Project Syndicate, 12 Feb.

Davies, Howard (2009) Finance Agonistes. Project Syndicate, 13 Jul.

Davies, Howard (2008) In the balance. Quantum Magazine (3). pp. 5-8.

Davies, Howard (2005) Markets need to digest new rules. Financial Times, 20 Apr. p. 17. ISSN 0307-1766

Davies, Howard (2008) New banking rules: tread carefully. Financial Times, 30 Sep. p. 13. ISSN 0307-1766

Davies, Howard (2009) On the margins - capital dilemma. Quantum Magazine (9). pp. 23-25.

Davies, Howard (2009) Pricking bubbles in the wind: could central banks have done more to head off the financial crisis? Australian Economic Review, 42 (4). pp. 387-396. ISSN 1467-8462

Davies, Howard (2004) Refereeing capitalism. In: Bishop, Matthew, (ed.) An Apology for Capitalism? Stockholm Network, London, UK, pp. 3-15. ISBN 0954766318

Davies, Howard (2005) Regulation and politics: the need for a new dialogue, or, a letter to John Redwood. Hume occasional papers (No. 66). The David Hume Institute, Edinburgh, UK. ISBN 1870482662

Davies, Howard (2008) Sharks circle Paulson's Aussie plan. Financial Times, 2 Apri. p. 11. ISSN 0307-1766

Davies, Howard (2008) Single jeopardy. Quantum Magazine (4). pp. 40-43.

Davies, Howard (2010) Springing the debt trap - subprime revisited? Quantum Magazine (10). pp. 4-7.

Davies, Howard (2009) Striking the right balance. In: Responses to the Global Crisis: Charting a Progressive Path: Handbook of Ideas. Policy Network, London, UK, pp. 26-28.

Davies, Howard (2009) Too big to reform? Project Syndicate, 14 Dec.

Davies, Howard (2006) Two cheers for financial stability. William Taylor Memorial Lecture. Group of Thirty, Washington DC, USA. ISBN 1567081347

Davies, Howard (2010) Wall Street's new double act comes up short. Financial Times, 1 July. p. 9. ISSN 0307-1766

Davies, Howard (2009) We need urgently to rationalise the rules on capital. Financial Times, 25 Sep. p. 11. ISSN 0307-1766

Davies, Howard (2009) A crisis of trust. Project Syndicate, 13 Oct.

Davies, Howard (2010) The financial crisis: who is to blame? Polity Press, Cambridge, UK. ISBN 9780745651637

Davies, Howard (2009) The financial crisis: whodunit? Reserve Bank of New Zealand Bulletin, 72 (3). pp. 69-75. ISSN 1174-7943

Davies, Howard (2006) The future of central of banking: the political dimension. Journal of Social and Management Sciences / Prajnan, 35 (2). pp. 95-106. ISSN 0970-8448

Davies, Howard (2000) The future of financial regulation. In: Alexander, Carol, (ed.) Visions of Risk. Pearson Higher Education, Harlow, UK, pp. 2-13. ISBN 9780877783206

Davies, Howard (2010) The naked ECB. Project Syndicate, 18 Jun.

Davies, Howard (2010) A pig's breakfast. Project Syndicate, 14 Apr.

Davies, Howard (2010) The pound is weighed down. Guardian, 2 Mar. ISSN 0261-3077

Davies, Howard (2005) A review of the review. Financial Markets, Institutions and Instruments, 14 (5). pp. 247-252. ISSN 0963-8008

Davies, Howard (2006) A word of advice to Hank Paulson. Financial Times, 5 July. p. 15. ISSN 0307-1766

Davies, Howard and Green, David (2010) Banking on the future: the fall and rise of central banking. Princeton University Press, Princeton, USA. ISBN 9780691138640

Davies, Howard and Green, David (2010) Final touches for sensible regulatory reform. Financial Times, 20 May. p. 11. ISSN 0307-1766

Davies, Howard and Green, David (2008) Global financial regulation: the essential guide. Polity Press, Cambridge, UK. ISBN 9780745643496

Davies, Howard and Green, David (2008) A better way to regulate European finance. Financial Times, 11 Sep. p. 15. ISSN 0307-1766

Davou, Bettina (2015) Investigating the psychological effects of the Greek financial crisis. LSE Greece@LSE (22 Oct 2015). Website.

Dawson, Christopher, de Meza, David, Henley, Andrew and Arabsheibani, G. Reza (2019) Curb your enthusiasm: optimistic entrepreneurs earn less. European Economic Review, 111. pp. 53-69. ISSN 0014-2921

Day, Judy and Taylor, Peter (2001) Financial distress in small firms: the role played by debt covenants and other monitoring devices. Insolvency Lawyer, 2001 (3). pp. 97-113. ISSN 1350-5211

De Boer, Jeroen F (1998) Finance capital in the Weimar Republic: does evidence on supervisory board representation support Hilferding's view of the role of large banks in German capitalism? Economic History working papers (41/98). Department of Economic History, London School of Economics and Political Science, London, UK.

De George, Emmanuel T., Li, Xi ORCID: 0000-0002-9870-9661 and Shivakumar, Lakshmanan (2016) A review of the IFRS adoption literature. Review of Accounting Studies, 21 (3). pp. 898-1004. ISSN 1380-6653

De Grauwe, Paul (2021) Inflation risk? Intereconomics, 56 (4). 220 - 222. ISSN 0020-5346

De Grauwe, Paul (2020) The need for monetary financing of corona budget deficits. Intereconomics, 55 (3). 133 - 134. ISSN 0020-5346

De Grauwe, Paul and Foresti, Pasquale (2023) Interactions of fiscal and monetary policies under waves of optimism and pessimism. Journal of Economic Behavior & Organization, 212. 466 - 481. ISSN 0167-2681

De Grauwe, Paul and Grimaldi, Marianna (2001) Exchange rates, prices and money: a long-run perspective. International Journal of Finance and Economics, 6 (4). pp. 289-313. ISSN 1076-9307

De Grauwe, Paul and Ji, Yuemei (2024) How to conduct monetary policies: the ECB in the past, present and future. Journal of International Money and Finance. ISSN 0261-5606

De Grauwe, Paul and Ji, Yuemei (2019) Inflation targets and the zero lower bound in a behavioural macroeconomic model. Economica, 86 (342). pp. 262-299. ISSN 0013-0427

De Grauwe, Paul and Ji, Yuemei (2022) The fragility of the Eurozone: has it disappeared? Journal of International Money and Finance, 120. ISSN 0261-5606

De Grauwe, Paul and Ji, Yuemei (2021) The quest to stabilize an unstable system by financial engineering. Reply to Sam Langfield. Journal of Common Market Studies, 58 (S1). e1 - e5. ISSN 0021-9886

De Haas, Ralph, Ferreira, Daniel and Taci, Anita (2010) What determines the composition of banks’ loan portfolios?: evidence from transition countries. Journal of Banking and Finance, 34 (2). pp. 388-398. ISSN 0378-4266

De Haas, Ralph and Popov, Alexander (2018) Financial development and industrial pollution. European Banking Center Discussion Paper Series (2018-001). SSRN, Tilburg, The Netherlands.

De Meza, David and Reito, Francesco (2020) Too much waste, not enough rationing: the failure of stochastic, competitive markets. Journal of Economic Theory, 188. ISSN 0022-0531

De Meza, David and Reyniers, Diane J. (2023) Insuring replaceable possessions. Economica, 90 (357). 271 - 284. ISSN 0013-0427

De Neve, Emmanuel and Powdthavee, Nick (2016) As the richest get richer, everyone else gets less happy. LSE Business Review (18 Feb 2016). Website.

De Paoli, Bianca (2009) Monetary policy under alternative asset market structures: the case of a small open economy. CEP Discussion Paper (923). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

De Vito, Antonio (2016) Book review: the hidden wealth of nations: the scourge of tax havens by Gabriel Zucman. LSE Review of Books (08 Nov 2016). Website.

DeFusco, Anthony A., Tang, Huan and Yannelis, Constantine (2022) Measuring the welfare cost of asymmetric information in consumer credit markets. Journal of Financial Economics, 146 (3). 821 - 840. ISSN 0304-405X

Decamps, Jean-Paul and Faure-Grimaud, Antoine (2000) Excessive continuation and dynamic agency costs of debt. Financial Markets Group Discussion Papers (348). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dechezleprêtre, Antoine, Muckley, Cal B. and Neelakantan, Parvati (2021) Is firm-level clean or dirty innovation valued more? European Journal of Finance, 27 (1-2). 31 - 61. ISSN 1351-847X

Decker, Frank and Goodhart, Charles A. E. (2022) Wilhelm Lautenbach’s credit mechanics – a precursor to the current money supply debate. European Journal of the History of Economic Thought, 29 (2). pp. 246-270. ISSN 0967-2567

Defever, Fabrice and Riaño, Alejandro (2022) Firm-destination heterogeneity and the distribution of export intensity. Economics Letters, 219. ISSN 0165-1765

Defever, Fabrice and Riaño, Alejandro (2016) Protectionism through exporting: subsidies with exportshare requirements in China. CEP Discussion Paper (1431). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Degens, Philipp (2015) Book review by Philipp Degens: the social life of money by Nigel Dodd. Researching Sociology (13 Jan 2015). Website.

Dellis, Konstantinos (2020) Knowledge diffusion and financial development thresholds. Hellenic Observatory Discussion Papers on Greece and Southeast Europe (154). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Demary, Markus (2022) How high will inflation rise and how long will it last? LSE Business Review (29 Apr 2022). Blog Entry.

Demary, Markus (2022) How high will inflation rise and how long will it last? USApp – American Politics and Policy Blog (30 Apr 2022). Blog Entry.

Demary, Markus (2018) Tackling non-performing loans in the euro area. LSE Business Review (30 May 2018). Website.

Demary, Markus (2017) The US should not roll back financial regulation. LSE Business Review (06 Sep 2017). Blog Entry.

Demary, Markus (2016) Why European firms need more securitised bonds (not bank loans). LSE Business Review (15 Nov 2016). Website.

Demary, Markus (2016) Why the ECB is not to blame for low interest rates. LSE European Politics and Policy (EUROPP) Blog (22 Aug 2016). Website.

Demary, Markus (2017) Will the review of the Dodd-Frank Act start a regulatory competition with the EU? LSE Business Review (29 Mar 2017). Website.

Demekas, Dimitri and Grippa, Pierpaolo (2022) Walking a tightrope: financial regulation, climate change, and the transition to a low-carbon economy. Journal of Financial Regulation, 8 (2). 203 - 229. ISSN 2053-4833

Demekas, Dimitri G. (2019) Building an effective financial stability policy framework: lessons from the post-crisis decade. . London School of Economics and Political Science, London, UK.

Demirovic, Amer, Kabiri, Ali, Tuckett, David and Nyman, Rickard (2020) A common risk factor and the correlation between equity and corporate bond returns. Journal of Asset Management, 21 (2). pp. 119-134. ISSN 1470-8272

Den Haan, Wouter, Ilzetzki, Ethan and Ellison, Martin (2017) Global risks from rising debt and asset prices. LSE Business Review (16 Oct 2017). Website.

Den Haan, Wouter J., Ellison, Martin, Ilzetzki, Ethan, McMahon, Michael and Reis, Ricardo (2016) A vote to leave will increase financial market volatility. LSE Brexit (02 Mar 2016). Website.

Den Haan, Wouter J., Ilzetzki, Ethan, Ellison, Martin and McMahon, Michael (2017) Flexible labour markets, real wages and economic recoveries. LSE Business Review (30 May 2017). Website.

Den Haan, Wouter J., Ilzetzki, Ethan, Ellison, Martin, McMahon, Michael and Reis, Ricardo (2016) Is a loose monetary policy still appropriate for the Eurozone? LSE Business Review (08 Nov 2016). Website.

Den Haan, Wouter J., Ilzetzki, Ethan, Ellison, Martin, McMahon, Michael and Reis, Ricardo (2017) Is the era of central bank independence drawing to a close? LSE Business Review (10 Jan 2017). Website.

Den Haan, Wouter J. and Sterk, Vincent (2010) The myth of financial innovation and the great moderation. The Economic Journal, 121 (553). pp. 707-739. ISSN 0013-0133

Den Haan, Wouter J., Sumner, Steven W. and Yamashiro, Guy M. (2010) Bank loan components and the time-varying effects of monetary policy shocks. Economica, 78 (312). pp. 593-617. ISSN 0013-0427

Denbee, Edward, Julliard, Christian, Li, Ye and Yuan, Kathy (2021) Network risk and key players: a structural analysis of interbank liquidity. Journal of Financial Economics, 141 (3). 831 - 859. ISSN 0304-405X

Denbee, Edward, Julliard, Christian, Yepremyan, Liana and Yuan, Kathy (2014) Network risk and key players: a structural analysis of interbank liquidity. Financial Markets Group Discussion Papers (734). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Deng, Kent (2003) Fact or fiction? Re-examination of Chinese premodern population statistics. Economic History Working Papers (76/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Deng, Kent ORCID: 0000-0002-9795-3646 and Du, Jane (2024) Domestic savings-driven growth: unveiling internal economic dynamics in China, 1980-2010. Economic History Working Papers (368). London School of Economics and Political Science, London, UK.

Deng, Shuyuan, Huang, Zhijian and Sinha, Atish (2018) Can social media sentiment affect stock market performance? LSE Business Review (19 Sep 2018). Website.

Deng, Xuefei (Nancy), Joshi, K.D. and Galliers, Robert D. (2016) Microtask crowdsourcing can both empower and marginalise workers. LSE Business Review (15 Apr 2016). Website.

Deng, Zhiyao, Tang, Dragon Yongjun and Zhang, Yupu (2020) Is "greenness" priced in the market? Evidence from green bond issuance in China. Journal of Alternative Investments, 23 (1). pp. 57-70. ISSN 1520-3255

Denney, Steven C. and Gleason, Brian D. (2012) The political economy of trade policy in the KORUS FTA. International Affairs at LSE (31 May 2012). Website.

Desai, Meghnad (1999) Foreign investment and economic development. In: Skidelsky, Robert, (ed.) Capital Regulation: for and Against. Centre for Post Collectivist Studies, Social Market Foundation, London, UK. ISBN 9781874097372

Dessi, Roberta (1999) Financing entrepreneurs: optimal contracts and the role of intermediaries. Financial Markets Group Discussion Papers (328). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dessi, Roberta (1997) Implicit contracts, managerial incentives and financial structure. Financial Markets Group Discussion Papers (279). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dessi, Roberta and Robertson, Donald (2000) Debt, incentives and performance: evidence from UK panel data. Financial Markets Group Discussion Papers (344). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Devigne, David, Manigart, Sophie and Wright, Mike (2016) Cross-border venture capitalists are less patient with under-performers. LSE Business Review (28 Jun 2016). Website.

Dhingra, Swati and Morrow, John (2012) The impact of integration on productivity and welfare distortions under monopolistic competition. CEP Discussion Papers (CEPDP1130). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Dhingra, Swati, Ottaviano, Gianmarco I. P., Sampson, Thomas and Reenen, John Van (2016) How Brexit will reduce foreign investment in the UK….and why it matters. LSE Business Review (15 Apr 2016). Website.

Di Mauro, Filippo, Hassan, Fadi and Ottaviano, Gianmarco I. P. (2018) Financial markets and the allocation of capital: the role of productivity. CEP Discussion Papers (CEPDP1555). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Diamond, Peter (2005) Reforming public pensions in the US and the UK. Financial Markets Group Discussion Papers (543). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Diemer, Andreas ORCID: 0000-0002-5193-7739 and Regan, Tanner (2022) No inventor is an island: social connectedness and the geography of knowledge flows in the US. Research Policy, 51 (2). ISSN 0048-7333

Diemer, Sebastian and Poblete Lavanchy, Joaquin J. (2010) Real-money vs. play-money forecasting accuracy in online prediction markets - empirical insights from Ipredict. Journal of Prediction Markets, 4 (3). pp. 21-58. ISSN 1750-6751

Diessner, Sebastian (2015) Increasing the transparency of the ECB could do more harm than good. LSE European Politics and Policy (EUROPP) Blog (18 May 2015). Website.

Diessner, Sebastian (2017) LSE Continental Breakfast 5: Britain's financial obligations to the EU. LSE Brexit (23 Nov 2017). Website.

Diessner, Sebastian and Lisi, Giulio (2019) Masters of the ‘masters of the universe’? Monetary, fiscal and financial dominance in the Eurozone. Socio-Economic Review. ISSN 1475-1461

Dietrich, Diemo and Gehrig, Thomas (2021) Speculative and precautionary demand for liquidity in competitive banking markets. Systemic Risk Centre Discussion Papers (110). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Dietsch, Peter (2015) Common rules (not rates) should be the answer to tax competition in the EU. LSE European Politics and Policy (EUROPP) Blog (23 Sep 2015). Website.

Dietz, Simon ORCID: 0000-0001-5002-018X, Bowen, Alex, Dixon, Charlie and Gradwell, Philip (2016) Climate value at risk of global financial assets. Nature Climate Change, 6 (7). 676 - 679. ISSN 1758-678X

Dietz, Simon ORCID: 0000-0001-5002-018X and Niehörster, Falk (2020) Pricing ambiguity in catastrophe risk insurance. Geneva Risk and Insurance Review. ISSN 1554-964X

Dikau, Simon, Haahr, Marianne and Volz, Ulrich (2022) Harnessing the potential of digital finance for financing sustainable development. In: Schoenmaker, Dirk and Volz, Ulrich, (eds.) Scaling Up Sustainable Finance and Investment in the Global South. Centre for Economic Policy Research (Great Britain), London, UK, 161 - 171. ISBN 9781912179664

Dikau, Simon and Volz, Ulrich (2021) Central bank mandates, sustainability objectives and the promotion of green finance. Ecological Economics, 184. ISSN 0921-8009

Dikau, Simon and Volz, Ulrich (2021) Out of the window? Green monetary policy in China: window guidance and the promotion of sustainable lending and investment. Grantham Research Institute on Climate Change and the Environment Working Paper (360). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Dikau, Simon and Volz, Ulrich (2023) Out of the window? Green monetary policy in China: window guidance and the promotion of sustainable lending and investment. Climate Policy, 23 (1). 122 - 137. ISSN 1469-3062

Dimelis, Sophia, Giotopoulos, Ioannis and Louri, Helen (2015) Can firms grow without credit?: evidence from the Euro Area, 2005-2011: a quantile panel analysis. GreeSE papers (89). Hellenic Observatory, European Institute, London, UK.

Dimitrov, Vesselin (2006) EMU and fiscal policy. In: Dyson, Kenneth, (ed.) Enlarging the Euro Area: External Empowerment and Domestic Transformation in East Central Europe. Oxford University Press, Oxford, UK; New York, USA, pp. 261-278. ISBN 9780199277674

Dimitrov, Vesselin (2006) From laggard to pace-setter: Bulgaria's road to EMU. In: Dyson, Kenneth, (ed.) Enlarging the Euro Area: External Empowerment and Domestic Transformation in East Central Europe. Oxford University Press, Oxford, UK; New York, USA, pp. 145-159. ISBN 9780199277674

Dini, Paolo and Kioupkiolis, Alexandros (2019) The alter-politics of complementary currencies: the case of Sardex. Cogent Social Sciences, 5 (1). ISSN 2331-1886

Dini, Paolo, Motta, Wallis and Sartori, Laura (2016) Self-funded social impact investment: an interdisciplinary analysis of the Sardex mutual credit system. In: ISIRC: 8th International Social Innovation Research Conference, 2016-09-05 - 2016-09-07, Glasgow, United Kingdom.

Dinç, Pınar and Aydemir, Irem (2016) The EU-Turkey deal: Ambiguities and future scenarios. Euro Crisis in the Press (27 Oct 2016). Website.

Dischel, Robert S. and Barrieu, Pauline (2002) Financial weather contracts and their application in risk management. In: Dischel, Robert S., (ed.) Climate Risk and the Weather Market: Financial Risk Management With Weather Hedges. Risk Books, London, UK, pp. 25-42. ISBN 9781899332526

Disslbacher, Franziska and Mokre, Patrick (2020) What the latest household finance and consumption survey tells us about wealth inequality in Europe. LSE European Politics and Policy (EUROPP) blog (15 Jun 2020). Blog Entry.

Dittmar, Robert F. and Yuan, Kathy (2008) Do sovereign bonds benefit corporate bonds in emerging markets? Review of Financial Studies, 21 (5). pp. 1983-2014. ISSN 0893-9454

Dixit, Avinash (1992) Irreversible investment with uncertainty and scale economies. TE (240). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Djankov, Simeon (2021) Changing bankruptcy law has given firms time to adapt and recover. LSE COVID-19 Blog (04 Oct 2021). Blog Entry.

Djankov, Simeon (2017) The City of London after Brexit. Financial Markets Group Discussion Papers (762). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon (2017) Corporate tax cuts: examining the record in advanced economies. Financial Markets Group Discussion Papers (764). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon (2016) The Doing Business project: how it started: correspondence. Journal of Economic Perspectives, 30 (1). pp. 247-248. ISSN 0895-3309

Djankov, Simeon (2017) Investment banks are already leaving London. Other jobs will follow. LSE Brexit (07 Jun 2017). Website.

Djankov, Simeon (2016) What Donald Trump could do to ‘make America great again’ without destroying free trade. LSE Business Review (10 Nov 2016). Website.

Djankov, Simeon (2016) The divergent postcommunist paths to democracy and economic freedom. Financial Markets Group Discussion Papers (758). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon, Georgieva, Dorina and Maemir, Hibret (2020) Less red tape, more local entrepreneurship and fdi: the path to Covid-19 recovery. LSE Covid 19 Blog (06 Jul 2020). Blog Entry.

Djankov, Simeon, Georgieva, Dorina and Maemir, Hibret (2020) Less red tape, more local entrepreneurship and foreign direct investment: the path to recovery. LSE Business Review (24 Jun 2020). Blog Entry.

Djankov, Simeon, Georgieva, Dorina and Ramalho, Rita (2017) Business regulation and poverty. Financial Markets Group Discussion Papers (766). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon, Georgieva, Dorina and Ramalho, Rita (2017) Determinants of regulatory reform. Financial Markets Group Discussion Papers (765). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon, Glaeser, Edward, Perotti, Valeria and Shleifer, Andrei (2021) Property rights and urban form. Financial Markets Group Discussion Papers (813). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon and Jolevski, Filip (2020) The post-communist transition at 30. Financial Markets Group Discussion Papers (793). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon, Luksic, Igor and Zhang, Eva (2022) Some evidence of regulatory convergence. Financial Markets Group Discussion Papers (859). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon, Luksic, Igor and Zhang, Eva (2022) Technology as deregulation. Financial Markets Group Discussion Papers (848). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Djankov, Simeon, Luksic, Igor and Zhang, Eva (Yiwen) (2022) Some evidence of regulatory convergence. Economics Letters, 216. ISSN 0165-1765

Djankov, Simeon and Nikolova, Elena (2018) Communism as the unhappy coming. Financial Markets Group Discussion Papers (773). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dobbie, Will, Liberman, Andres, Paravisini, Daniel and Pathania, Vikram S. (2021) Measuring bias in consumer lending. Review of Economic Studies, 88 (6). 2799 - 2832. ISSN 0034-6527

Dobrynskaya, Victoria (2014) Downside market risk of carry trades. Review of Finance, 18 (5). pp. 1885-1913. ISSN 1572-3097

Dodd, Nigel (2017) Afterword. Social Analysis, 61 (4). pp. 130-135. ISSN 0155-977X

Dodd, Nigel (2015) Redeeming Simmel's money. HAU: Journal of Ethnographic Theory, 5 (2). pp. 435-441. ISSN 2049-1115

Dodd, Nigel (2012) Simmel’s perfect money: fiction, socialism and utopia in the philosophy of money. Theory, Culture & Society, 29 (7-8). pp. 146-176. ISSN 0263-2764

Dodd, Nigel (2001) The hidden side of the Euro. Finance and the Common Good/Bien Commun (9). pp. 45-51. ISSN 1422-4658

Dodd, Nigel (2017) The politics of Bitcoin. In: Hart, Keith, (ed.) Money in a human economy. The Human Economy. Berghahn Books, Oxford, UK. ISBN 9781785335594

Dodd, Nigel (2014) The social life of money. Princeton University Press, Princeton, USA. ISBN 9780691141428

Dodds, David (2018) Book review: the market by Matthew Watson. LSE Review of Books (19 Jun 2018). Website.

Dolan, Paul, Elliott, Antony, Metcalfe, Robert and Vlaev, Ivo (2012) Influencing financial behavior: from changing minds to changing contexts. Journal of Behavioral Finance, 13 (2). pp. 126-142. ISSN 1542-7560

Dolphin, Tony (2011) The Bank of England has failed to achieve the 2% inflation rate and its forecasting has been ill-judged. However, its stance on interest rates is entirely justified given the parlous state of the UK’s domestic economy. British Politics and Policy at LSE (14 Jul 2011). Website.

Dolton, Peter, Marcenaro-Gutierrez, Oscar, Pistaferri, Luigi and Algan, Yann (2011) If you pay peanuts do you get monkeys?: a cross-country analysis of teacher pay and pupil performance. Economic Policy (65). pp. 5-55. ISSN 0266-4658

Donaldson, Cam, Baker, Rachel, McHugh, Neil, Gillespie, Morag, Sinclair, Stephen, Cornish, Flora ORCID: 0000-0002-3404-9385, Cheater, Francine, Goodwin, Jon and Tombs, Jackie (2011) Markets and health in the home of Smith and Yunus. Journal of Social Business, 1 (1). pp. 155-167. ISSN 2045-1083

Donaldson, Jason and Micheler, Eva (2016) Resaleable debt and systemic risk. Systemic Risk Centre Discussion Papers (53). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Donaubauer, Julian, Meyer, Birgit and Nunnenkamp, Peter (2016) Aid-financed infrastructure promotes foreign direct investments. International Growth Centre Blog (03 May 2016). Website.

Donaubauer, Julian, Neumayer, Eric ORCID: 0000-0003-2719-7563 and Nunnenkamp, Peter (2016) Promoting FDI through financial market development in host and source countries. International Growth Centre Blog (23 May 2016). Website.

Donnelly, Faye and Vlcek, William (2016) Monsters in the mist: The elusive quest for financial security in Scotland post-Brexit. Euro Crisis in the Press (25 Aug 2016). Website.

Doukas, John (2013) Quantitative easing does not address the fundamental problems underpinning struggling western economies. LSE European Politics and Policy (EUROPP) Blog (04 Mar 2013). Website.

Doukas, John (2015) A scarcity of government bonds could pose problems for the ECB’s quantitative easing programme. LSE European Politics and Policy (EUROPP) Blog (04 Mar 2015). Website.

Dow, James and Rahi, Rohit ORCID: 0000-0001-6887-9160 (1998) Informed trading, investment, and welfare. Financial Markets Group Discussion Papers (292). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dow, James and Rahi, Rohit ORCID: 0000-0001-6887-9160 (1998) Should speculators be taxed? Financial Markets Group Discussion Papers (291). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Dowd, Kevin, Blake, David and Cairns, Andrew (2003) Long-term value at risk. Financial Markets Group Discussion Papers (468). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Draca, Mirko, Garred, Jason and Warrinnier, Nele (2022) Sanctions and the targeting of ‘elite’ interests: the effectiveness of targeting in the case of Iran. British Politics and Policy at LSE (04 Mar 2022). Blog Entry.

Draca, Mirko, Machin, Stephen and Van Reenen, John ORCID: 0000-0001-9153-2907 (2011) Minimum wages and firm profitability. American Economic Journal: Applied Economics, 3 (1). pp. 129-151. ISSN 1945-7782

Drehman, Matthias and Goodhart, C. A. E. (2000) Is cash becoming technologically outmoded? Or does it remain necessary to facilitate "bad behaviour"? An empirical investigation into the determinants of cash holdings. Financial Markets Group Discussion Papers (358). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Drexler, Alejandro, Fischer, Gregory and Schoar, Antoinette (2014) Keeping it simple: financial literacy and rules of thumb. American Economic Journal: Applied Economics, 6 (2). pp. 1-31. ISSN 1945-7782

Dreze, Jean, Lanjouw, Peter and Sharma, Naresh (1997) Credit in rural India: a case study. DEDPS (6). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Driver, Ciaran, Grosman, Ana and Scaramozzino, Pasquale (2020) How investor pressure leads to higher dividend payouts. LSE Business Review (14 Apr 2020). Blog Entry.

Drèze, Xavier, Nisol, Patricia and Vilcassim, Naufel J. (2004) Do promotions increase store expenditures? A descriptive study of household shopping behavior. Quantitative Marketing and Economics, 2 (1). pp. 59-95. ISSN 1573-711X

Duarte, Tania (2013) Committee on capital markets regulation - statistical release. Conduct Costs Blog (08 Nov 2013). Website.

Duarte, Tania (2013) Interview with the project’s director, Roger McCormick. Conduct Costs Blog (29 Oct 2013). Website.

Duca, John V., Muellbauer, John and Murphy, Anthony (2010) Housing markets and the financial crisis of 2007-2009: lessons for the future. SERC Discussion Papers (SERCDP0049). Spatial Economics Research Centre (SERC), London School of Economics and Political Sciences, London, UK.

Dudel, Christian, López Gómez, María Andrée, Benavides, Fernando G. and Myrskylä, Mikko (2018) The length of working life in Spain: levels, recent trends, and the impact of the financial crisis. European Journal of Population, 34 (5). pp. 769-791. ISSN 0168-6577

Duman, Özgün Sarımehmet (2019) Class struggle over absolute surplus value strategies in Greece: initial response to the post-2008 economic crisis. GreeSE Papers. London School of Economics and Political Science, London, UK.

Duman, Özgün Sarımehmet (2017) The political economy of the Eurozone crisis: competitiveness and financialization in PIIGS. Journal of Balkan and Near Eastern Studies. ISSN 1944-8953

Dungey, Mardi, Fakhrutdinova, Luba and Goodhart, Charles (2009) After-hours trading in equity futures markets. Journal of Futures Markets, 29 (2). pp. 114-136. ISSN 0270-7314

Dungey, Mardi and Gajurel, Dinesh (2015) How can countries protect their banks against international contagion? LSE Business Review (24 Nov 2015). Website.

Dunleavy, Patrick ORCID: 0000-0002-2650-6398 (2018) ‘Build a wall’. ‘Tax a shed’. ‘Fix a debt limit’. The constructive and destructive potential of populist anti-statism and ‘naïve’ statism. Policy Studies, 39 (3). pp. 310-330. ISSN 0144-2872

Dunne, Niamh (2022) Pro-competition regulation in the digital economy: the United Kingdom’s Digital Markets Unit. Antitrust Bulletin, 67 (2). 341 - 366. ISSN 0003-603X

Dupas, Pascaline, Robinson, Jonathan and Keats, Anthony (2014) Challenges in banking the rural poor: evidence from Kenya’s western province. International Growth Centre Blog (07 Feb 2014). Website.

Durnev, Art, Li, Tiemei and Magnan, Michel (2016) Are firms with offshore headquarters worth more? LSE Business Review (28 Jan 2016). Website.

Dutta, Sunil and Nezlobin, Alexander (2017) Information disclosure, firm growth, and the cost of capital. Journal of Financial Economics, 123 (2). 415 - 431. ISSN 0304-405X

Dutta, Supradeep and Folta, Timothy B. (2016) Venture capital increases a startup’s chances of issuing stocks or finding a buyer. LSE Business Review (01 Feb 2016). Website.

Dyson, Kenneth and Featherstone, Kevin (1996) EMU and economic governance in Germany. German Politics, 5 (3). pp. 325-355. ISSN 0964-4008

Dyson, Kenneth and Featherstone, Kevin (1996) Italy and EMU as a 'Vincolo Esterno': empowering the technocrats, transforming the state. South European Society and Politics, 1 (2). pp. 272-299. ISSN 1360-8746

Dyson, Kenneth and Featherstone, Kevin (1997) Jacques Delors and the relaunch of economic and monetary union: a study of strategic calculation, brokerage and cognitive leadership. In: Fifth Biennial International Conference of the European Community Studies Association, 1997-05-29 - 1997-06-01, Seattle, United States. (Submitted)

Dyson, Kenneth, Featherstone, Kevin and Michalopoulos, George (1995) Strapped to the mast: EC central bankers between global financial markets and regional integration. Journal of European Public Policy, 2 (3). pp. 465-487. ISSN 1350-1763

Dyson, Kenneth, Featherstone, Kevin and Michalopoulos, George (1998) Strapped to the mast: EU central bankers between global financial markets and regional integration. In: Goldman, William D. and Underhill, Geoffrey R., (eds.) Regionalism and Global Economic Integration: Europe, Asia and the Americas. Routledge, London, pp. 174-196. ISBN 9780203274576

Dávila, Osiel González, Stithou, Mavra, Pescaroli, Gianluca, Pietrantoni, Luca, Koundouri, Phoebe, Díaz-Simal, Pedro, Rulleau, Bénédicte, Touili, Nabil, Hissel, François and Penning-Rowsell, Edmund (2014) Promoting resilient economies by exploring insurance potential for facing coastal flooding and erosion: evidence from Italy, Spain, France and United Kingdom. Coastal Engineering, 87. pp. 183-192. ISSN 0378-3839

Díaz-Cassou, Javier and Erce, Aitor (2011) IMF interventions in sovereign debt restructurings. In: Kolb, Robert W., (ed.) Sovereign Debt: From Safety to Default. The Robert W. Kolb series in finance. John Wiley & Sons, Hoboken, NJ, USA, pp. 179-188. ISBN 9780470922392

Düll, Robert, König, Felix and Ohls, Jana (2017) On the exposure of insurance companies to sovereign risk − portfolio investments and market forces 1. Journal of Financial Stability, 31. pp. 93-106. ISSN 1572-3089

de Felice, Damiano (2014) Banks and human rights: the Thun Group and the UN guiding principles on business and human rights. . London School of Economics and Political Science, London, UK.

de Grauwe, Paul (2002) Book review: central banking as art or science?: lessons from the Fed and the ECB. International Finance, 5 (1). pp. 129-137. ISSN 1468-2362

de Grauwe, Paul (2008) Book review: on the need to renovate the Eurozone. International Finance, 11 (3). pp. 327-333. ISSN 1468-2362

de Grauwe, Paul (2008) Book review: the risks of being chairman in the age of turbulence. International Finance, 11 (1). pp. 109-115. ISSN 1468-2362

de Grauwe, Paul (2002) Challenges for monetary policy in Euroland. Journal of Common Market Studies, 40 (4). pp. 693-718. ISSN 0021-9886

de Grauwe, Paul (2007) De onvoltooide globalisering: verkenning van een nieuwe wereld. Lannoo, Amsterdam, The Netherlands. ISBN 9789078230045

de Grauwe, Paul (2009) The Euro at ten: achievements and challenges. Empirica, 36 (1). pp. 5-20. ISSN 0340-8744

de Grauwe, Paul (2013) The European Central Bank as lender of last resort in the government bond markets. CESifo Economic Studies, 59 (3). pp. 520-535. ISSN 1610-241X

de Grauwe, Paul (2012) The European Central Bank has delegated its lender of last resort duty to panicky bankers who are the slaves of market sentiments. Pumping in over 1,000 billion Euros this way has not stabilized Europe’s sovereign debt markets. LSE European Politics and Policy (EUROPP) Blog (09 Mar 2012). Website.

de Grauwe, Paul (2012) The European central bank: lender of last resort in the government bond markets? In: Allen, Franklin, Carletti, Elena and Simonelli, Saverio, (eds.) Governance for the Eurozone: Integration or Disintegration? FIC Press, Philadelphia, PA, USA, pp. 17-28. ISBN 9780983646945

de Grauwe, Paul (2011) European monetary union. In: Durlauf, Steven N and Blume, Lawrence E., (eds.) The New Palgrave Dictionary of Economics. Palgrave Macmillan, Basingstoke, UK. ISBN 9781137021991

de Grauwe, Paul (2000) Exchange rates in search of fundamentals: the case of the euro-dollar rate. International Finance, 3 (3). pp. 329-356. ISSN 1468-2362

de Grauwe, Paul (2010) Fighting the wrong enemy. VoxEU.

de Grauwe, Paul (2006) Flaws in the design of the Eurosystem? International Finance, 9 (1). pp. 137-144. ISSN 1468-2362

de Grauwe, Paul (2009) Gains for all: a proposal for a common Euro bond. Intereconomics, 44 (3). pp. 132-141. ISSN 0020-5346

de Grauwe, Paul (2012) How not to be a lender of last resort. CEPS commentaries. Centre for European Policy Studies (CEPS), Brussels, Belgium.

de Grauwe, Paul (2010) How to embed the Eurozone in a political union. VoxEU.

de Grauwe, Paul (2001) Independence and accountability of central banks. In: Stiglitz, Joseph E. and Muet, Pierre-Alain, (eds.) Governance, Equity and Global Markets. Oxford University Press, Oxford, UK, pp. 137-142. ISBN 9780199241552

de Grauwe, Paul (2003) La mondialisation met-elle en péril la sécurité sociale? Problemes Economiques, 2801-2. pp. 67-70. ISSN 0032-9304

de Grauwe, Paul (2012) Lessons from the Eurocrisis for East Asian monetary relations. World Economy, 35 (4). pp. 405-418. ISSN 0378-5920

de Grauwe, Paul (2009) Lessons from the banking crisis: a return to narrow banking. CESifo Dice Report, 7 (2). pp. 19-23. ISSN 1612-0663

de Grauwe, Paul (2006) On monetary and political union. CESifo Forum, 4. pp. 3-10. ISSN 1615-245X

de Grauwe, Paul (2010) Quelle gouvernance pour la zone Euro? Revue d'économie Financière, 100. ISSN 1777-5744

de Grauwe, Paul (2008) Returning to narrow banking. In: Eichengreen, Barry and Baldwin, Richard, (eds.) What G20 Leaders Must Do to Stabilise Our Economy and Fix the Financial System. VoxEU.Org books. Centre for Economic Policy Research (Great Britain), London, UK. ISBN 9781907142277

de Grauwe, Paul (2008) There is more to central banking than inflation targeting. In: Felton, Andrew and Reinhart, Carmen M., (eds.) The First Global Financial Crisis of the 21st Century. VoxEU.Org books. Centre for Economic Policy Research (Great Britain), London, UK. ISBN 9780955700934

de Grauwe, Paul (2017) Towards a behavioral theory of the exchange rate. In: Cheung, Yin-Wong and Westermann, Frank, (eds.) International Currency Exposure. CESifo Seminar series. MIT Press, Cambridge, USA, pp. 11-36. ISBN 9780262036405

de Grauwe, Paul (2011) What kind of governance for the Eurozone. In: Meeusen, Wim, (ed.) The Economic Crisis and European Integration. Elgar, Cheltenham, UK, pp. 7-16. ISBN 9781849804202

de Grauwe, Paul (2010) What kind of governance for the eurozone? CEPS policy brief (241). Centre for European Policy Studies, Brussels, Belgium.

de Grauwe, Paul (2010) The banking crisis: causes, consequences and remedies. In: Talani, Leila Simona, (ed.) The Global Crash: Towards a New Global Financial Regime? Palgrave Macmillan, Basingstoke, UK, pp. 10-31. ISBN 9780230243415

de Grauwe, Paul (2010) The fragility of the Eurozone’s institutions. Open Economies Review, 21 (1). pp. 167-174. ISSN 0923-7992

de Grauwe, Paul (2011) The governance of a fragile Eurozone. CEPS working documents (346). Centre for European Policy Studies, Brussels, Belgium. ISBN 9789461380968

de Grauwe, Paul (2012) The governance of a fragile eurozone. Australian Economic Review, 45 (3). pp. 255-268. ISSN 0004-9018

de Grauwe, Paul (2016) The legacy of the Eurozone crisis and how to overcome it. Journal of Empirical Finance, 39 (B). pp. 147-155. ISSN 0927-5398

de Grauwe, Paul (2010) A mechanism of self-destruction of the eurozone. CEPS commentaries. Centre for European Policy Studies, Brussels, Belgium.

de Grauwe, Paul and Camerman, Filip (2003) Are multinationals really bigger than nations? World Economics, 4 (2). pp. 23-37. ISSN 1468-1838

de Grauwe, Paul, Dewachter, Hans and Askoy, Yunus (2000) From EMS to EMU: are we better off? In: Eichengreen, Barry and Frieden, Jeffry A., (eds.) The Political Economy of European Monetary Unification. Westview Press, Boulder, CO, USA, pp. 157-178. ISBN 9780813397610

de Grauwe, Paul and Foresti, Pasquale (2016) Fiscal rules, financial stability and optimal currency areas. Economics Letters, 145 (C). pp. 278-281. ISSN 0165-1765

de Grauwe, Paul and Gerba, Eddie (2016) Monetary transmission under competing corporate finance regimes. FinMaP working papers (52). FinMaP, London, UK.

de Grauwe, Paul and Gerba, Eddie (2017) Monetary transmission under competing corporate finance regimes = Transmisión monetaria bajo regímenes alternativos de finanzas corporativas. Ensayos Sobre Política Económica, 35 (82). pp. 78-100. ISSN 0120-4483

de Grauwe, Paul and Gerba, Eddie (2015) Stock market cycles and supply side dynamics. FinMaP working paper (45). FinMaP, Kiel, Germany.

de Grauwe, Paul and Gerba, Eddie (2015) Stock market cycles and supply side dynamics: two worlds, one vision. CESifo working paper series (5573). The CESifo Group, Munich, Germany.

de Grauwe, Paul and Gerba, Eddie (2015) Stock market cycles and supply side dynamics: two worlds, one vision? CESifo Working Paper (5573). Centre for Economic Studies & Ifo Institute, Munich.

de Grauwe, Paul and Grimaldi, Marianna (2005) Effects of monetary policy: a meta-analysis. In: Deville, V., von Landsberger, J., Müller, M., Schobert, F. and Worms, A., (eds.) Issues on Monetary Theory and Policy: Proceedings of a Colloquium in Honour of Wolfgang Gebauer. Bankakademie Verlag, Frankfurt, Germany. ISBN 9783937519210

de Grauwe, Paul and Grimaldi, Marianna (2006) Exchange rate puzzles: a tale of switching attractors. European Economic Review, 50 (1). pp. 1-33. ISSN 0014-2921

de Grauwe, Paul and Grimaldi, Marianna (2002) Exchange rate regimes and financial vulnerability. EIB Papers, 7 (2). pp. 33-48. ISSN 0257-7755

de Grauwe, Paul and Grimaldi, Marianna (2005) Heterogeneity of agents, transactions costs and the exchange rate. Journal of Economic Dynamics and Control, 29 (4). pp. 691-719. ISSN 0165-1889

de Grauwe, Paul and Grimaldi, Marianna (2005) The exchange rate and its fundamentals in a complex world. Review of International Economics, 13 (3). pp. 549-575. ISSN 0965-7576

de Grauwe, Paul and Grimaldi, Marianna (2006) The exchange rate in behavioral finance framework. Princeton University Press, Princeton, NJ, USA. ISBN 9780691121635

de Grauwe, Paul and Grimaldi, Marianna (2001) The mystery of the decline of the euro. Aussenwirtschaft, 56 (iv). pp. 459-476. ISSN 0004-8216

de Grauwe, Paul and Ji, Yuemei (2012) Mispricing of sovereign risk and multiple equilibria in the Eurozone. CEPS working documents (316). Centre for European Policy Studies, Brussels, Belgium. ISBN 9789461381620

de Grauwe, Paul and Ji, Yuemei (2013) Self-fulfilling crises in the Eurozone: an empirical test. Journal of International Money and Finance, 34. pp. 15-36. ISSN 0261-5606

de Grauwe, Paul, Ji, Yuemei and Macchiarelli, Corrado (2017) Fundamentals versus market sentiments in the euro bond markets: implications for QE. SRC Special Paper Series (No 12). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

de Grauwe, Paul and Kaltwasser, Pablo Rovira (2012) The exchange rate in a behavioral finance framework. In: James, Jessica, Marsh, Ian and Sarno, Lucio, (eds.) Handbook of Exchange Rates. Wiley handbooks in financial engineering and econometrics. Wiley-Blackwell, New Jersey, USA, pp. 111-132. ISBN 9780470768839

de Grauwe, Paul and Macchiarelli, Corrado (2015) Animal spirits and credit cycles. Journal of Economic Dynamics and Control, 59. pp. 95-117. ISSN 0165-1889

de Grauwe, Paul and Markiewicz, Agnieszka (2013) Learning to forecast the exchange rate: two competing approaches. Journal of International Money and Finance, 32. pp. 42-76. ISSN 0261-5606

de Grauwe, Paul, Mayer, Thomas and Lannoo, Karel (2008) Lessons from the financial crisis: new rules for central banks and credit rating agencies? Intereconomics, 43 (5). pp. 256-266. ISSN 0020-5346

de Grauwe, Paul and Mongelli, Francesco (2004) Endogeneities of optimum currency areas. In: Sørensen, Peter Birch, (ed.) Monetary Union in Europe: Historical Perspectives and Prospects for the Future - Sssays in Honour of Niels Thygesen. DJØF Publishing, Copenhagen, Denmark. ISBN 9788757411171

de Grauwe, Paul and Polan, Magdalena (2001) Increased capital mobility: a challenge for national macroeconomic policies. In: Siebert, Horst, (ed.) The World's New Financial Landscape: Challenges for Economic Policy. Springer Berlin / Heidelberg, Heidelberg, Germany, pp. 177-194. ISBN 9783540419921

de Grauwe, Paul and Rovira Kaltwasser, Pablo (2012) Animal spirits in the foreign exchange market. Journal of Economic Dynamics and Control, 36 (8). pp. 1176-1192. ISSN 0165-1889

de Grauwe, Paul and Schnabl, Gunther (2004) EMU entry strategies for the new member states. Intereconomics, 39 (5). pp. 241-246. ISSN 0020-5346

de Grauwe, Paul and Schnabl, Gunther (2008) Exchange rate stability, inflation, and growth in (South) Eastern and Central Europe. Review of Development Economics, 12 (3). pp. 530-549. ISSN 1363-6669

de Grauwe, Paul and Senegas, Marc-Alexandre (2004) Asymmetries in monetary policy transmission: some implications for EMU and its enlargement. Journal of Common Market Studies, 42 (4). pp. 757-773. ISSN 0021-9886

de Grauwe, Paul and Senegas, Marc-Alexandre (2006) Monetary policy design and transmission asymmetry in EMU: does uncertainty matter? European Journal of Political Economy, 22 (4). pp. 787-808. ISSN 0176-2680

de Grauwe, Paul and Skudelny, Frauke (2002) Inflation and productivity differentials in EMU. In: Hairault, Jean-Olivier and Kempf, Hubert, (eds.) Market Imperfections and Macroeconomic Dynamics. Kluwer Academic Publishers, Boston, MA, USA, pp. 77-104. ISBN 9780792374046

de Grauwe, Paul and Skudelny, Frauke (2000) The impact of EMU on trade flows. Weltwirtschaftliches Archiv, 136 (3). pp. 381-402. ISSN 0043-2636

de Grauwe, Paul and Vansteenkiste, Isabel (2007) Exchange rates and fundamentals: a non-linear relationship? International Journal of Finance and Economics, 12 (1). pp. 37-54. ISSN 1076-9307

de Grauwe, Paul and Westermann, Frank (2012) Financial market regulation in Europe. In: Buettner, Thiess and Ochel, Wolfgang, (eds.) The Continuing Evolution of Europe. CESifo seminar series. MIT Press, Massachusetts, USA, pp. 9-32. ISBN 9780262017015

de Mevius, Francois-Xavier and Jacob, Arun (2013) Thinking about national plans. International Growth Centre Blog (04 Dec 2013). Blog Entry.

de Meza, David (1992) Insurance markets. In: Newman, P., Milgate, M. and Eatwell, J., (eds.) The New Palgrave Dictionary of Finance. Palgrave Macmillan, New York, USA. ISBN 9780333527221

de Meza, David (1980) LDC policy towards multinationals: a case for payroll taxes and capital subsidies. Economics Letters, 5 (4). pp. 367-370. ISSN 0165-1765

de Meza, David (1977) Multinational corporations in LDCs: a comment. Oxford Bulletin of Economics and Statistics, 39 (3). pp. 237-241. ISSN 0305-9049

de Meza, David (1992) Signalling and screening equilibria. In: Newman, P., Milgate, M. and Eatwell, J., (eds.) The New Palgrave Dictionary of Money and Finance. Palgrave Macmillan, New York, USA. ISBN 9780333527221

de Meza, David (1983) The transfer problem in a many-country world - is it better to give than receive? Manchester School, 51 (3). pp. 266-273. ISSN 1463-6786

de Meza, David and Black, Jane (1994) The nature of credit market failure. Economics Letters, 46 (3). pp. 243-249. ISSN 0165-1765

de Meza, David, Irlenbusch, Bernd and Reyniers, Diane (2008) Financial capability: a behavioural economics perspective. Consumer research (69). The Financial Services Authority, London, UK.

de Meza, David, Irlenbusch, Bernd and Reyniers, Diane J. (2007) Information versus persuasion: experimental evidence on salesmanship, mandatory disclosure and the purchase of income and loan payment protection insurance. . The Financial Services Authority, London, UK.

de Meza, David and Lockwood, Ben (2004) Spillovers, investment incentives and the property rights theory of the firm. Journal of Industrial Economics, 52 (2). pp. 229-253. ISSN 0022-1821

de Meza, David and Lockwood, Ben (2010) Too much investment?: a problem of endogenous outside options. Games and Economic Behavior, 69 (2). pp. 503-511. ISSN 0899-8256

de Meza, David, Maloney, John and Myles, Gareth D. (1995) Price reducing taxtion. Economics Letters, 47 (1). pp. 77-81. ISSN 0165-1765

de Meza, David and Osborne, Michael (1982) Problems in price theory. University of Chicago. Press, Chicago, USA. ISBN 9780226142944

de Meza, David and Reyniers, Diane J. (2017) Motivating consumers to make better financial decisions through behavioural economics. Management with Impact (20 Feb 2017). Website.

de Meza, David and Selvaggi, Mariano (2007) Exclusive contracts foster relationship-specific investment. RAND Journal of Economics, 38 (1). pp. 85-97. ISSN 0741-6261

de Meza, David and Webb, David C. (2001) Advantageous selection in insurance markets. RAND Journal of Economics, 32 (2). pp. 249-262. ISSN 0741-6261

de Meza, David and Webb, David C. (1988) Credit market efficiency and tax policy in the presence of screening costs. Journal of Public Economics, 36 (1). pp. 1-22. ISSN 0047-2727

de Meza, David and Webb, David C. (1992) Efficent credit rationing. European Economic Review, 36 (6). pp. 1277-1290. ISSN 0014-2921

de Meza, David and Webb, David C. (2017) False diagnoses: pitfalls of testing for asymmetric information in insurance markets. The Economic Journal, 127 (606). 2358 - 2377. ISSN 0013-0133

de Meza, David and Webb, David C. (2006) Incentive design under loss aversion. Financial Markets Group Discussion Papers (571). Financial Markets Group, The London School of Economics and Political Science, London, UK.

de Meza, David and Webb, David C. (2001) Saving eliminates credit rationing. Financial Markets Group Discussion Papers (391). Financial Markets Group, The London School of Economics and Political Science, London, UK. (Submitted)

de Meza, David and Webb, David C. (2003) The near impossibility of credit rationing. Financial Markets Group Discussion Papers (459). Financial Markets Group, The London School of Economics and Political Science, London, UK.

de Meza, David and von Ungern-Sternberg, T. (1980) Market structure and optimal stockholding: a note. Journal of Political Economy, 88 (2). pp. 395-399. ISSN 0022-3808

de Quidt, Jonathan, Fetzer, Thiemo and Ghatak, Maitreesh ORCID: 0000-0002-6231-5580 (2018) Market structure and borrower welfare in microfinance. The Economic Journal, 128 (610). pp. 1019-1046. ISSN 0013-0133

de Quidt, Jonathan and Ghatak, Maitreesh ORCID: 0000-0002-6231-5580 (2018) Is the credit worth it? For-profit lenders in microfinance with rational and behavioral borrowers. Annals of Public and Cooperative Economics, 89 (1). pp. 175-199. ISSN 1370-4788

de Roure, Calebe and Tasca, Paolo (2014) Bitcoin and the PPP Puzzle. Systemic Risk Centre Discussion Papers (16). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

de Santos, Robbie and Lloyd, Toby (2013) Why the government’s Help to Buy scheme won’t reach the right people. British Politics and Policy at LSE (27 Jun 2013). Website.

de Sousa, Luís (2016) Barroso and Goldman Sachs: has the EU regulatory state yielded to big business interests? LSE European Politics and Policy (EUROPP) Blog (22 Jul 2016). Website.

de Vries, Gerdien (2016) PR gone wrong: the backlash effect of window dressing. LSE Business Review (06 Oct 2016). Website.

de Vries, Gijs (2022) Book review: Financial accountability in the European Union: institutions, policy and practice edited by Paul Stephenson, María-Luisa Sánchez-Barrueco and Hartmut Aden. LSE Review of Books (14 Mar 2022). Blog Entry.

E

Earle, John S and Estrin, Saul ORCID: 0000-0002-3447-8593 (2003) Privatization, competition and budget constraints: disciplining enterprises in Russia. Economics of Planning, 36 (1). pp. 1-22. ISSN 1573-9414

Economides, Spyros (2011) Viewpoint: the politics of Greece’s financial crisis. LSE Greece@LSE (27 Jun 2011). Website.

Edmans, Alex, Gabaix, Xavier and Jenter, Dirk ORCID: 0000-0003-4168-9329 (2017) Executive compensation: a survey of theory and evidence. In: Hermalin, Benjamin and Weisbach, Michael S., (eds.) The Handbook of the Economics of Corporate Governance. Handbooks in economics. Elsevier, Amsterdam, 383 - 539. ISBN 9780444635303

Edmans, Alex, Gabaix, Xavier and Jenter, Dirk ORCID: 0000-0003-4168-9329 (2017) Executive compensation: a survey of theory and evidence. Financial Markets Group Discussion Papers (767). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Edmans, Alex, Goncalves-Pinto, Luis, Groen-Xu, Moqi and Wang, Yanbo (2018) Strategic news releases in equity vesting months. Review of Financial Studies, 31 (11). 4099 - 4141. ISSN 0893-9454

Edmans, Alex, Gosling, Tom and Jenter, Dirk ORCID: 0000-0003-4168-9329 (2021) CEO compensation: evidence from the field. Financial Markets Group Discussion Papers (836). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Edmans, Alex, Gosling, Tom and Jenter, Dirk ORCID: 0000-0003-4168-9329 (2023) CEO compensation: evidence from the field. Journal of Financial Economics, 150 (3). ISSN 0304-405X

Eichengreen, Barry, Aksoy, Cevat and Saka, Orkun (2020) Revenge of the experts: will COVID-19 renew or diminish public trust in science? Systemic Risk Centre Discussion Papers (106). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Eichengreen, Barry, El-Erian, Mohamed, Fraga, Arminio, Ito, Takatoshi, Pisani-Ferry, Jean, Prasad, Eswar, Rajan, Raghuram, Ramos, Maria, Reinhart, Carmen M., Rey, Hélène, Rodrik, Dani, Rogoff, Kenneth S., Shin, Hyun Song, Velasco, Andres ORCID: 0000-0003-0441-5062, di Mauro, Beatrice Weder and Yu, Yongding (2011) Rethinking central banking: committee on international economic policy and reform. Brookings Institution, Washington, DC.

Eijffinger, Sylvester, Huizinga, Harry and Lemmen, Jan (1997) Short-term and long-term government debt and non-resident interest withholding taxes. Financial Markets Group Discussion Papers (275). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Eiser, David (2015) In Scotland, public appetite for further fiscal decentralisation is fuelled by greater levels of trust in Holyrood than in Westminster. Democratic Audit UK (26 Aug 2015). Website.

Ekholm, Anders (2014) Finland’s economic woes: Competitiveness through unemployment. Euro Crisis in the Press (25 Sep 2014). Website.

Elaluf-Calderwood, Silvia (2010) Historical-interpretive considerations about money as a unit of value and scale-dependent phenomenon. In: Altman, Eitan, Dini, Paolo, Miorandi, Daniele and Schreckling, Daniel, (eds.) Paradigms for Biologically-Inspired Autonomic Networks and Services: the Bionets Project Ebook. BIONETS Consortium, pp. 279-292.

Elaluf-Calderwood, Silvia (2014) The future of big and open data and its impact on the digital economy – notes from our participation at #HICSS47. Network Economy Forum (21 Jan 2014). Website.

Elaluf-Calderwood, Silvia and Liebenau, Jonathan (2013) Economic health of the internet ecosystem: briefing from CAIDA’s 2013 workshop. Network Economy Forum (20 Dec 2013). Website.

Elfer, James (2017) FTSE100 gender balance: Why ‘best practices’ may be counter-productive. LSE Business Review Blog (17 Nov 2017). Website.

Ellington, Michael and Milas, Costas (2017) How will a Bank of England interest rate hike affect the economy? British Politics and Policy Blog (01 Nov 2017). Website.

Ellington, Michael and Milas, Costas (2017) Why the Bank of England should change how it publishes the future path of interest rates. British Politics and Policy Blog (08 Nov 2017). Website.

Elliott, Rebecca ORCID: 0000-0001-6983-7026 (2021) Insurance and the temporality of climate ethics: accounting for climate change in US flood insurance. Economy and Society, 50 (2). 173 - 195. ISSN 1469-5766

Ellis, Andrew ORCID: 0000-0002-7552-4832 and Piccione, Michele (2017) Correlation misperception in choice. American Economic Review, 107 (4). pp. 1264-1292. ISSN 0002-8282

Ellison, Martin and Tischbirek, Andreas (2018) Beauty contests and the term structure. CFM Discussion Paper Series (CFMDP2018-07). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Ellul, Andrew, Holden, Craig W., Jain, Pankaj and Jennings, Robert (2003) A comprehensive test of order choice theory: recent evidence from the NYSE. Financial Markets Group Discussion Papers (471). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ellul, Andrew, Jappelli, Tullio, Pagano, Marco and Panunzi, Fausto (2012) Transparency, tax pressure and access to finance. Financial Markets Group Discussion Papers (705). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ellul, Andrew, Jotikasthira, Chotibhak, Lundblad, Christian and Wang, Yihui (2012) Is historical cost accounting a panacea? Market stress, incentive distortions, and gains trading. Financial Markets Group Discussion Papers (701). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ellul, Andrew, Jotikasthira, Chotibhak, Lundblad, Christian T. and Wang, Yihui (2013) Mark-to-market accounting and systemic risk: evidence from the insurance industry. Systemic Risk Centre Discussion Papers (4). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ellul, Andrew, Pagano, Marco and Schivardi, Fabiano (2014) Employment and wage insurance within firms: worldwide evidence. Financial Markets Group Discussion Papers (735). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ellul, Andrew, Shin, Hyun Song and Tonks, Ian (2004) Opening and closing the market: evidence from the London Stock Exchange. Financial Markets Group Discussion Papers (506). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Elsayed, Ahmed H. and Sousa, Ricardo M. (2022) International monetary policy and cryptocurrency markets: dynamic and spillover effects. European Journal of Finance. ISSN 1351-847X

Emmerling, Johannes, Groom, Ben ORCID: 0000-0003-0729-143X and Wettingfield, Tanja (2017) Discounting and the representative median agent. Economics Letters, 161. pp. 78-81. ISSN 0165-1765

Engle, R. F. and Patton, Andrew J. (2001) What good is a volatility model? Quantitative Finance, 1 (2). 237 - 245. ISSN 1469-7688

Engle, Robert F. and Patton, Andrew J. (2004) Impacts of trades in an error-correction model of quote prices. Journal of Financial Markets, 7 (1). pp. 1-25. ISSN 1386-4181

Engle, Robert F. and Patton, Andrew J. (2007) What good is a volatility model? In: Knight, John and Satchell, Stephen, (eds.) Forecasting Volatility in the Financial Markets. Elsevier, 47 - 63. ISBN 9780750669429

Ensslin, Leonardo, Montibeller, Gilberto and de Lima, Marcus Vinicius A. (2000) Constructing and implementing a DSS to help evaluate perceived risk of accounts receivable. In: Haimes, Yacov Y. and Steuer, Ralph E., (eds.) Research and Practice in Multiple Criteria Decision Making. Lecture notes in economics and mathematical systems. Springer Berlin / Heidelberg, Berlin, Germany, pp. 248-259. ISBN 9783540672661

Eppinger, Peter S. and Neugebauer, Katja (2017) External financial dependence and firms' crisis performance across Europe. Systemic Risk Centre Discussion Papers (65). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Eppinger, Peter S. and Neugebauer, Katja (2022) External financial dependence and firms' crisis performance across Europe. Empirical Economics, 62 (2). 887 - 904. ISSN 0377-7332

Ergun, Lerby and Uthemann, Andreas (2020) Higher-order uncertainty in financial markets: evidence from a consensus pricing service. Systemic Risk Centre Discussion Papers (98). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ergun, Lerby M. (2016) Disaster and fortune risk in asset returns. Systemic Risk Centre Discussion Papers (59). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ericson, Keith Marzilli, Kircher, Philipp and Spinnewijn, Johannes (2020) Inferring risk perceptions and preferences using choice from insurance menus: theory and evidence. Economic Journal. ISSN 0013-0133

Ericsson, Jan and Renault, Olivier (2000) Liquidity and credit risk. Financial Markets Group Discussion Papers (362). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Esho, Neil, Kollo, Michael G. and Sharpe, Ian G. (2004) Eurobond underwriter spreads. Financial Markets Group Discussion Papers (503). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Eskander, Shaikh M.S.U. and Barbier, Edward B. (2017) Tenure security, human capital and soil conservation in an overlapping generation rural economy. Ecological Economics, 135. pp. 176-185. ISSN 0921-8009

Espinoza, Raphael A., Goodhart, Charles and Tsomocos, Dimitrios P. (2007) Endogenous state prices, liquidity, default, and the yield curve. Financial Markets Group Discussion Papers (583). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Espinoza, Raphael A., Goodhart, Charles and Tsomocos, Dimitrios P. (2009) State prices, liquidity, and default. Economic Theory, 39 (2). pp. 177-194. ISSN 0938-2259

Esposito, Mark (2014) Do we want to solve the Eurocrisis? Let’s look south! Euro Crisis in the Press (31 Jan 2014). Website.

Esteve, Vicente and Prats, María A. (2023) Testing explosive bubbles with time-varying volatility: the case of Spanish public debt. Finance Research Letters, 51. ISSN 1544-6123

Estrin, Saul ORCID: 0000-0002-3447-8593 (2014) How does foreign direct investment (FDI) affect domestic entrepreneurship? In: Kolodko, Grzegorz, W., (ed.) Management and Economic Policy for Development. Nova Science Publishers, New York, USA, pp. 53-72. ISBN 9781631176067

Estrin, Saul ORCID: 0000-0002-3447-8593 (2016) Why is there so little foreign direct investment in the Western Balkans? LSE Business Review (27 Oct 2016). Website.

Estrin, Saul ORCID: 0000-0002-3447-8593, Gozman, Daniel and Khavul, Susanna (2016) Case study of the equity crowdfunding landscape in London: an entrepreneurial and regulatory perspective. Fires. Utrecht University, Faculty of Law, Economics and Governance, Utrecht.

Estrin, Saul ORCID: 0000-0002-3447-8593, Gozman, Daniel and Khavul, Susanna (2017) Equity crowdfunding and early stage entrepreneurial finance: damaging or disruptive? CEP Discussion Papers (CEPDP1498). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Estrin, Saul ORCID: 0000-0002-3447-8593, Gozman, Daniel and Khavul, Susanna (2018) The evolution and adoption of equity crowdfunding: entrepreneur and investor entry into a new market. Small Business Economics, 51 (2). pp. 425-439. ISSN 0921-898X

Estrin, Saul ORCID: 0000-0002-3447-8593, Hare, P. and Suranyi, M. (1992) Banking in transition: development and current problems in Hungary. CEP discussion paper (68). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Estrin, Saul ORCID: 0000-0002-3447-8593, Hughes, Kirsty and Todd, Sarah (1997) Foreign direct investment in central and eastern Europe: multinationals in transition. Royal Institute of International Affairs, London, UK. ISBN 9781855674813

Estrin, Saul ORCID: 0000-0002-3447-8593 and Khavul, Susanna (2016) Can crowdfunding solve market failures? Management with Impact (19 Sep 2016). Website.

Estrin, Saul ORCID: 0000-0002-3447-8593 and Khavul, Susanna (2016) Crowdfunding solves market failures in new venture financing. LSE Business Review (30 Mar 2016). Website.

Estrin, Saul ORCID: 0000-0002-3447-8593 and Khavul, Susanna (2016) Equity crowdfunding: a new model for financing entrepreneurship? Centrepiece, 30 (3). pp. 6-9. ISSN 1362-3761

Estrin, Saul ORCID: 0000-0002-3447-8593, Khavul, Susanna, Kritikos, Alexander S. and Löher, Jonas (2024) Access to digital finance: equity crowdfunding across countries and platforms. PLOS ONE, 19 (1). ISSN 1932-6203

Estrin, Saul ORCID: 0000-0002-3447-8593, Khavul, Susanna and Wright, Mike (2022) Soft and hard information in equity crowdfunding: network effects in the digitalization of entrepreneurial finance. Small Business Economics, 58 (4). 1761 - 1781. ISSN 0921-898X

Estrin, Saul ORCID: 0000-0002-3447-8593, Lazarova, Stepana and Urga, Giovanni (2001) Convergence in transition countries - focus on investment. Economics of Planning, 34 (3). pp. 215-230. ISSN 1573-9414

Estrin, Saul ORCID: 0000-0002-3447-8593, Liang, Zhixiang, Shapiro, Daniel and Carney, Michael (2018) State capitalism, economic systems and the performance of state owned firms. Acta Oeconomica, 69 (S1). pp. 175-193. ISSN 0001-6373

Estrin, Saul ORCID: 0000-0002-3447-8593 and Meyer, Klaus (2001) Brownfield entry in emerging markets. Journal of International Business Studies, 32 (3). pp. 575-584. ISSN 0047-2506

Etesami, Jalal, Habibnia, Ali and Kiyavash, Negar (2017) Econometric modeling of systemic risk: going beyond pairwise comparison and allowing for nonlinearity. Systemic Risk Centre Discussion Papers (66). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Evangelopoulos, Georgios (2016) The agent-structure issue in foreign policy analysis (FPA) – the “Macedonian” issue. LSE Greece@LSE (10 Feb 2016). Website.

Evans, Amelia and Winstanley, Stephen (2015) UN FORUM SERIES – asking the basic questions: are voluntary standard-setting initiatives protecting human rights? Measuring Business and Human Rights (20 Nov 2015). Website.

Evans, Tom (2016) Why the BT-EE merger challenges Ofcom’s wholesale remedies. Media Policy Blog (19 Jan 2016). Website.

Everson, Michelle (2012) A technology of expertise: EU financial services agencies. LSE 'Europe in Question' discussion paper series (49/2012). London School of Economics and Political Science, London.

Exadaktylos, Theofanis (2011) Eureka? The entrepreneurial spirit in public debts. LSE Greece@LSE (24 Oct 2011). Website.

Exley, Sonia (2016) Inside and outside the school gates: impacts of poverty on children’s education. In: Tucker, Josephine, (ed.) Improving Children’s Life Chances. Child Poverty Action Group (Great Britain). ISBN 9781910715208

Eyckmans, Johan, Fankhauser, Sam ORCID: 0000-0003-2100-7888 and Kverndokk, Snorre (2016) Development aid and climate finance. Environmental and Resource Economics, 63 (2). pp. 429-450. ISSN 0924-6460

Eyles, Andrew, Blanden, Jo and Machin, Stephen (2021) Trends in intergenerational home ownership and wealth transmission. CEP Discussion Papers (1756). Centre for Economic Performance, LSE, London, UK.

Eyster, Erik, Madarász, Kristóf and Michaillat, Pascal (2015) Preferences for fair prices, cursed inferences, and the nonneutrality of money. CEP Discussion Papers (CEPDP1325). Centre for Economic Performance (CEP), London, UK.

Eyster, Erik and Piccione, Michele (2013) An approach to asset-pricing under incomplete and diverse perceptions. Econometrica, 81 (4). pp. 1483-1506. ISSN 0012-9682

Eyster, Erik, Rabin, Matthew and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2019) Financial markets where traders neglect the informational content of prices. Journal of Finance, 74 (1). pp. 371-399. ISSN 0022-1082

Eyster, Erik, Rabin, Matthew and Vayanos, Dimitri (2017) Financial markets where traders neglect the informational content of prices. Financial Markets Group Discussion Papers (770). Financial Markets Group, The London School of Economics and Political Science, London, UK.

F

Faguet, Jean-Paul ORCID: 0000-0002-7188-0098 (2015) Bolivia after the Boom: Are hard times coming? Q&A with Jean-Paul Faguet. International Development (19 Oct 2015). Website.

Faguet, Jean-Paul ORCID: 0000-0002-7188-0098 and Shami, Mahvish (2008) Fiscal policy and spatial inequality in Latin America and beyond. Policy research working paper series. World Bank, Washington, DC, USA.

Faia, Ester, Laffitte, Sebastien and Ottaviano, Gianmarco I. P. (2018) Foreign expansion, competition and bank risk. CEP Discussion Papers (CEPDP1567). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Faia, Ester and Ottaviano, Gianmarco I. P. (2017) Global banking: Risk taking and competition. CEP Discussion Papers (CEPDP1471). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Faia, Ester, Ottaviano, Gianmarco I. P. and Sanchez Arjona, Irene (2017) International expansion and riskiness of Banks. CEP Discussion Papers (CEPDP1481). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Fairfield, Tasha and Jorratt, Michel (2014) Top income shares, business profits, and effective tax rates in contemporary Chile. ICTD working paper (17). Institute of Development Studies (Brighton, England), Brighton, UK. ISBN 9781781181508

Falcetti, E. and Milner, S. (1999) The currency denomination of public debt and the choice of the monetary regime. CEPDP (427). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Falkingham, J., Hills, John and Lessof, C. (1992) Life's rich rewards. Financial Times. ISSN 0307-1766

Fankhauser, Samuel ORCID: 0000-0003-2100-7888 and Gennaioli, Caterina ORCID: 0000-0002-4058-4675 (2019) CCCCEP II: The political economics of climate finance 1990-2014. [Dataset]

Fankhauser, Samuel ORCID: 0000-0003-2100-7888 and Hepburn, Cameron (2010) Designing carbon markets, part I: carbon markets in time. Energy Policy, 38 (8). pp. 4363-4370. ISSN 0301-4215

Fankhauser, Samuel ORCID: 0000-0003-2100-7888, Sahni, Aditi, Savvas, Annie and Ward, John (2016) Where are the gaps in climate finance? Climate and Development, 8 (3). pp. 203-206. ISSN 1756-5529

Faraglia, Elisa, Marcet, Albert and Scott, A. (2011) In search of a theory of debt management. CEP Discussion Papers (CEPDP1083). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Farboodi, Maryam and Kondor, Peter (2021) Cleansing by tight credit: rational cycles and endogenous lending standards. Financial Markets Group Discussion Papers (843). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Farboodi, Maryam and Kondor, Peter (2023) Cleansing by tight credit: rational cycles and endogenous lending standards. Journal of Financial Economics, 150 (1). 46 - 67. ISSN 0304-405X

Farboodi, Maryam and Kondor, Peter (2018) Heterogeneous global cycles. Financial Markets Group Discussion Papers (781). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Farhi, Emmanuel and Panageas, Stavros (2007) Saving and investing for early retirement: a theoretical analysis. Journal of Financial Economics, 83 (1). pp. 87-121. ISSN 0304-405X

Farmer, J. Doyne, Goodhart, C. A. E. and Kleinnijenhuis, Alissa M. (2021) Systemic implications of the bail-in design. CEPR discussion papers (DP16509). Centre for Economic Policy Research (Great Britain), London, UK.

Farmer, J. Doyne, Goodhart, C. A. E. and Kleinnijenhuis, Alissa M. (2020) Systemic implications of the bail-in design: a precis of our main text. SUERF Policy Notes (257). SUERF The European Money and Finance Forum, Vienna, AT.

Farmer, J. Doyne, Goodhart, C. A. E. and Kleinnijenhuis, Alissa M. (2021) The current bail-in design does not resolve the too-big-to-fail problem. VoxEU.

Farooquee, Arsalan (2020) The Covid crisis will delay but not derail the energy transition. LSE Business Review (11 May 2020). Blog Entry.

Farrer, Shelley, Boyle, Sean and Yi, Deokhee (2011) Payment by results. In: Dixon, A. and Mays, N., (eds.) Understanding New Labour’s Market Reforms of the English Nhs. King’s Fund (London, England), pp. 66-77. ISBN 9781857176261

Fasan, Olu (2015) Africa must industrialise and trade more to achieve the #SDGs. Africa at LSE (22 Oct 2015). Website.

Fasan, Olu (2015) Nigeria’s import restrictions: A bad policy that harms trade relations. Africa at LSE (17 Aug 2015). Website.

Faure-Grimaud, Antoine (1996) Soft budget constraint and stock price information. Financial Markets Group Discussion Papers (251). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Faure-Grimaud, Antoine and Inderst, Roman (2005) Conglomerate entrenchment under optimal financial contracting. American Economic Review, 95 (3). 850 - 861. ISSN 0002-8282

Faure-Grimaud, Antoine and Inderst, Roman (2004) Conglomerate entrenchment under optimal financial contracting. Financial Markets Group Discussion Papers (521). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Faure-Grimaud, Antoine, Laffont, Jean-Jacques and Martimort, David (2000) A theory of supervision with endogenous transaction costs. Annals of Economics and Finance, 1 (2). pp. 231-263. ISSN 1529-7373

Faure-Grimaud, Antoine, Laffont, Jean-Jacques and Martimort, David (1998) A theory of supervision with endogenous transaction costs. TE (356). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Faure-Grimaud, Antoine, Peyrache, Eloic and Quesada, Lucia (2007) The ownership of ratings. Financial Markets Group Discussion Papers (590). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Faure-Grimaud, Antoine, Peyrache, Eloic and Quesada, Lucia (2009) The ownership of ratings. RAND Journal of Economics, 40 (2). pp. 234-257. ISSN 0741-6261

Favero, Carlo A., Gozluklu, Arie E. and Tamoni, Andrea (2011) Demographic trends, the dividend-price ratio, and the predictability of long-run stock market returns. Journal of Financial and Quantitative Analysis, 46 (05). pp. 1493-1520. ISSN 0022-1090

Favero, Carlo A., Ortu, Fulvio, Tamoni, Andrea and Yang, Haoxi (2019) Implications of return predictability for consumption dynamics and asset pricing. Journal of Business and Economic Statistics. ISSN 0735-0015

Favilukis, Jack (2013) Inequality, stock market participation, and the equity premium. Journal of Financial Economics, 107 (3). pp. 740-759. ISSN 0304-405X

Favilukis, Jack (2011) International capital flows and house prices: theory and evidence. In: Glaeser, Edward and Sinai, Todd, (eds.) Housing and the Financial Crisis. National Bureau of Economic Research, Massachusetts, USA. ISBN 9780226030586

Favilukis, Jack and Lin, Xiaoji (2013) Long run productivity risk and aggregate investment. Journal of Monetary Economics, 60 (6). pp. 737-751. ISSN 0304-3932

Favilukis, Jack and Lin, Xiaoji (2011) Micro frictions, asset pricing, and aggregate implications. . Social Science Research Network (SSRN).

Favilukis, Jack and Lin, Xiaoji (2011) Micro frictions, asset pricing, and aggregate implications. Financial Markets Group Discussion Papers (673). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Favilukis, Jack and Lin, Xiaoji (2012) Wage rigidity: a solution to several asset pricing puzzles. .

Favilukis, Jack, Ludvigson, Sydney C. and Van Nieuwerburgh, Stijn (2012) Foreign ownership of U.S. safe assets: good or bad? Finance working papers (FIN-11-057). Leonard N. Stern School of Business, New York University, New York, USA.

Favilukis, Jack, Ludvigson, Sydney C. and Van Nieuwerburgh, Stijn (2012) The macroeconomic effects of housing wealth, housing finance, and limited risk-sharing in general equilibrium. Finance working papers (FIN-11-054). Leonard N. Stern School of Business, New York University, New York, USA.

Favotto, Alvise and Kollman, Kelly (2015) Corporate social responsibility in an era of economic crisis: Empty gesture or tool for corporate learning? Euro Crisis in the Press (19 Mar 2015). Website.

Featherstone, Kevin (1991) 1992: the European challenge for U.S. business: issues and interests. Economic Development Quarterly, 5 (2). pp. 104-113. ISSN 0891-2424

Featherstone, Kevin (1998) Cyprus. In: Dinan, Desmond, (ed.) Encyclopedia of the European Union. Palgrave Macmillan, Basingstoke, UK, pp. 143-147. ISBN 9780333712627

Featherstone, Kevin (1993) The EC and the US: managing interdependence. In: Lodge, Juliet, (ed.) The European Community and the Challenge of the Future. Pinter (Firm), London, UK, pp. 271-282. ISBN 0312099789

Featherstone, Kevin (2012) The Euro was locked into its current crisis twenty years ago by the Maastricht negotiators, who ceded authority to the financial markets. LSE European Politics and Policy (EUROPP) Blog (13 Mar 2012). Website.

Featherstone, Kevin (1997) Europe on course for a single currency: the challenge for the Blair Government. Credit Management, July 1. ISSN 0265-2099

Featherstone, Kevin (1989) European internal market policy. Spicers European policy reports. Routledge, London, UK. ISBN 9780415038270

Featherstone, Kevin (2008) Greece and EMU: a suitable accommodation? In: Dyson, Kenneth, (ed.) The Euro at Ten: Europeanization, Power, and Convergence. Oxford University Press, Oxford, UK, pp. 165-181. ISBN 9780199208869

Featherstone, Kevin (2011) The Greek sovereign debt crisis and EMU: a failing state in a skewed regime. Journal of Common Market Studies, 49 (2). pp. 193-217. ISSN 1468-5965

Featherstone, Kevin (1998) The Major Government and EMU: an analysis of a strategic failure. In: University Association for Contemporary European Studies 28th Annual Conference, 1998-01-05 - 1998-01-07, Leicester, United Kingdom. (Submitted)

Featherstone, Kevin (1989) The Mediterranean challenge: cohesion and external preferences. In: Lodge, Juliet, (ed.) The European Community and the Challenge of the Future. Pinter (Firm), London, UK, pp. 186-201. ISBN 0861877241

Featherstone, Kevin (1999) The political dynamics of economic and monetary union. In: Cram, Laura, Dinan, Desmond and Nugent, Neill, (eds.) Developments in the European Union. Palgrave Macmillan, London, UK, pp. 311-329. ISBN 9780333736326

Featherstone, Kevin (2004) The political dynamics of external empowerment: the emergence of EMU and the challenge to the European social model. In: Martin, Andrew and Ross, George, (eds.) Euros and Europeans: Monetary Integration and the European Model of Society. Cambridge University Press, Cambridge, pp. 226-247. ISBN 9780521835701

Featherstone, Kevin (2004) The political dynamics of external empowerment: the emergence of EMU and the challenge to the European social model. In: Conference of Europeanists, 2004-03-11 - 2004-03-13, Chicago, United States. (Submitted)

Featherstone, Kevin (1998) The politics of economic and monetary union. In: Dinan, Desmond, (ed.) Encyclopedia of the European Union. Palgrave Macmillan, Basingstoke, UK, pp. 113-115. ISBN 9780333712627

Featherstone, Kevin (1990) The successful manager’s guide to 1992: working in the new Europe. Fontana, London, UK. ISBN 9780006375203

Featherstone, Kevin and Dyson, Kenneth (1995) Rescue of transformation of EU States? Bargaining models and EMU. In: European Consortium for Political Research Joint Workshops, 1995-04-27 - 1995-05-02, Bordeaux, France. (Submitted)

Featherstone, Kevin, Furlong, Paul and Quaglia, Lucia (2007) Greece and Italy: is there a Mediterranean 'world' of EMU? In: European States and the Euro: The First Decade, 2007-05-23 - 2007-05-24, London, United Kingdom. (Submitted)

Featherstone, Kevin, Kern, D., Davies, S. and Staples, R. A. V. (1997) A single currency - good for Europe? Good for Britain? RSA Journal, 145. p. 5476. ISSN 0958-0433

Federico, Giovanni, Schulze, Max Stephan and Volckart, Oliver (2021) European goods market integration in the very long run: from the Black Death to the First World War. Journal of Economic History, 81 (1). 276 - 308. ISSN 0022-0507

Feingold, Ellen, Fourie, Johan and Gardner, Leigh (2021) A tale of paper and gold: the material history money in South Africa. Economic History Working Papers (323). London School of Economics and Political Science, London, UK.

Feingold, Ellen, Fourie, Johan and Gardner, Leigh ORCID: 0000-0001-8638-5121 (2021) A tale of paper and gold: the material history of money in South Africa. Economic History of Developing Regions, 36 (2). 264 - 281. ISSN 2078-0389

Feinstein, Zachary and Sojmark, Andreas ORCID: 0000-0001-7488-0221 (2023) Contagious McKean–Vlasov systems with heterogeneous impact and exposure. Finance and Stochastics, 27 (3). 663 - 711. ISSN 0949-2984

Feldman, Maryann, Guy, Frederick, Iammarino, Simona ORCID: 0000-0001-9450-1700 and Ioramashvili, Carolin (2021) Gathering round Big Tech: how the market for acquisitions reinforces regional inequalities in the US. Geography and Environment Discussion Paper Series (28). Department of Geography and Environment, LSE, London, UK.

Felli, Leonardo and Harris, Christopher (1994) Job matching, learning and the distribution of surplus. . Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Fender, Ingo, McMorrow, Mike and Zulaica, Omar (2022) Sustainable management of central banks’ foreign exchange (FX) reserves. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (6). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Feng, Bing, Sun, Kaiyang, Zhong, Ziqi and Chen, Min (2021) The internal connection analysis of information sharing and investment performance in the venture capital network community. International Journal of Environmental Research and Public Health, 18 (22). ISSN 1661-7827

Fenton-O'Creevy, Mark, Nicholson, Nigel, Soane, Emma ORCID: 0000-0001-6090-1212 and Willman, Paul (2004) Traders: risks, decisions and management in financial markets. Oxford University Press, Oxford, UK. ISBN 9780199269488

Fenton-O'Creevy, Mark, Nicholson, Nigel, Soane, Emma ORCID: 0000-0001-6090-1212 and Willman, Paul (2003) Trading on illusions: unrealistic perceptions of control and trading performance. Journal of Occupational and Organizational Psychology, 76 (1). pp. 53-68. ISSN 2044-8325

Fenton-O'Creevy, Mark and Soane, Emma ORCID: 0000-0001-6090-1212 (2001) The subjective perception of risk. In: Pickford, James, (ed.) Mastering Risk Volume 1: Concepts. Financial Times. Prentice-Hall, Inc., London, UK, pp. 25-30. ISBN 9780273653790

Ferman, Marcelo (2011) Switching monetary policy regimes and the nominal term structure. Financial Markets Group Discussion Papers (678). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Fernholz, Robert, Karatzas, Ioannis and Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2005) Diversity and relative arbitrage in equity markets. Finance and Stochastics, 9 (1). pp. 1-27. ISSN 0949-2984

Fernández-Villaverde, Jesús, Garicano, Luis and Santos, Tano J. (2013) Political credit cycles: the case of the Euro zone. Journal of Economic Perspectives, 27 (3). pp. 145-166. ISSN 0895-3309

Ferrara, Federico M., Masciandaro, Donato, Moschella, Manuela and Romelli, Davide (2022) Political voice on monetary policy: evidence from the parliamentary hearings of the European Central Bank. European Journal of Political Economy, 74. ISSN 0176-2680

Ferrara, Federico Maria (2020) What ECB speeches tell us about the battle of ideas during the Eurozone crisis. LSE European Politics and Policy (EUROPP) blog (12 Mar 2020). Blog Entry.

Ferrara, Federico Maria and Angino, Siria (2022) Does clarity make central banks more engaging? Lessons from ECB communications. European Journal of Political Economy, 74. ISSN 0176-2680

Ferrarini, Guido, Giudici, Paolo and Saguato, Paolo (2010) La trasparenza proprietaria sulle posizioni in derivati cash-settled: un contributo al dibattito. Strumenti finanziari e fiscalità, 2010 (1).

Ferrarini, Guido and Moloney, Niamh (2005) Executive remuneration in the EU: the context for reform. Oxford Review of Economic Policy, 21 (2). pp. 304-323. ISSN 1460-2121

Ferrarini, Guido and Moloney, Niamh (2005) Executive remuneration in the EU: the context for reform. Law working paper series (32/2005). European Corporate Governance Institute. ISBN DOI: 10.2139/ssrn.715862

Ferrarini, Guido, Moloney, Niamh and Ungureanu, Maria-Cristina (2010) Executive remuneration in crisis: a critical assessment of reforms in Europe. Journal of Corporate Law Studies, 10 (1). pp. 73-118. ISSN 1473-5970

Ferrarini, Guido, Moloney, Niamh and Vespro, Cristina (2004) Executive pay: convergence in law and practice across the EU corporate governance faultline. Journal of Corporate Law Studies, 4 (2). pp. 243-306. ISSN 1473-5970

Ferrarini, Guido, Moloney, Niamh and Vespro, Cristina (2003) Executive remuneration in the EU: comparative law and practice. Law working paper series (09/2003). European Corporate Governance Institute. ISBN DOI: 10.2139/ssrn.419120

Ferrarini, Guido and Saguato, Paolo (2013) Reforming securities and derivatives trading in the EU: from EMIR to MiFIR. Journal of Corporate Law Studies, 13 (2). pp. 319-359. ISSN 1473-5970

Ferrarini, Guido and Saguato, Paolo (2014) Regulating financial market infrastructures. ECGI Working Paper Series in Law (259/2014). European Corporate Governance Institute (ECGI), Brussels, Belgium.

Ferrarini, Guido and Saguato, Paolo (2015) Regulating financial market infrastructures. In: Ferran, Eilís, Moloney, Niamh and Payne, Jennifer, (eds.) The Oxford Handbook on Financial Regulation. Oxford University Press, Oxford, UK.

Ferrario, Alessandra and Kanavos, Panos ORCID: 0000-0001-9518-3089 (2015) Dealing with uncertainty and high prices of new medicines: a comparative analysis of the use of managed entry agreements in Belgium, England, the Netherlands and Sweden. Social Science & Medicine, 124. pp. 39-47. ISSN 0277-9536

Ferreira, Daniel (2015) Board diversity: should we trust research to inform policy? Corporate Governance: an International Review, 23 (2). 108 - 111. ISSN 1467-8683

Ferreira, Daniel and Adams, Renee B (2007) A theory of friendly boards. Journal of Finance, 62 (1). pp. 217-250. ISSN 0022-1082

Ferreira, Daniel, Ferreira, Miguel A. and Mariano, Beatriz (2018) Creditor control rights and board independence. Journal of Finance, 73 (5). 2385 - 2423. ISSN 0022-1082

Ferreira, Daniel, Ferreira, Miguel A. and Raposo, Clara C. (2011) Board structure and price informativeness. Journal of Financial Economics, 99 (3). pp. 523-545. ISSN 0304-405X

Ferreira, Daniel, Kershaw, David, Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Schuster, Edmund-Philipp ORCID: 0000-0002-9355-535X (2013) Shareholder empowerment and bank bailouts. Finance working papers (345/2013). European Corporate Governance Institute (ECGI), Brussels, Belgium.

Ferreira, Daniel, Kershaw, David, Kirchmaier, Tom and Schuster, Edmund (2021) Management insulation and bank failures. Journal of Financial Intermediation, 47. ISSN 1042-9573

Ferreira, Daniel, Kershaw, David, Kirchmaier, Tom and Schuster, Edmund-Philipp ORCID: 0000-0002-9355-535X (2012) Shareholder empowerment and bank bailouts. Financial Markets Group Discussion Papers (714). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ferreira, Daniel and Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 (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

Ferreira, Daniel, Kirchmaier, Tom and Metzger, Daniel (2011) Boards of banks. Financial Markets Group Discussion Papers (664). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ferreira, Daniel and Kittsteiner, Thomas (2016) When does competition foster commitment? Management Science, 62 (11). pp. 3199-3212. ISSN 0025-1909

Ferreira, Daniel, Li, Jin and Nikolowa, Radoslawa (2023) Corporate capture of blockchain governance. Review of Financial Studies, 36 (4). 1364 - 1407. ISSN 0893-9454

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

Ferreira, Daniel and Nikolowa, Radoslawa (2024) Prestige, promotion, and pay. Journal of Finance, 79 (1). 505 - 540. ISSN 0022-1082

Ferreira, Daniel, Ornelas, Emanuel and Turner, John L. (2007) Unbundling ownership and control. ECGI Finance Working Paper (172/2007). European Corporate Governance Institute.

Ferreira, Daniel and Rezende, Marcelo (2007) Corporate strategy and information disclosure. RAND Journal of Economics, 38 (1). pp. 164-184. ISSN 0741-6261

Ferreira, Francisco H. G. (1995) Roads to equality: wealth distribution dynamics with public-private capital complementarity. TE (286). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Ferreira, Francisco H. G. (2022) The analysis of inequality in the Bretton Woods institutions. International Inequalities Institute Working Papers (83). London School of Economics and Political Science, London, UK.

Fichtner, Jan (2017) The Cayman conundrum: why is one tiny archipelago the largest financial centre in Latin America and the Caribbean? LSE Latin America and Caribbean Blog (02 Nov 2017). Blog Entry.

Fidler, Stephen (2014) “A system that is failing to deliver economic wellbeing naturally comes in for greater public criticism than one that succeeds in doing so” — Interview with Stephen Fidler. Euro Crisis in the Press (17 Feb 2014). Website.

Figenwald, Vanja and Kardum, Kristina (2013) ‘Two Croatias’ at the finish line, not one of them a winner. Euro Crisis in the Press (26 Jun 2013). Website.

Figueroa-Clark, Victor (2010) Conflict without negotiation: reflections on Colombia. International Affairs at LSE (02 Oct 2010). Website.

Filiasi, Mario, Livan, Giacomo, Marsili, Matteo, Peressi, Maria, Vesselli, Erik and Zarinelli, Elia (2014) On the concentration of large deviations for fat tailed distributions, with application to financial data. Journal of Statistical Mechanics: Theory and Experiment, 2014 (9). P09030. ISSN 1742-5468

Filis, Konstantin (2015) Between dilemmas, difficult decisions and a looming impasse. International Affairs at LSE (10 Jul 2015). Website.

Fingleton, Bernard (2008) Testing the NEG model: further evidence from panel data. SERC Discussion Papers (SERCDP0005). Spatial Economics Research Centre (SERC), London School of Economics and Political Science, London, UK.

Fiorentini, Gabriele, Sentana, Enrique and Shephard, Neil (2003) Likelihood-based estimation of latent generalised ARCH structures. Financial Markets Group Discussion Papers (453). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Fireman, Ken (2016) Chinese leaders walk a tightrope on market reforms amid slowdown. LSE Business Review (03 Nov 2016). Website.

Fireman, Ken (2016) Does flopping have an upside? Business rethinks the meaning of failure. LSE Business Review (27 Jun 2016). Website.

Fireman, Ken (2016) Fintech’s greatest promise may be in the developing world. LSE Business Review (07 Oct 2016). Website.

Fireman, Ken (2018) Regulators can't keep up with offshore tax havens. LSE Business Review (06 Apr 2018). Website.

Fireman, Ken (2016) The art, and the deal, go global. LSE Business Review (19 Jul 2016). Website.

Fireman, Ken (2017) The underground economy casts an ever-longer shadow. LSE Business Review (04 May 2017). Website.

Fischer, Greg and Ghatak, Maitreesh ORCID: 0000-0002-6231-5580 (2010) Repayment frequency in microfinance contracts with present-biased borrowers. Economic Organisation and Public Policy Discussion Papers (EOPP 021). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Fischer, Gregory (2011) Access to finance: a functional approach to supply and demand. Working Paper (42). Asia Research Centre, London School of Economics and Political Science, London, UK.

Fischer, Gregory and Ghatak, Maitreesh ORCID: 0000-0002-6231-5580 (2011) Spanning the chasm: uniting theory and empirics in microfinance research. In: Armendáriz, Beatriz and Labie, Marc, (eds.) The Handbook of Microfinance. World Scientific (Firm), London, UK. ISBN 9789814295659

Fischer, Stanley (1998) International financial reform. Centre for Economic Performance special papers (CEPSP12). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Fisher, Susannah and Surminski, Swenja (2012) Climate change in India: what role for insurance and the private sector? India at LSE (18 Jul 2012). Website.

Fisher, Susannah and Surminski, Swenja (2012) The roles of public and private actors in the governance of adaptation: the case of agricultural insurance in India. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment working papers (89). Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Fisher, Travis, Pulido, Sergio and Ruf, Johannes ORCID: 0000-0003-3616-2194 (2019) Financial models with defaultable numéraires. Mathematical Finance, 29 (1). 117 - 136. ISSN 0960-1627

Fisman, Raymond, Paravisini, Daniel and Vig, Vikrant (2017) Cultural proximity and loan outcomes. American Economic Review, 107 (2). 457 - 492. ISSN 0002-8282

Fisman, Raymond, Paravisini, Daniel and Vig, Vikrant (2016) Cultural proximity and loan outcomes. Financial Markets Group Discussion Papers (759). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Fize, Étienne, Grimprel, Nicolas and Landais, Camille (2022) Reforming inheritance tax systems: four guiding principles. LSE European Politics and Policy (EUROPP) blog (25 Nov 2022). Blog Entry.

Flannery, Mark J and Giacomini, Emanuela (2015) Large EU banks have remained undercapitalised for long stretches of time. LSE Business Review (03 Nov 2015). Blog Entry.

Flassbeck, Heiner and Denayer, Will (2016) Euro zone crisis and climate change: Addressing two targets with one instrument. LSE Business Review (25 Aug 2016). Website.

Fleischman, Tomaž and Dini, Paolo (2020) Balancing the payment system. . arXiv.

Fleischman, Tomaž and Dini, Paolo (2021) Mathematical foundations for balancing the payment system in the trade credit market. Journal of Risk and Financial Management, 14 (9). ISSN 1911-8074

Fleischman, Tomaž, Dini, Paolo and Littera, Giuseppe (2020) Liquidity-saving through obligation-clearing and mutual credit: an effective monetary innovation for SMEs in times of crisis. Journal of Risk and Financial Management, 13 (12). ISSN 1911-8066

Fogelberg, Teresa (2015) UN FORUM SERIES – linking the UN guiding principles to global reporting practice: proof of increasing human rights reporting. Measuring Business and Human Rights (19 Nov 2015). Website.

Fokas, Effie (2014) Banal, benign or pernicious? The relationship between religion and national identity from the perspective of religious minorities in Greece. LSE Greece@LSE (10 Dec 2014). Website.

Foldes, Lucien (1990) Certainty equivalence in the continuous-time portfolio-cum-saving model. Financial Markets Group Discussion Papers (95). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Foldes, Lucien (1990) Certainty equivalence in the continuous-time-portfolio-cum-saving-model. In: Davis, M. H. A. and Elliot, R. J., (eds.) Applied Stochastic Analysis. Gordon & Breach Science Publishers Ltd, Hawthorn, Australia, pp. 343-387. ISBN 9782881247163

Foldes, Lucien (1989) Conditions for optimality in the infinite-horizon portfolio-cum-saving problem with semimartingale investments. Financial Markets Group Discussion Papers (53). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Foldes, Lucien (1990) Conditions for optimality in the infinite-horizon portfolio-cum-saving problem with semimartingale investments. Stochastics and Stochastic Reports, 29 (1). pp. 133-170. ISSN 1744-2508

Foldes, Lucien (1992) Existence and uniqueness of an optimum in the infinite-horizon portfolio-cum-saving model with semimartingale investments. Stochastics and Stochastic Reports, 41 (4). pp. 241-267. ISSN 1744-2508

Foldes, Lucien (1961) Imperfect capital markets and the theory of investment. Review of Economic Studies, 28 (3). pp. 182-195. ISSN 0034-6527

Foldes, Lucien (1971) Inflation and financial accounts: the treatment of loan capital. The Accountant. ISSN 0001-4710

Foldes, Lucien (2001) Optimal saving and risk in continuous time. In: Schaefer, Stephen M., (ed.) The Foundations of Continuous Time Finance. Elgar, Cheltenham, UK. ISBN 978 1 85898 750 7

Foldes, Lucien (1991) Optimal sure portfolio plans. Mathematical Finance, 1 (2). pp. 15-55. ISSN 0960-1627

Foldes, Lucien (1990) Optimal sure portfolio plans. Financial Markets Group Discussion Papers (106). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Foldes, Lucien (2014) The optimal consumption function in a Brownian model of accumulation part B: existence of solutions of boundary value problems. Systemic Risk Centre Discussion Papers (25). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Foldes, Lucien (2017) The optimal consumption function in a Brownian model of accumulation. Part C: a dynamical system formulation. Systemic Risk Centre Discussion Papers (68). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Foldes, Lucien and Hood, J. M. (1951) A survey of monopoly legislation. . London School of Economics and Political Science. (Unpublished)

Foldes, Lucien and Watson, Pauline (1978) Quarterly returns to U.K. equities 1919-70. Papers on capital and risk (6). RTZ, London, UK.

Foldes, Lucien and Watson, Pauline (1981) Quarterly returns to treasury bills: U.K. and U.S. 1926-75. Papers on capital and risk (7). RTZ, London, UK.

Foldes, Lucien and Watson, Pauline (1982) Time series analysis of UK and US equity portfolios 1926-70. Papers on capital and risk (8). RTZ, London, UK.

Foley, Beth, Tsang, Tiffany and Ray, Kathryn (2014) Does performance-related pay work in the public sector? British Politics and Policy at LSE (18 Dec 2014). Website.

Fon, Roger ORCID: 0000-0001-9382-7688 and Alon, Ilan (2022) Governance, foreign aid, and Chinese foreign direct investment. Thunderbird International Business Review, 64 (2). 179 - 201. ISSN 1096-4762

Fon, Roger ORCID: 0000-0001-9382-7688, Filippaios, Fragkiskos, Stoian, Carmen and Lee, Soo-Hee (2021) Does foreign direct investment promote institutional development in Africa? International Business Review, 30 (4). ISSN 0969-5931

Forbes, Nick (2014) Financial decentralisation is already happening, and Newcastle is seeing the benefits. Democratic Audit UK (07 May 2014). Website.

Foresti, Pasquale (2017) Monetary and fiscal policies in interaction in monetary unions. Journal of Economic Surveys. ISSN 0950-0804

Foresti, Pasquale and Napolitano, Oreste (2022) Risk sharing in the EMU: a time-varying perspective. Journal of Common Market Studies, 60 (2). 319 - 336. ISSN 0021-9886

Fornari, Fabio and Mele, Antonio (2009) Financial volatility and economic activity. Financial Markets Group Discussion Papers (642). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Fornari, Fabio and Mele, Antonio (2001) Recovering the probability density function of asset prices using garch as diffusion approximations. Journal of Empirical Finance, 8 (1). pp. 83-110. ISSN 0927-5398

Fornari, Fabio and Mele, Antonio (2001) Volatility smiles and the information content of news. Applied Financial Economics, 11 (2). pp. 179-186. ISSN 0960-3107

Fornari, Fabio and Mele, Antonio (1994) A two factor arbitrage model with optimal filtering behavior. Statistica, 54 (3). pp. 293-312. ISSN 1973-2201

Fornäs, Johan (2013) The symbolic crisis of the Euro: Trust and distrust in currency as an identifying medium. Euro Crisis in the Press (25 Jul 2013). Website.

Fouirnaies, Alexander B. and Hall, Andrew B. (2014) The financial incumbency advantage: causes and consequences. Journal of Politics, 76 (3). pp. 711-724. ISSN 0022-3816

Fouquet, Roger (2016) Energy services. In: Durlauf, Steven N. and Blume, Lawrence E., (eds.) The New Palgrave Dictionary of Economics. Palgrave Macmillan.

Fox, Mary (2015) Poll results: Is crowdfunding a fad? LSE Entrepreneurship Blog (24 Mar 2015). Website.

Fox, Mary (2015) Protecting the future of equity crowdfunding. LSE Entrepreneurship Blog (26 Jan 2015). Website.

Fox, Sean and Dyson, Tim (2015) Part 2: is population growth good or bad for economic development? International Growth Centre Blog (11 Dec 2015). Website.

Frankel, Jeffrey A. (2009) The estimated effects of the euro on trade: why are they below historical effects of monetary unions among smaller countries? LSE 'Europe in Question' discussion paper series (07/2009). London School of Economics and Political Science, London.

Franklin, Jeremy, Rostom, May and Thwaites, Gregory (2019) The banks that said no: the impact of credit supply on productivity and wages. Journal of Financial Services Research, 57 (2). 149 - 179. ISSN 0920-8550

Frantianni, Michele and Huang, Haizhou (1995) Central bank reputation and conservativeness. Financial Markets Group Discussion Papers (216). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Frantz, Pascal (1999) Discretionary write-downs, write-offs, and other restructuring provisions: a signalling approach. Accounting and Business Research, 29 (2). pp. 109-123. ISSN 0001-4788

Frantz, Pascal (1999) Does an auditor's skill matter?: responses to and preferences amongst auditing standards. International Journal of Auditing, 3 (1). pp. 59-80. ISSN 1090-6738

Frantz, Pascal and Instefjord, Norvald (2019) Debt overhang and non-distressed debt restructuring. Journal of Financial Intermediation, 37. pp. 75-88. ISSN 1042-9573

Frantz, Pascal and Instefjord, Norvald (2009) Large shareholders and corporate governance. Economics of Governance, 10 (4). pp. 297-321. ISSN 1435-6104

Frantz, Pascal and Instefjord, Norvald (2007) Socially and privately optimal shareholder activism. Journal of Management and Governance, 11 (1). pp. 23-43. ISSN 1385-3457

Fraschini, Martina, Somoza, Luciano and Terracciano, Tammaro (2021) The likely impact of central bank digital currencies on quantitative easing. LSE Business Review (27 Apr 2021). Blog Entry.

Freeman, Henry (2016) A view on Brexit from abroad. Euro Crisis in the Press (09 Dec 2016). Website.

Freeman, Mark C. and Groom, Ben ORCID: 0000-0003-0729-143X (2013) Biodiversity valuation and the discount rate problem. Accounting, Auditing and Accountability Journal, 26 (5). pp. 715-745. ISSN 0951-3574

Freixas, Xavier (1999) Optimal bail out policy, conditionality and creative ambiguity. Financial Markets Group Discussion Papers (327). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Freyer, Tony (2003) Comparative and historical perspectives on business risk and antitrust in 20th century America, Japan, Europe and Australia. CARR Discussion Papers (DP 12). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Fricke, Daniel (2018) Are specialist funds “special”? Financial Management. ISSN 0046-3892

Fricke, Daniel and Roukny, Tarik (2020) Generalists and specialists in the credit market. Journal of Banking and Finance, 112. ISSN 0378-4266

Friederich, Sylvain, Gregory, Alan, Matako, John and Tonks, Ian (1999) Stock price patterns around the trades of corporate insiders on the London Stock Exchange. Financial Markets Group Discussion Papers (332). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Friederich, Sylvain and Payne, Richard (2002) Dealer liquidity in an auction market: evidence fom the London Stock Exchange. Financial Markets Group Discussion Papers (427). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Friedman, Bobby (2013) The way we fund our political parties needs to change if we are to avoid more scandals. Democratic Audit Blog (23 Sep 2013). Website.

Friedman, Henry and Mahieux, Lucas (2021) Why would passive funds invest in corporate governance? LSE Business Review (27 Jan 2021). Blog Entry.

Frijters, Paul, Johnston, David W., Shields, Michael A. and Sinha, Kompal (2015) A lifecycle perspective of stock market performance and wellbeing. Journal of Economic Behavior & Organization, 112. pp. 237-250. ISSN 0167-2681

Frydman, Carola and Hilt, Eric (2017) The interlock between company boards and investment banks in the early 1900’s. LSE Business Review (30 Mar 2017). Website.

Fryzlewicz, Piotr ORCID: 0000-0002-9676-902X and Subba Rao, Suhasini (2014) Multiple-change-point detection for auto-regressive conditional heteroscedastic processes. Journal of the Royal Statistical Society. Series B: Statistical Methodology, 76 (5). pp. 903-924. ISSN 1369-7412

Fu, Jing and Page, Frank (2022) Discounted stochastic games, the 3M property and stationary Markov perfect equilibria. Systemic Risk Centre Discussion Papers (119). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Fu, Jing and Page, Frank (2022) Parameterized state-contingent games, 3M minimal Nash correspondences, and connectedness. Systemic Risk Centre Discussion Papers (116). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Fu, Jing and Page, Frank (2022) A fixed point theorem for measurable selection valued correspondences induced by upper Caratheodory correspondences. Systemic Risk Centre Discussion Papers (115). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Fu, Jing, Page, Frank and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2022) Layered networks, equilibrium dynamics, and stable coalitions. Systemic Risk Centre Discussion Papers (117). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Fuest, Clemens, Peichl, Andreas and Siegloch, Sebastian (2018) Is it labour or capital owners who bear the burden of corporate taxation? LSE Business Review (27 Mar 2018). Website.

Fujiwara, Ippei, Körber, Lena Mareen and Nagakura, Daisuke (2013) Asymmetry in government bond returns. Journal of Banking and Finance, 37 (8). pp. 3218-3226. ISSN 0378-4266

Fuller, C. J. (1989) Misconceiving the grain heap: a critique of the concept of the Indian jajmani system. In: Parry, Jonathan and Bloch, Maurice, (eds.) Money and the Morality of Exchange. Cambridge University Press, Cambridge, UK, 33 - 63. ISBN 9780521367745

G

Gaertner, Wulf and Schwettmann, Lars (2017) Burden sharing in deficit countries: a questionnaire-experimental investigation. SERIEs, 8 (2). pp. 113-144. ISSN 1869-4187

Gai, Prasanna, Hayes, Simon and Shin, Hyun Song (2001) Crisis costs and debtor discipline: the efficacy of public policy in sovereign debt crises. Financial Markets Group Discussion Papers (390). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gale, Douglas and Gottardi, Piero (2013) Capital structure and investment dynamics with fire sales. Systemic Risk Centre Discussion Papers (7). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gale, Douglas and Gottardi, Piero (2014) Capital structure, investment, and fire sales. Systemic Risk Centre Discussion Papers (23). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gale, Douglas and Yorulmazer, Tanju (2011) Liquidity hoarding. Financial Markets Group Discussion Papers (682). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Galenianos, Manolis and Gavazza, Alessandro ORCID: 0000-0001-9236-5813 (2022) Regulatory interventions in consumer financial markets: the case of credit cards. Journal of the European Economic Association, 20 (5). 1897 - 1932. ISSN 1542-4766

Galiani, Sebastian, Knack, Stephen, Xu, Colin and Zou, Ben (2016) The effect of aid on growth: evidence from a quasi-experiment. International Growth Centre Blog (28 Apr 2016). Blog Entry.

Gallagher, Jim (2016) Negotiations about the fiscal framework for the Scotland Bill are becoming high political drama. Democratic Audit UK (28 Jan 2016). Website.

Gallagher, Jim (2016) Scottish devolution will now have a bigger fiscal dimension. Democratic Audit UK (24 Feb 2016). Website.

Galli, Carlo (2019) Self-fulfilling debt crises, fiscal policy and investment. CFM discussion paper series (CFM-DP2019-04). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Gamtkitsulashvili, Tea, Plekhanov, Alexander and Stepanov, Alexander (2023) Killing two birds with one stone? Sound investment with social impact. Economics of Transition and Institutional Change. ISSN 2577-6975

Ganau, Roberto and Rodríguez-Pose, Andrés ORCID: 0000-0002-8041-0856 (2022) Credit constraints in European SMEs: does regional institutional quality matter? Applied Economics Letters, 29 (15). pp. 1388-1392. ISSN 1350-4851

Ganderson, Joseph ORCID: 0000-0002-5775-6349 (2022) Prawn cocktails and cold shoulders: Labour, the Conservatives and the City of London since the 1990s. Political Quarterly, 93 (2). 209 - 217. ISSN 0032-3179

Gandrud, Christopher and Hallerberg, Mark (2015) Democratically elected politicians tend to push the cost of financial crises to the future in order to avert unpopularity. Democratic Audit UK (24 Sep 2015). Website.

Gandy, Axel and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2017) A Bayesian methodology for systemic risk assessment in financial networks. Management Science, 63 (12). 4428 -4446. ISSN 0025-1909

Gandy, Axel and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2021) Compound poisson models for weighted networks with applications in finance. Mathematics and Financial Economics, 15 (1). 131 - 153. ISSN 1862-9679

Gandy, Axel and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2013) The effect of estimation in high-dimensional portfolios. Mathematical Finance, 23 (3). pp. 531-559. ISSN 0960-1627

Gao, Can and Martin, Ian (2021) Volatility, valuation ratios, and bubbles: an empirical measure of market sentiment. Journal of Finance, 76 (6). 3211 - 3254. ISSN 0022-1082

Gao, Pengjie, Hu, Allen, Kelly, Peter, Peng, Cameron and Zhu, Ning (2020) Exploited by complexity. Financial Markets Group Discussion Papers (816). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gao, Pengjie and Lou, Dong ORCID: 0000-0002-5623-4338 (2011) Cross-market timing in security issuance. AFA 2012 Chicago Meetings Paper. SSRN.

Gao, Pengjie and Lou, Dong ORCID: 0000-0002-5623-4338 (2013) Cross-market timing in security issuance. Financial Markets Group Discussion Papers (718). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gao, Xiang (2018) Private firms as global borrowers: foreign and domestic lenders need equal protection. LSE Business Review (09 Jan 2018). Website.

Gao, Zhan, Ohlson, James A. and Ostaszewski, Adam (2013) Dividend policy irrelevancy and the construct of earnings. Journal of Business Finance and Accounting, 40 (5-6). pp. 673-694. ISSN 1468-5957

Gapeev, Pavel V. (2019) Perpetual dual American barrier options for short sellers. In: 14th Workshop on Stochastic Models, Statistics and their Application, 2019-03-06 - 2019-03-08, Technical University of Dresden, Dresden, Germany.

Gapeev, Pavel V. (2012) Pricing of perpetual American options in a model with partial information. International Journal of Theoretical and Applied Finance, 15 (1). pp. 1-22. ISSN 0219-0249

Gapeev, Pavel V. and Jeanblanc, Monique (2021) First-to-default and second-to-default options in models with various information flows. International Journal of Theoretical and Applied Finance, 24 (4). ISSN 0219-0249

Gapeev, Pavel V. and Jeanblanc, Monique (2010) Pricing and filtering in a two-dimensional dividend switching model. International Journal of Theoretical and Applied Finance, 13 (7). pp. 1001-1017. ISSN 0219-0249

Gapeev, Pavel V. and Jeanblanc, Monique (2009) Pricing of contingent claims in a two-dimensional model with random dividends. International Journal of Theoretical and Applied Finance, 12 (8). pp. 1091-1104. ISSN 0219-0249

Gapeev, Pavel V. and Li, Libo (2022) Perpetual American standard and lookback options with event risk and asymmetric information. SIAM Journal on Financial Mathematics, 13 (3). 773 - 801. ISSN 1945-497X

Gapeev, Pavel V., Rodosthenous, Neofytos and Chinthalapati, V.L Raju (2019) On the Laplace transforms of the first hitting times for drawdowns and drawups of diffusion-type processes. Risks, 7 (3). ISSN 2227-9091

Garavito, Fabian (2009) Organizational diseconomies in the mutual fund industry. Financial Markets Group Discussion Papers (638). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Garben, Sacha, Marwah, Hanaan, McDonagh, Luke T., Özcan, Berkay ORCID: 0000-0003-2255-9406 and Sampson, Thomas (2012) Aftermath of the financial crisis: new challenges for the left. British Politics and Policy at LSE (20 Sep 2012). Website.

Garcia, L. Enrique (2015) Comparative advantages and challenges of regionaldevelopment banks: the CAF experience. Policy Brief (2/2015). London School of Economics and Political Science, Global South Unit, London, UK.

Garcia-Calvo, Angela (2016) Institutional development and bank competitive transformation in late industrializing economies: the Spanish case. Business and Politics, 18 (1). pp. 27-62. ISSN 1469-3569

Garcia-Lorenzo, Lucia ORCID: 0000-0001-9166-0263 (2020) Organizational remembering as a trigger for cultural change: exploring the episodic memories of a financial scandal. Scandinavian Journal of Management, 36 (1). ISSN 0956-5221

Garcia-Lorenzo, Lucia (2018) The invisible entrepreneur: from unemployment to unstable self-employment. LSE Business Review (07 Mar 2018). Blog Entry.

García R, Enrique and Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2021) Mañana today: a long view of economic value creation in Latin America. Global Policy, 12 (3). 410 - 413. ISSN 1758-5880

Gardiner, Laura (2014) Households have been coping remarkably well with high housing costs, but interest rate rises lurk just around the corner. British Politics and Policy at LSE (10 Dec 2014). Website.

Gardner, Joe and Woolley, John T. (2016) In Fed meetings, decision making is free – but not equal. USApp – American Politics and Policy Blog (27 Oct 2016). Website.

Gardner, Leigh (2012) History matters in assessing African tax systems. Africa at LSE (19 Nov 2012). Website.

Gardner, Leigh (2015) The curious incident of the franc in the Gambia: exchange rate instability and imperial monetary systems in the 1920s. Financial History Review, 22 (03). pp. 291-314. ISSN 0968-5650

Gardner, Leigh A. and Broadberry, Stephen (2014) From boom to bust: avoiding economic ‘growth reversals’ in Africa. International Growth Centre Blog (05 Dec 2014). Website.

Garicano, Luis (2017) Addressing a significant ‘hidden’ factor behind Spain’s failed banks. Management with Impact (23 Jan 2017). Website.

Garicano, Luis (2010) Financial regulation: can we avoid another great recession? CEP Election Analysis (CEPEA011). The London School of Economics and Political Science, Center of Economic Performance, London, UK.

Garicano, Luis (2012) Five lessons from the Spanish cajas debacle for a new euro-wide supervisor. In: Beck, Thorsten, (ed.) Banking Union for Europe - Risks and Challenges. Vox EU, Centre for Economic Policy Research (CEPR), London, UK, pp. 77-84.

Garicano, Luis and Lastra, Rosa (2010) Towards a new architecture for financial stability: seven principles. CEP Discussion Papers (CEPDP0990). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Garicano, Luis and Steinwender, Claudia (2013) Survive another day: does uncertain financing affect the composition of investment? CEP Discussion Papers (CEPDP1188). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Garicano, Luis and Steinwender, Claudia (2016) Survive another day: using changes in the composition of investments to measure the cost of credit constraints. Review of Economics and Statistics, 98 (5). pp. 913-924. ISSN 0034-6535

Garicano, Luis and Van Reenen, John ORCID: 0000-0001-9153-2907 (2010) LSE centre for economic performance: financial regulation – can we avoid another great recession? British Politics and Policy at LSE (21 Apr 2010). Website.

Garidel, Thomas (1997) Pareto-improving asymmetric information in a dynamic insurance market. Financial Markets Group Discussion Papers (266). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Garriga, Ana Carolina and Meseguer, Covadonga (2019) Remittances, monetary institutions, and autocracies. Oxford Development Studies, 47 (4). 452 - 467. ISSN 1360-0818

Garriga, Carlos, Kydland, Finn E. and Šustek, Roman (2013) Mortgages and monetary policy. CFM discussion paper series (CFM-DP2013-6). Centre For Macroeconomics, London, UK.

Gaurav, Sarthak (2015) Are rainfed agricultural households insured? Evidence from five villages in Vidarbha, India. World Development, 66. pp. 719-736. ISSN 0305-750X

Gautier, Axel and Heider, Florian (2001) What do internal capital markets do? Redistribution vs. incentives. Financial Markets Group Discussion Papers (386). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gavazza, Alessandro ORCID: 0000-0001-9236-5813 (2010) Asset liquidity and financial contracts: Evidence from aircraft leases. Journal of Financial Economics, 95 (1). pp. 62-84. ISSN 0304-405X

Gavazza, Alessandro ORCID: 0000-0001-9236-5813 and Lanteri, Andrea (2021) Credit shocks and equilibrium dynamics in consumer durable goods markets. Review of Economic Studies, 88 (6). 2935 - 2969. ISSN 0034-6527

Geary, Patrick (2015) UN FORUM SERIES – time for the UNGPs to grow up? Tracking children’s rights in national action plans on business & human rights. Measuring Business and Human Rights (23 Nov 2015). Website.

Genakos, Christos and Valletti, Tommaso (2012) Regulating prices in two-sided markets: the waterbed experience in mobile telephony. Telecommunications Policy, 36 (5). pp. 360-368. ISSN 0308-5961

Genakos, Christos, Valletti, Tommaso and Verboven, Frank (2017) Evaluating market consolidation in mobile communications. CEP Discussion Papers (CEPDP1486). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Gennaioli, Caterina, Martin, Ralf and Muuls, Mirabelle (2013) Using micro data to examine causal effects of climate policy. In: Fouquet, Roger, (ed.) Handbook on Energy and Climate Change. Elgar, Cheltenham, pp. 453-470. ISBN 9780857933683

Genovese, Federica, Schneider, Gerald and Wassmann, Pia (2016) In Draghi we trust: how unorthodox monetary policy weakened the anti-austerity movement in Europe. LSE European Politics and Policy (EUROPP) Blog (08 Jun 2016). Website.

Gent, John (2011) Book review: paper promises: money, debt and the new world order by Philip Coggan. British Politics and Policy at LSE (15 Jan 2011). Website.

Gentzoglanis, Anastassios (2020) What leads financial and non-financial firms to adopt corporate social responsibility? LSE Business Review (08 Jan 2020), pp. 1-4. Blog Entry.

Gerba, Eddie (2013) The Fed must explicitly react to movements on the stock market if it values stability and wishes to avoid large consumption and output swings. LSE American Politics and Policy (USAPP) Blog (04 Jun 2013). Website.

Gerba, Eddie (2015) The Fed’s rate rise may not provide enough of a boost to the financial sector to allow the US recovery to take off. USApp - American Politics and Policy Blog (23 Dec 2015). Website.

Gerba, Eddie (2015) Have the US macro-financial linkages changed? The balance sheet dimension. . London School of Economics and Political Science, London, UK.

Gerba, Eddie (2013) Reconnecting investment to stock markets: the role of corporate net worth evaluation. Working papers. Social Science Research Network (SSRN), Rochester, USA.

Gerba, Eddie (2018) What is the fiscal stress in Euro Area? Evidence from a joint monetary-fiscal structural model. Ensayos Sobre Política Económica, 36 (85). pp. 21-47. ISSN 0120-4483

Gerba, Eddie and Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2014) Household finance and the welfare state: a case study of the United States, 1980-­2010. . London School of Economics and Political Science, London, UK.

Gerba, Eddie and Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2013) The finance-welfare state nexus. ACES cases (2013.1). The American Consortium on EU Studies (ACES), Washington, USA.

Gerba, Eddie and Zochowski, Dawid (2016) Macroprudential policy in a Knightian uncertainty model with credit-, risk-, and leverage cycles. ECB working paper. European Central Bank, Frankfurt am Main, Germany.

Gerber, Eddie and Macchiarelli, Corrado (2016) Quantitative easing: to deal with the root of the problem, the ECB should tackle non-performing loans. LSE European Politics and Policy (EUROPP) Blog (10 Mar 2016). Website.

Gerner-Beuerle, Carsten (2017) Law and finance in emerging economies: Germany and Britain 1800-1913. Modern Law Review, 80 (2). pp. 263-298. ISSN 0026-7961

Gerner-Beuerle, Carsten (2010) Takeovers and mergers: Europe and takovers. In: Gerner-Beuerle, Carsten and Fleet, Stuart, (eds.) Gore-Brown on Companies. Jordans (Firm), Bristol, UK. ISBN 9780853084006

Gerner-Beuerle, Carsten (2009) Underwriters, auditors, and other usual suspects: elements of third party enforcement in US and European securities law. European Company and Financial Law Review, 6 (4). pp. 476-515. ISSN 1613-2548

Gerner-Beuerle, Carsten and Kirchmaier, Tom (2016) Say on pay: do shareholders care? Financial Markets Group Discussion Papers (751). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gerner-Beuerle, Carsten and Schuster, Edmund-Philipp ORCID: 0000-0002-9355-535X (2014) The costs of separation: friction between company and insolvency law in the single market. Law Society and Economy Working Paper Series. London School of Economics and Political Science, London, UK.

Gerner-Beuerle, Carsten and Schuster, Edmund-Philipp ORCID: 0000-0002-9355-535X (2014) The costs of separation: friction between company and insolvency law in the single market. Journal of Corporate Law Studies, 14 (2). pp. 287-332. ISSN 1473-5970

Getmansky, Mila, Lo, Andrew W. and Makarov, Igor (2004) An econometric model of serial correlation and illiquidity in hedge fund returns. Journal of Financial Economics, 74 (3). pp. 529-609. ISSN 0304-405X

Ghosh, Anisha, Julliard, Christian and Taylor, Alex (2011) What is the Consumption-CAPM missing? An information-theoretic framework for the analysis of asset pricing models. Financial Markets Group Discussion Papers (691). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ghosh, Anisha, Julliard, Christian and Taylor, Alex (2016) An information based one-factor asset pricing model. Financial Markets Group Discussion Papers (749). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ghosh, Anisha, Julliard, Christian and Taylor, Alex. P (2017) What is the Consumption-CAPM missing? An information-theoretic framework for the analysis of asset pricing models. Review of Financial Studies, 30 (2). 442 – 504. ISSN 0893-9454

Ghosh, Anisha and Linton, Oliver (2007) Consistent estimation of the risk-return tradeoff in the presence of measurement error. Financial Markets Group Discussion Papers (605). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Giacomini, Francesco (2019) Bitcoin: new order or libertarian utopia? An answer from the past: Scotland 1727-1845 [winner - popular prize]. In: LSE Research Festival 2019: New World (Dis)Orders, 2019-02-25 - 2019-03-02, London School of Economics, London, United Kingdom.

Giammarino, Flavia and Barrieu, Pauline (2013) Indifference pricing with uncertainty averse preferences. Journal of Mathematical Economics, 49 (1). pp. 2-15. ISSN 0304-4068

Giammarino, Flavia and Barrieu, Pauline (2009) A semiparametric model for the systematic factors of portfolio credit risk premia. Journal of Empirical Finance, 16 (4). pp. 655-670. ISSN 0927-5398

Giannetti, Mariassunta, Burkart, Mike ORCID: 0000-0002-0954-4499 and Ellingsen, Tore (2011) What you sell is what you lend? Explaining trade credit contracts. Review of Financial Studies, 24 (4). pp. 1261-1298. ISSN 0893-9454

Giavazzi, Francesco and McMahon, Michael (2008) Policy uncertainty and precautionary savings. CEPDP (863). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853282594

Gibbons, Stephen ORCID: 0000-0002-2871-8562, Mourato, Susana ORCID: 0000-0002-9361-9990 and Resende, Guilherme Mendes (2014) The amenity value of English nature: a hedonic price approach. Environmental and Resource Economics, 57 (2). pp. 175-196. ISSN 0924-6460

Gibbons, Stephen and Wu, Wenjie (2017) Airports helped boost the manufacturing sector and productivity in China. LSE Business Review (01 May 2017). Website.

Gietzmann, Miles and Ostaszewski, Adam (2023) The kind of silence: managing a reputation for voluntary disclosure in financial markets. Annals of Finance, 19 (4). 419 - 447. ISSN 1614-2446

Gietzmann, Miles B. and Ostaszewski, Adam J. (2014) Why managers with low forecast precision select high disclosure intensity: an equilibrium analysis. Review of Quantitative Finance and Accounting, 43 (1). pp. 121-153. ISSN 0924-865X

Gilbert, Paul (2014) Book review: offshoring by John Urry. LSE Review of Books (16 Jun 2014). Website.

Gillespie, Alex ORCID: 0000-0002-0162-1269 and Reader, Tom W. (2017) Investigating organisational culture from the ‘outside’, and implications for investing. Psychology at LSE (12 Jan 2017). Website.

Gilson, Chris (2012) Brussels blog round up for 23 – 29 June 2012: the ‘footballization’ of politics, the Commission’s web communications ‘mess’, and the start of a Eurozone banking union? LSE European Politics and Policy (EUROPP) Blog (29 Jun 2012). Website.

Gilson, Christopher (2010) A state-owned Post Bank could restore trust in UK retail banking, reinvigorate Royal Mail and tackle financial exclusion. British Politics and Policy at LSE (02 Nov 2010). Website.

Giorgi, Simona (2016) How investments analysts frame information matters to their careers. LSE Business Review (03 Mar 2016). Website.

Giraudeau, Martin (2008) The drafts of strategy: opening up plans and their uses. Long Range Planning, 41 (3). pp. 291-308. ISSN 0024-6301

Glaser, Florian and Risius, Marten (2017) The side effect of scrutinising traders in social trading platforms. LSE Business Review (09 Mar 2017). Website.

Glasserman, Paul and Young, H. Peyton (2016) Contagion in financial networks. Journal of Economic Literature, 54 (3). pp. 779-831. ISSN 0022-0515

Gleeson, Simon (2016) EMU: how it works (and which parts don’t apply to us). LSE Brexit (18 Jan 2016). Website.

Glennerster, Howard (1994) New challenges for management accounting: issues in health and social services. Financial Accountability and Management, 10 (2). pp. 131-141. ISSN 0267-4424

Glennerster, Howard (1993) Paying for welfare: issues for the 1990s. In: Deakin, Nicholas and Page, Robert, (eds.) The Costs of Welfare. Avebury, Aldershot, UK, pp. 13-28. ISBN 9781856285131

Glennerster, Howard (1977) The existing system of finance. In: The Finance of Education. Open University Press, Milton Keynes, UK, pp. 11-64. ISBN 0335067336

Glennerster, Howard (1995) The life cycle: public or private concern. In: Falkingham, Jane and Hills, John, (eds.) The Dynamics of Welfare: the Welfare State and the Life Cycle. Prentice-Hall, Inc., Hemel Hempstead. ISBN 9780133428414

Glennerster, Howard, Matsaganis, Manos and Owens, Patricia (1992) A foothold for fundholding : a preliminary report on the introduction of GP fundholding. King's Fund Institute, London, UK. ISBN 9781870607285

Glennerster, Howard, Owens, P and Matsaganis, M (1994) Implementing GP fundholding. Open University, London. ISBN 0335191088

Glück, Thorsten and Füss, Roland (2017) Contrary to common belief, market correlations between assets are constant. LSE Business Review (14 Feb 2017). Website.

Gobbi, Giorgio and Zizza, Roberta (2007) Does the underground economy hold back financial deepening? Evidence from the Italian credit market. CEPDP (789). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853281658

Goda, Gopi Shah, Levy, Matthew R. ORCID: 0000-0002-2508-826X, Flaherty Manchester, Colleen, Sojourner, Aaron, Tasoff, Joshua and Xiao, Jiusi (2023) Are retirement planning tools substitutes or complements to financial capability? Journal of Economic Behavior and Organization, 214. pp. 561-573. ISSN 0167-2681

Goda, Thomas (2014) Rising wealth concentration helped lead to the 2008 financial crisis and continues to contribute to ongoing financial instability. LSE American Politics and Policy (09 Apr 2014). Website.

Goldberg, Gertrude Schaffner (2014) Unemployment policy should include New Deal-style work programs. LSE American Politics and Policy (10 Feb 2014). Website.

Goldberg, Sanford H., Vann, Richard J., De Broe, Luc, Ward, David A., Legall, Jean-Pierre and Avery Jones, John F. (2000) Taxation caused by or after a change in residence. Tax Notes International (21). pp. 643-659. ISSN 1048-3306

Goldstein, Adam and Fligstein, Neil (2015) How the upper and middle classes embraced a culture of household debt and aggressive financial risk taking. USApp– American Politics and Policy Blog (11 May 2015). Website.

Goldstein, Itay, Ozdenoren, Emre and Yuan, Kathy (2010) Trading frenzies and their impact on real investment. CEPR Discussion Paper (DP7652). Centre for Economic Policy Research (Great Britain), London, UK.

Goldstein, Itay, Ozdenoren, Emre and Yuan, Kathy (2013) Trading frenzies and their impact on real investment. Journal of Financial Economics, 109 (2). pp. 566-582. ISSN 0304-405X (Submitted)

Goldstein, Itay, Ozdenoren, Emre and Yuan, Kathy (2011) Trading frenzies and their impact on real investment. Financial Markets Group Discussion Papers (670). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Golubeva, Evgenia (2015) When managing risk, overconfident managers don’t always follow the fundamentals. LSE Business Review (18 Nov 2015). Website.

Gomber, Peter, Kauffman, Robert J., Parker, Chris and Weber, Bruce W. (2018) Navigating the fintech landscape with a customer-market-competition matrix. LSE Business Review (20 Jun 2018). Website.

Gomes, Francisco and Michaelides, Alexander (2003) Aggregate implications of defined benefit and defined contribution systems. Financial Markets Group Discussion Papers (469). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gomes, Francisco and Michaelides, Alexander (2007) Asset pricing with limited risk sharing and heterogeneous agents. . Centre for Economic Policy Research (Great Britain), London, UK.

Gomes, Francisco and Michaelides, Alexander (2005) Asset pricing with limited risk sharing and heterogeneous agents. In: 15th Utah Winter Finance Conference, 2005-02-10 - 2005-02-12, Utah, United States. (Submitted)

Gomes, Francisco and Michaelides, Alexander (2005) Asset pricing with limited risk sharing and heterogeneous agents. Financial Markets Group Discussion Papers (537). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gomes, Francisco and Michaelides, Alexander (2005) Optimal life-cycle asset allocation: understanding the empirical evidence. . Centre for Economic Policy Research (Great Britain), London, UK.

Gomes, Francisco and Michaelides, Alexander (2003) Optimal life-cycle asset allocation: understanding the empirical evidence. Financial Markets Group Discussion Papers (474). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gomes, Francisco and Michaelides, Alexander (2003) Portfolio choice with internal habit formation: a life-cycle model with uninsurable labour income risk. . Centre for Economic Policy Research (Great Britain), London, UK.

Gomes, Francisco, Michaelides, Alexander and Polkovnichenko, Valery (2009) Optimal savings with taxable and tax-deferred accounts. Review of Economic Dynamics, 12 (4). pp. 718-735. ISSN 1094-2025

Gomes, Francisco, Michaelides, Alexander and Polkovnichenko, Valery (2004) Portfolio choice and wealth accumulation with taxable and tax-deferred accounts. Financial Markets Group Discussion Papers (519). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gomes, Francisco, Michaelides, Alexander and Polkovnichenko, Valery (2005) Wealth accumulation and portfolio choice with taxable and tax-deferred accounts. . Centre for Economic Policy Research (Great Britain), London, UK.

Gomes, Francisco J. and Michaelides, Alexander (2003) Portfolio choice with internal habit formation : a life-cycle model with uninsurable labor income risk. Review of Economic Dynamics, 6 (4). pp. 729-766. ISSN 1094-2025

Gomes, Pedro and Pouget, Francois (2008) Corporate tax competition and public capital stock. DARP (96). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Gomez, Rafael and Santor, Eric (2001) Membership has its privileges: the effect of social capital and neighbourhood characteristics on the earnings of microfinance borrowers. Canadian Journal of Economics, 34 (4). 943 - 966. ISSN 0008-4085

Gomtsian, Suren ORCID: 0000-0002-7531-6187 (2023) Executive compensation: investor preferences during say-on-pay votes and the role of proxy voting advisers. Legal Studies. ISSN 0261-3875

Gomulka, Stanislaw and Schaffer, M. (1990) A new method of long-run growth accounting with applications to the Soviet economy 1928-87 and the US economy 1949-78. CEPDP (14). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Gondat-Larralde, Celine and James, Kevin R. (2004) Block-booking and IPO share allocation: the importance of being ignorant. Financial Markets Group Discussion Papers (480). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gong, Rui, He, Jieshuang and Page, Frank (2016) Incentive compatible networks and the delegated networking principle. Systemic Risk Centre Discussion Papers (56). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gong, Rui and Page, Frank (2016) Shadow banks and systemic risks. Systemic Risk Centre Discussion Papers (55). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gong, Rui and Page, Frank (2016) Systemic risk and the dynamics of temporary financial networks. Systemic Risk Centre Discussion Papers (62). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gonzalez-Uribe, Juanita (2020) Exchanges of innovation resources inside venture capital portfolios. Journal of Financial Economics, 135 (1). 144 - 168. ISSN 0304-405X

Gonzalez-Uribe, Juanita and Hmaddi, Ouafaa (2022) The multi-dimensional impacts of business accelerators: what does the research tell us? . London School of Economics and Political Science, London, UK.

Gonzalez-Uribe, Juanita and Reyes, Santiago (2021) Identifying and boosting “gazelles”: evidence from business accelerators. Journal of Financial Economics, 139 (1). 260 - 287. ISSN 0304-405X

Gonzalez-Uribe, Juanita and Wang, Su (2020) The effects of small-firm loan guarantees in the UK: insights for the COVID-19 pandemic crisis. Financial Markets Group Discussion Papers (795). Financial Markets Group, The London School of Economics and Political Science, London, UK.

González-Ocantos, Ezequiel, de Jonge, Chad Kiewiet and Meseguer, Covadonga (2018) Remittances and vote buying. Latin American Research Review, 54 (3). pp. 689-707. ISSN 0023-8791

Goodhart, C. A. E. (2022) Book notes: a guide to good money, by Brendan Brown and Robert Pringle. Central Banking. ISSN 0960-6319

Goodhart, C. A. E. (2020) Book notes: the menace of fiscal QE, by George Selgin. Central Banking Journal, XXXI (1).

Goodhart, C. A. E. (2019) Book review: what money is and bitcoin isn’t. Financial World (April/May). pp. 57-58.

Goodhart, C. A. E. (2023) CDF Dialogue with Charles Goodhart: the demographic reversal triggers an inflation crisis. In: China Development Forum: Engaging with the World for Common Prosperity, 2023-03-25 - 2023-03-27, Beijing Diaoyutai State Guesthouse, Beijing, China.

Goodhart, C. A. E. (2022) Central Bank independence: are the glory days over? In: Hawkins, Penelope and Negru, Ioana, (eds.) Monetary Economics, Banking and Policy: Expanding Economic Thought to Meet Contemporary Challenges. Routledge Studies in the History of Economics. Routledge, Abingdon, UK, 26 - 34. ISBN 9780367695651

Goodhart, C. A. E. (2020) Central bank policies before and after the crisis. Journal of Banking, Finance & Sustainable Development, 1 (1). 33 - 34.

Goodhart, C. A. E. (2023) Charles Goodhart: we’re in for a fiscal crisis down the road and we don’t know how to solve it. Financial Times. ISSN 0307-1766

Goodhart, C. A. E. (2019) Corset put squeeze on banks. Financial World (April/May). pp. 32-33.

Goodhart, C. A. E. (2023) Focus is needed on improving central bank forecasts. Central Banking. ISSN 0960-6319

Goodhart, C. A. E. (2023) Greying and growing: the investment impact of demographic changes. (08 Feb 2023). Website.

Goodhart, C. A. E. (2022) Holistic bank regulation. In: Farmer, J. Doyne, Kleinnijenhuis, Alissa M., Schuermann, Til, Wyman, Oliver and Wetzer, Thom, (eds.) Handbook of financial stress testing. Cambridge University Press, Cambridge, UK, pp. 370-380. ISBN 9781108903011

Goodhart, C. A. E. (2019) How competition and the end of credit control came to be. Financial World. pp. 30-32.

Goodhart, C. A. E. (2022) How did the first Monetary Policy Committee members pursue their mandate? Economics Observatory.

Goodhart, C. A. E. (2014) Lessons for monetary policy from the Euro-area crisis. Journal of Macroeconomics, 39 (Part B). pp. 378-382. ISSN 0164-0704

Goodhart, C. A. E. (2021) Letter: a simple solution to worrisome debt levels. Financial Times. ISSN 0307-1766

Goodhart, C. A. E. (2023) Letter: limited liability is crux of the moral hazard problem. Financial Times. ISSN 0307-1766

Goodhart, C. A. E. (2021) Misdiagnosing risk: a defense of the ‘taxi fable’. Macroprudential Matters.

Goodhart, C. A. E. (2021) Moral hazard and equity finance: why policy has been sub-optimal since the Global Financial Crisis. In: Cassis, Youssef and van Helten, Jean-Jacques, (eds.) The Legacy of the Global Financial Crisis. I.B. Tauris Publishers, London, UK, 21 - 38. ISBN 9780755626625

Goodhart, C. A. E. (2020) No longer land of the free. Financial World. 55 - 56.

Goodhart, C. A. E. (2023) Should central banks abandon single point forecasts? VoxEU.

Goodhart, C. A. E. (2017) The determination of the money supply: flexibility versus control. Manchester School, 85 (S1). pp. 33-56. ISSN 1463-6786

Goodhart, C. A. E. (1987) The foreign exchange market: a random walk with a dragging anchor. Financial Markets Group Discussion Papers (1). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, C. A. E. (2022) The future of inflation. In: ECB Forum on Central Banking. Beyond the pandemic: the future of monetary policy. European Central Bank, Frankfurt, DE, 99 - 103. ISBN 9789289947282

Goodhart, C. A. E. (2018) The future of money and monetary policy. In: The future of central banking: festschrift in honour of Vítor Constâncio. European Central Bank, Frankfurt am Main, Germany. ISBN 9789289936811

Goodhart, C. A. E. (2018) The pattern of central bank development: past, present and future. In: Costabile, Lilia and Neal, Larry, (eds.) Financial Innovation and Resilience: A Comparative Perspective on the Public Banks of Naples (1462-1808). Palgrave Studies in the History of Finance. Palgrave Macmillan, London, UK, pp. 1-14. ISBN 9783319902470

Goodhart, C. A. E. (2022) The real problem of economic policy: monetary and fiscal policy can’t remain separate. iai News.

Goodhart, C. A. E. (2021) The state we're in. Financial World, FebApr (2021). 61 - 62.

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 Ashworth, Jonathan (2020) Coronavirus panic fuels a surge in cash demand. Discussion papers (DP14910). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E. and Ashworth, Jonathan (2020) Coronavirus panic fuels a surge in cash demand. Central Banking. ISSN 0960-6319

Goodhart, C. A. E. and Ashworth, Jonathan (2020) Coronavirus panic fuels a surge in cash demand. Central Banking Journal, XXXI (1).

Goodhart, C. A. E. and Curcio, Riccardo (1991) The clustering of bid/ask prices and the spread in the foreign exchange market. Financial Markets Group Discussion Papers (110). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, C. A. E. and Huan, Haizhou (1999) A model of the lender of last resort. Financial Markets Group Discussion Papers (313). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, C. A. E. and Huang, Haizhou (1995) What is the Central Bank's game? Financial Markets Group Discussion Papers (222). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, C. A. E. and Huang, Haizhou (1999) A simple model of an international lender of last resort. Financial Markets Group Discussion Papers (336). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, C. A. E., Hudson, Michael, Kumhof, Michael and Tideman, Nicolaus (2021) Post-Corona balanced-budget super-stimulus: the case for shifting taxes onto land. CEPR discussion paper series (DP16652). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E. and Kabiri, Ali (2019) Monetary policy and bank profitability in a low interest rate environment: a follow-up and a rejoinder. CEPR discussion papers (DP13752). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E. and Kostoulas, Vassilis (2022) σαρλς Γκούντχαρτ στην «Κ»: Μαζί μας ο πληθωρισμός μέχρι το 2050. I Kathimerini.

Goodhart, C. A. E. and Lastra, R. M. (2020) Equity finance: matching liability to power. Journal of Financial Regulation, 6 (1). 1 - 40. ISSN 2053-4833

Goodhart, C. A. E. and Lastra, Rosa (2023) Lender of Last Resort and moral hazard. CEPR Discussion Papers (DP18041). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E. and Lastra, Rosa (2020) The danger of company debt and what to do about it. Financial World. 40 - 43.

Goodhart, C. A. E. and Lastra, Rosa M. (2019) Equity finance: matching liability to power. CEPR discussion papers (DP13494). Centre for Economic Policy Research (Great Britain), London, UK.

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, C. A. E., Masciandaro, Donato and Ugolini, Stefano (2021) Helicopter money in another pandemic recession: Venice, 1630. VoxEU.

Goodhart, C. A. E., Masciandaro, Donato and Ugolini, Stefano (2021) Pandemic recession, helicopter money and central banking: Venice, 1630. CEPR discussion paper series (15715). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E., Mills, Terence C. and Capie, Forrest (2019) The slope of the term structure and recessions: evidence from the UK, 1822-2016. CEPR Discussion Paper (DP 13519). Centre for Economic Policy Research (Great Britain), London.

Goodhart, C. A. E., Peiris, M Udara and Tsomocos, Dimitrios P (2023) The need for governance-linked state-contingent IMF programmes: a third way for Sri Lanka. International Banker.

Goodhart, C. A. E., Peiris, M. U. and Tsomocos, D. P. (2016) Debt, recovery rates and the Greek dilemma. Saïd Business School WP 2016-15. Social Science Electronic, Rochester, NY, USA.

Goodhart, C. A. E., Peiris, M. U., Tsomocos, Dimitrios P and Wang, Xuan (2021) Corporate legacy debt, inflation, and the efficacy of monetary policy. Monetary Economics and Fluctuations (DP16799). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E., Peiris, Udara, Tsomocos, Dimitrios P. and Wang, Xuan (2022) Corporate legacy debt, inflation, and the efficacy of monetary policy. VOX EU.

Goodhart, C. A. E., Peiris, Udara, Tsomocos, Dimitrios P. and Wang, Xuan (2022) Corporate legacy debt, inflation, and the efficacy of monetary policy. . C.D. Howe Institute, Toronto, Canada.

Goodhart, C. A. E. and Postel-Vinay, Natacha (2024) The City of Glasgow Bank failure and the case for liability reform. . Centre for Economic Policy Research (Great Britain).

Goodhart, C. A. E. and Pradhan, Manoj (2021) What may happen when central banks wake up to more persistent inflation? VOX EU.

Goodhart, C. A. E. and Pradhan, Manoj (2020) The great demographic reversal: ageing societies, waning inequality, and an inflation revival. SUERF Policy Notes (197). SUERF The European Money and Finance Forum, Vienna, AT.

Goodhart, C. A. E. and Pradhan, Manoj (2023) A snapshot of Central Bank (two year) forecasting: a mixed picture. CEPR Discussion Papers (DP18043). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E., Romanidis, Nikolas, Tsomocos, Dimitri and Shubik, Martin (2017) Macro-modelling, default and money. Financial Markets Group Discussion Papers (755). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, C. A. E. and Sato, Hideki (2024) A note on the differences between European and international methodologies of banking regulation and supervision. CEPR discussion paper series (18840). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E., Tsomocos, Dimitrios P and Wang, Xuan (2023) Bank credit, inflation, and default risks over an infinite horizon. CEPR Discussion Papers (DP18042). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, C. A. E. and Tsomocos, Dimitrios P. (2019) Financial regulation and stability: lessons from the global financial crisis. . Elgar, Cheltenham, UK. ISBN 9781788973649

Goodhart, Charles (2017) Architects of the euro: intellectuals in the making of European Monetary Union, edited by Kenneth Dyson and Ivo Maes / The euro and the battle of ideas, by Markus Brunnermeier, Harold James and Jean-Pierre Landau. European Journal of the History of Economic Thought, 24 (3). pp. 606-611. ISSN 0967-2567

Goodhart, Charles (2017) Balancing lender of last resort assistance with avoidance of moral hazard. In: Heinemann, Frank, Klüh, Ulrich and Watzka, Sebastian, (eds.) Monetary Policy, Financial Crises, and the Macroeconomy: Festschrift for Gerhard Illing. Springer Berlin / Heidelberg, Cham, Switzerland, pp. 19-26. ISBN 978-3-319-56260-5

Goodhart, Charles (2018) The Bank of England, 1694-2017. In: Edvinsson, Rodney, Jacobson, Tor and Waldenström, Daniel, (eds.) Sveriges Riksbank and the history of central banking. Studies in macroeconomic history. Cambridge University Press, Cambridge, UK, pp. 143-171. ISBN 9781107193109

Goodhart, Charles (2011) The Basel Committee on Banking Supervision: a history of the early years, 1974–1997. Cambridge University Press, Cambridge, UK. ISBN 9781107007239

Goodhart, Charles (2002) Basel and pro-cyclicality. In: Hilton, Andrew, (ed.) Bumps on the Road to Basel. Centre for the Study of Financial Innovation [CSFI], London, UK. ISBN 0954314450

Goodhart, Charles (2016) Beating the UK downturn: innovative fiscal policy needed to back Bank of England easing. Official Monetary and Financial Institutions Forum (OMFIF), 7 (34.1).

Goodhart, Charles (2018) Behavioural perspectives on bank misdeeds. European Journal of Finance, 24 (7-8). pp. 517-520. ISSN 1351-847X

Goodhart, Charles (2022) Ben S. Bernanke: 21st century monetary policy: the federal reserve from the great inflation to COVID-19. W.W. Norton & Company, 2022. Business Economics, 57 (4). 225 - 227. ISSN 0007-666X

Goodhart, Charles (2018) Book Review: myths and macro: macroeconomics and the Phillips curve myth by James Forder. Financial World. pp. 56-57.

Goodhart, Charles (2017) Book review of Advice & Dissent: my life in public service, by Y.V. Reddy. Financial World. pp. 57-58.

Goodhart, Charles (2017) Book review: grave new world: the end of globalisation. Financial World, AugSep. pp. 57-58.

Goodhart, Charles (2018) Book review: lo and behold. Inference, 3 (4). ISSN 2576-4403

Goodhart, Charles (2018) Book review: till time's last sand: a history of the Bank of England, 1694-2013 by David Kynaston. History of Political Economy, 50 (4). pp. 800-802. ISSN 0018-2702

Goodhart, Charles (2018) Book review: unfinished business by Tamim Bayoumi. Financial World, Jan. p. 58.

Goodhart, Charles (2017) A Central Bank’s optimal balance sheet size? Discussion papers (DP12272). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, Charles (2016) Central bank evolution: lessons learnt from the sub-prime crisis. In: Bordo, Michael D., Eitrheim, Øyvind, Flandreau, Marc and Qvigstad, Jan F., (eds.) Central Banks at a Crossroads What Can We Learn from History? Studies in Macroeconomic History. Cambridge University Press, Cambridge, UK. ISBN 9781107149663

Goodhart, Charles (2018) Central bank policies in recent years. Quarterly Review, 51 (2). pp. 71-78. ISSN 1811-1254

Goodhart, Charles (1999) Central bankers and uncertainty. Bank of England Quarterly Bulletin, 39 (1). pp. 102-121. ISSN 0005-5166

Goodhart, Charles (1999) Discussion of the "monetary policy strategy of the ECB". In: Cobham, D. and Zis, G., (eds.) From Ems to Emu. Palgrave Macmillan. ISBN 9780312227999

Goodhart, Charles (2016) Financial crises. In: Chambers, David and Dimson, Elroy, (eds.) Financial market history: reflections on the past for investors today. The CFA Institute Research Foundation, London, UK, pp. 187-205. ISBN 9781944960131

Goodhart, Charles (2017) Guest post: why regulators should focus on bankers’ incentives. Bank Underground (05 Apr 2017). Website.

Goodhart, Charles (2017) Has regulatory reform been misdirected? Journal of Financial Regulation and Compliance, 25 (3). pp. 236-240. ISSN 1358-1988

Goodhart, Charles (2016) How demography influences monetary policy. LSE Business Review (25 Jul 2016). Website.

Goodhart, Charles (2010) Is a less pro-cyclical financial system an achievable goal? National Institute Economic Review, 211 (1). pp. 81-90. ISSN 0027-9501

Goodhart, Charles (2015) Linkages between macro-prudential and micro-prudential supervision. Butterworths Journal of International Banking and Financial Law, 30 (10). pp. 607-609. ISSN 0269-2694

Goodhart, Charles (2018) Monetary regimes: then and now. In: Dow, Sheila, Jespersen, Jesper and Tily, Geoff, (eds.) Money, Method and Contemporary Post-Keynesian Economics. New Directions in Modern Economics. Elgar, London, UK, pp. 1-11. ISBN 9781786439857

Goodhart, Charles (2010) Money, credit and bank behaviour: need for a new approach. National Institute Economic Review, 214 (1). F73-F82. ISSN 0027-9501

Goodhart, Charles (2011) Moral hazard. In: Green, Christopher J., Pentecost, Eric J. and Weyman-Jones, Tom, (eds.) The Financial Crisis and the Regulation of Finance. Elgar, Cheltenham, UK. ISBN 9781849808705

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

Goodhart, Charles (2002) Recent developments in central banking. In: Dickinson, David and Allen, William, (eds.) Monetary Policy, Capital Flows and Exchange Rates: Essays in Honour of Maxwell Fry. International studies in money and banking. Routledge, London, UK, pp. 65-77. ISBN 9780415251358

Goodhart, Charles (2002) Technology's fine... but everyone loves cash. Accounting & Business, 5 (1). pp. 42-43. ISSN 1460-406X

Goodhart, Charles (2017) Why has monetary policy not worked as expected? Some interactions between financial regulation, credit and money. In: Congdon, Tim, (ed.) Money in the Great Recession Did a Crash in Money Growth Cause the Global Slump? Buckingham studies in money, banking and central banking. Elgar, Cheltenham, UK, pp. 155-164. ISBN 9781784717827

Goodhart, Charles (2018) The changing fortunes of central banking. In: Hartmann, P., Huang, H. and Schoenmaker, Dirk, (eds.) The changing fortunes of central banking. Cambridge University Press, Cambridge, UK, pp. 376-389. ISBN 9781108423847

Goodhart, Charles (2005) An essay on the interactions between the Bank of England's forecasts, the MPC's policy adjustments, and the eventual outcome. Financial Markets Group Discussion Papers (546). Financial Markets Group, The London School of Economics and Political Science, London, UK. (Submitted)

Goodhart, Charles (2018) The history of the financial markets group. Financial World.

Goodhart, Charles (2015) The interest rate conditioning assumption. Financial Markets Group Discussion Papers (547). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles (2002) The operational risk issue. In: Bumps on the Road to Basel: an Anthology on Basel 2. Centre for the Study of Financial Innovation (CSFI), London. ISBN 0954314450

Goodhart, Charles (2017) The optimal size for central bank balance sheets. Central Banking, XXVIII (2). pp. 128-135. ISSN 0960-6319

Goodhart, Charles and Ashworth, Jonathan (2011) The Bank of England’s second round of quantitative easing may do little to improve economic confidence or to encourage bank lending, and may even lead to more upward pressures on inflation. British Politics and Policy at LSE (14 Oct 2011). Website.

Goodhart, Charles and Ashworth, Jonathan (2011) George Osborne’s proposed ‘credit easing’ measures must incentivise banks to increase their lending to small businesses: they are vital to the recovery of employment and the wider economy. British Politics and Policy at LSE (11 Nov 2011). Website.

Goodhart, Charles and Avgouleas, Emilios (2016) An anatomy of bank bail-ins – why the Eurozone needs a fiscal backstop for the banking sector. European Economy: Banks, Regulation, and the Real Sector (2). ISSN 2421-6917

Goodhart, Charles and Avgouleas, Emilios (2016) A critical evaluation of bail-in as a bank recapitalization mechanism. In: Evanoff, Douglas D., Haldane, Andrew and Kaufman, George G., (eds.) The New International Financial System: Analyzing the Cumulative Impact of Regulatory Reform. World Scientific Studies in International Economics. World Scientific (Firm), Singapore, pp. 267-305. ISBN 9789814678322

Goodhart, Charles and Bin Lim, Wen (2008) Interest rate forecasts: a pathology. Financial Markets Group Discussion Papers (612). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles and Huang, Haizhou (1999) What are the central bank's and the private sector's objectives? In: Arestis, Philip, Daniel, Sami and Grahl, John, (eds.) Money and Macroeconomic Policy: Essays in Honour of Bernard Corry and Maurice Peston. Elgar, Cheltenham, UK, pp. 108-126. ISBN 9781858985787

Goodhart, Charles and Hudson, Michael (2018) Could/should jubilee debt cancellations be reintroduced today? Discussion papers (DP12605). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, Charles and Hudson, Michael (2018) Some ways to introduce a modern debt Jubilee. VoxEU.

Goodhart, Charles and Jensen, Meinhard (2015) Currency School versus Banking School: an ongoing confrontation. Economic Thought, 4 (2). pp. 20-31. ISSN 2049-3509

Goodhart, Charles, Kashyap, Anil, Tsomocos, Dimitri and Vardoulakis, Alexandros (2012) Financial regulation in general equilibrium. Financial Markets Group Discussion Papers (702). Financial Markets Group, The London School of Economics and Political Science, London, UK.

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 and Krueger, Malte (2001) The impact of technology on cash usage. Financial Markets Group Discussion Papers (374). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles and Lastra, R. M. (2010) Border problems. Journal of International Economic Law, 13 (3). pp. 705-718. ISSN 1369-3034

Goodhart, Charles and Lastra, Rosa (2018) Central bank accountability and judicial review. SUERF Policy Notes, 32.

Goodhart, Charles and Lastra, Rosa (2017) Populism and central bank independence. Discussion Paper Series (DP12122). Centre for Economic Policy Research (Great Britain), London, UK.

Goodhart, Charles and Lastra, Rosa (2017) Populism and central bank independence. Open Economies Review, 29 (1). pp. 49-68. ISSN 0923-7992

Goodhart, Charles and Lastra, Rosa (2018) Potential threats to central bank independence. In: Eijffinger, Sylvester and Masciandaro, Donato, (eds.) Hawks and Doves: Deeds and Words - Economics and Politics of Monetary Policymaking. VoxEU.org, London, UK, pp. 15-23.

Goodhart, Charles and Lastra, Rosa (2023) The changing and growing roles of independent central banks now do require a reconsideration of their mandate. Accounting, Economics and Law: A Convivium. ISSN 2152-2820

Goodhart, Charles and Lim, Wen Bin (2011) Interest rate forecasts: a pathology. International Journal of Central Banking, 7 (2). pp. 135-171. ISSN 1815-4654

Goodhart, Charles, Love, Ryan, Payne, Richard and Rime, Dagfinn (2002) Analysis of spreads in the dollar/euro and Deutsche Mark/dollar foreign exchange markets. Financial Markets Group Discussion Papers (467). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles and Meade, Ellen E. (2002) Central banks and supreme courts: a comparison of monetary and judicial processes and transparency. In: Conference in Honour of Charles Freedman, 2002-01-01, Toronto, Canada. (Submitted)

Goodhart, Charles and Ostergaard, Charlotte (1999) Guest editorial. Journal of Financial Regulation and Compliance, 6 (4). pp. 302-303. ISSN 1358-1988

Goodhart, Charles and Pappa, Evi (2003) The transition from national currencies to the Euro. Economics Letters, 79 (1). pp. 83-88. ISSN 0165-1765

Goodhart, Charles, Peiris, M. U., Tsomocos, D. P. and Vardoulakis, A. P. (2010) On dividend restrictions and the collapse of the interbank market. Annals of Finance, 6 (4). pp. 455-473. ISSN 1614-2446

Goodhart, Charles, Peiris, M. U. and Tsomocos, Dimitrios P. (2018) Debt, recovery rates and the Greek dilemma. Journal of Financial Stability. ISSN 1572-3089

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, Pradhan, Manoj and Pardeshi, P. (2015) Could demographics reverse three multi-decade trends? Global Issues. Morgan Stanley & Co. International Plc., London, UK.

Goodhart, Charles, Romanidis, Nikolaos, Tsomocos, Dimitrios P. and Shubik, Martin (2019) Macro-modelling, default and money. In: Mayes, David G., Siklos, Pierre L. and Sturm, Jan-Egbert, (eds.) The Oxford Handbook of the Economics of Central Banking. Oxford Handbooks. Oxford University Press, Oxford, UK. ISBN 9780190626198

Goodhart, Charles and Schoenmaker, Dirk (2016) The United States dominates global investment banking: does it matter for Europe? Bruegel Policy Contribution (2016/06). Bruegel, Brussels, Belgium.

Goodhart, Charles and Schoenmaker, Dirk (2016) The global investment banks are now all becoming American: does that matter for Europeans? Journal of Financial Regulation. fjw012. ISSN 2053-4833

Goodhart, Charles, Schoenmaker, Dirk and Dasgupta, Paolo (2001) The skill profile of central bankers and supervisors. Financial Markets Group Discussion Papers (377). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles and Segoviano, Miguel A. (2004) Basel and procyclicality: a comparison of the standardised and IRB approaches to an improved credit risk method. Financial Markets Group Discussion Papers (524). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles and Segoviano, Miguel A. (2015) Optimal bank recovery. Working paper (WP/15/217). International Monetary Fund, Washington. ISBN 9781513584263

Goodhart, Charles, Sunirand, P. and Tsomocos, D. P. (2009) The optimal monetary instrument for prudential purposes. Journal of Financial Stability, 7 (2). pp. 70-77. ISSN 1572-3089

Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios P. (2004) A model to analyse financial fragility. Financial Markets Group Discussion Papers (492). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios P. (2004) A risk assessment model for banks. Financial Markets Group Discussion Papers (504). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios P. (2004) A time series analysis of financial fragility in the UK banking system. Financial Markets Group Discussion Papers (517). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles, Tsomocos, Dimitri and Vardoulakis, Alexandros (2010) Modelling a housing and mortgage crisis. Financial Markets Group Discussion Papers (649). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Goodhart, Charles and Tsomocos, Dimitrios P. (2012) The challenge Of financial stability: a new model and its applications. Elgar, Cheltenham, UK. ISBN 9781847208941

Goodhart, Charles and Wood, Geoffrey (2016) Quite erroneous policy: bond-buying has little impact on real economy. OMFIF Bulletin, 7 (9). p. 13.

Goodhart, Charles and Wood, Geoffrey (2016) The internal contradictions of QE ... or should it be quite erroneous? The Telegraph.

Goodhart, Charles and Wood, Geoffrey (2020) The internal contradictions of macro-monetary policy. VoxEU (24 Jan 2020). Blog Entry.

Goodhart, Charles A. E. (2016) Determining the quantity of bank deposits. Banking Perspective, 4 (2).

Goodhart, Charles A. E. (2010) Domestic banking problems. In: Diebold, Francis X., Doherty, Neil A. and Herring, Richard J., (eds.) The Known, the Unknown, and the Unknowable in Financial Risk Management: Measurement and Theory Advancing Practice. Princeton University Press, Princeton, USA, pp. 290-295. ISBN 9780691128832

Goodhart, Charles A. E. (2011) Financial regulation. In: Eijffinger, Sylvester and Masciandaro, Donato, (eds.) Handbook of Central Banking, Financial Regulation and Supervision: After the Financial Crisis. Elgar, Cheltenham, pp. 326-353. ISBN 9781849803137

Goodhart, Charles A. E. (2016) In praise of stress tests. In: Anderson, Ronald W., (ed.) Stress Testing and Macroprudential Regulation: A Transatlantic Assessment. Centre for Economic Policy Research (Great Britain), London, UK, pp. 141-153. ISBN 9781907142987

Goodhart, Charles A. E. (2016) Whither central banking? Central banking in times of change: A compilation of speeches delivered in the OeNB’s 200th anniversary year. pp. 28-31. ISSN 2309-3323

Goodhart, Charles A. E. and Erfurth, Philipp (2016) Monetary policy and long-term trends. In: Castañeda, Juan E., Mayes, David G. and Wood, Geoffrey, (eds.) European Banking Union: Prospects and Challenges. Routledge international studies in money and banking (85). Routledge, Abingdon, UK, pp. 208-220. ISBN 9781138906501

Goodhart, Charles A. E. and Lastra, Rosa M. (2012) The boundary problems in financial regulation. In: Barth, James R., Lin, Chen and Wihlborg, Clas, (eds.) Research Handbook on International Banking and Governance. Elgar, Cheltenham, pp. 321-332. ISBN 9781849802932

Goodhart, Charles A. E. and Tsomocos, Dimitrios P. (2012) Financial stability in practice. Elgar, Cheltenham, UK. ISBN 9781847208934

Goodhart, Charles A.E., Tsomocos, Dimitrios P. and Wang, Xuan (2023) Bank credit, inflation, and default risks over an infinite horizon. Journal of Financial Stability, 67. ISSN 1572-3089

Goodhart, Lucy (2015) Brave new world? Macro prudential policy and the new political economy of The Federal Reserve. Systemic Risk Centre Discussion Papers (29). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gordillo, José L., Pardo-Guerra, Juan Pablo and Stephens, Christopher R. (2004) Adaptation in the presence of exogeneous information in an artificial financial market. In: Micai 2004: Advances in Artificial Intelligence. Springer Berlin / Heidelberg, pp. 342-351.

Gordon, Elizabeth A., Henry, Elaine, Jorgensen, Bjorn N. and Linthicum, Cheryl L. (2017) Flexibility in cash-flow classification under IFRS: determinants and consequences. Review of Accounting Studies, 22 (2). pp. 839-872. ISSN 1380-6653

Gordon, Gretchen and Mellini, Stephanie (2015) UN FORUM SERIES – follow the money: using development finance to hold corporations accountable. Measuring Business and Human Rights (03 Dec 2015). Website.

Gordon, Ian R. ORCID: 0000-0002-2170-8193 (2016) Quantitative easing of an international financial centre:how central London came so well out of the post-2007 crisis. Cambridge Journal of Regions, Economy and Society, 9 (2). pp. 335-353. ISSN 1752-1378

Gordon, Ian R. (2015) Quantitative easing of an international financial centre:how central London came so well out of the post-2007crisis. SERC discussion papers (193). Spatial Economics Research Centre, London, UK.

Gordon, Ian R., Haslam, Colin, McCann, Philip and Scott-Quinn, Brian (2005) Off-shoring and the city of London. . Corporation of London, London, UK.

Gordon, Roger H. and Kopczuk, Wojciech (2011) The choice of the personal income tax base. Public Economics Programme Papers (PEP 11). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Gordon, Stuart (2019) The risk of de-risking: the impact of counterproductive financial measures on the humanitarian response to the Syrian crisis. Conflict Research Programme Blog (20 Mar 2019). Blog Entry.

Goriaev, A., Palomino, Frédéric and Prat, Andrea (2000) Mutual fund tournament: risk taking incentives induced by ranking objectives. . Center for Economic Research, Tilburg University, Tilburg, The Netherlands.

Goriaev, Alexei P., Palomino, Frédéric and Prat, Andrea (2001) Mutual fund tournament: risk taking incentives induced by ranking objectives. . Centre for Economic Policy Research (Great Britain), London, UK.

Gorman, Larry R. and Jorgensen, Bjorn N. (2002) Domestic versus international portfolio selection: a statistical examination of the home bias. Multinational Finance Journal, 6 (3-4). pp. 131-166. ISSN 1069-1879

Gostlow, Glen (2020) The materiality and measurement of physical climate risk: evidence from Form 8-K. Geography and Environment Discussion Paper Series (15). Department of Geography and Environment, LSE, London, UK.

Gottardi, Piero and Rahi, Rohit ORCID: 0000-0001-6887-9160 (2013) Risk sharing and retrading in incomplete markets. Economic Theory, 54 (2). pp. 287-304. ISSN 0938-2259

Gottardi, Piero and Rahi, Rohit ORCID: 0000-0001-6887-9160 (2014) Value of information in competitive economies with incomplete markets. International Economic Review, 55 (1). 57 - 81. ISSN 0020-6598

Gottardi, Piero and Rahi, Rohit ORCID: 0000-0001-6887-9160 (2010) Value of information in competitive economies with incomplete markets. Financial Markets Group Discussion Papers (658). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gottlieb, Daniel ORCID: 0000-0002-0555-6185 and Smetters, Kent (2021) Lapse-based insurance. American Economic Review, 111 (8). 2377 - 2416. ISSN 0002-8282

Gough, Orla and Niza, Claudia (2011) Retirement saving choices: review of the literature and policy implications. Journal of Population Ageing, 4 (1-2). pp. 97-117. ISSN 1874-7884

Gouldson, Andrew, Lidskog, Rolf and Wester-Herber, Misse (2004) The battle for hearts and minds? Evolutions in organisational approaches to environmental risk communication. CARR Discussion Papers (DP 24). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 075301744 X

Gourinchas, Pierre-Olivier, Philippon, Thomas and Vayanos, Dimitri (2016) The Greek crisis: an autopsy. LSE Greece@LSE (01 Dec 2016). Website.

Gourinchas, Pierre-Olivier, Philippon, Thomas and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2017) The analytics of the Greek crisis. NBER Macroeconomics Annual, 31 (1). pp. 1-81. ISSN 0889-3365

Gourvish, Terry (2003) Business history and risk. CARR Discussion Papers (DP 12). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Gourvish, Terry (2011) The financing of a large infrastructure project: the case of the Channel Tunnel. In: Amatori, Franco, Millward, Robert and Toninelli, Pier Angelo, (eds.) Reappraising state-owned enterprise: a comparison of the UK and Italy. Routledge international studies in business history. Routledge, New York, USA, pp. 100-118. ISBN 9780415878326

Gozman, Daniel, Liebenau, Jonathan and Aste, Tomaso (2020) A case study of using blockchain technology in regulatory technology. MIS Quarterly Executive, 19 (1). 19 - 37. ISSN 1540-1960

Gozman, Daniel, Liebenau, Jonathan and Mangan, Jonathan (2018) Innovation mechanisms of fintech start-ups: insights from SWIFT Innotribe competition. Journal of Management Information Systems, 35 (1). 145 - 179. ISSN 0742-1222

Grafe, Clemens and Wyplosz, Charles (1998) The real exchange rate in transition economies. CEPDP (395). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Granger, Clive W. J., Terasvirta, Timo and Patton, Andrew J. (2003) Common factors in conditional distributions for Bivariate time series. Financial Markets Group Discussion Papers (455). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Grant, Jeremy and Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 (2004) Corporate ownership structure and performance in Europe. CEPDP (631). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753017571

Grant, Jeremy, Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Kirshner, Jodie A. (2009) Financial tunnelling and the mandatory bid rule. European Business Organization Law Review, 10 (2). pp. 233-253. ISSN 1566-7529

Greco, Luciano G. (2006) The optimal design of funded pensions. Financial Markets Group Discussion Papers (567). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Green, Duncan (2015) How can INGOs get better? Duncan Green’s ‘surprisingly interesting’ conversation with finance directors. International Development (16 Sep 2015). Website.

Green, Duncan (2015) What difference do remittances and migration make back home? Duncan Green selects from the Economist. International Development (08 Sep 2015). Website.

Green, Fergus (2015) New economics of climate change action challenges ‘costly burden’ arguments. LSE Business Review (30 Nov 2015). Website.

Green, Jane and Jennings, Will (2017) Will Brexit be another Black Wednesday for the Conservatives? Lessons from the ERM crisis. LSE Brexit (19 Sep 2017). Website.

Greene, Catherine (2019) Differential information, arbitrage, and subjective value. Topoi. ISSN 0167-7411

Greene, Catherine (2018) Information in financial markets. In: Addison, Mark, Gobet, Fernand and Sozou, Peter D., (eds.) Scientific discovery in the social sciences. Springer Berlin / Heidelberg.

Greene, Catherine (2020) A crisis of beliefs: investor psychology and financial fragility, by Nicola Gennaioli and Andrei Shleifer. Princeton, NJ: Princeton University Press. Business Ethics Quarterly, 30 (4). 613 - 616. ISSN 1052-150X

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

Greenwood, Robin and Vayanos, Dimitri (2010) Price pressure in the government bond market. American Economic Review, 100 (2). pp. 585-590. ISSN 0002-8282

Gregg, Paul, Jewell, Sarah and Tonks, Ian (2010) Executive pay and performance in the UK. Financial Markets Group Discussion Papers (657). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gregory, Alan, Matako, John, Tonks, Ian and Purkis, Richard (1993) UK directors' trading: the impact of dealings in smaller firms. Financial Markets Group Discussion Papers (160). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gregory, Alan and Tonks, Ian (2004) Performance of personal pension schemes in the UK. Financial Markets Group Discussion Papers (486). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Greve, Henrich R. and Zhang, Cyndi Man (2016) How Chinese firms reacted when told to change their share ownership structures. LSE Business Review (01 Nov 2016). Website.

Griffith-Jones, Stephany and Naqvi, Natalya (2021) Industrial policy and risk sharing in public development banks: lessons for the post-COVID response from the EIB and EFSI. Revista de Economia Mundial (59). 67 - 91. ISSN 1576-0162

Griffith-Jones, Stephany and Pagliari, Stefano (2009) Limiting systemic risks, new principles for regulation. Zeitschrift Für Wirtschaftspolitik, 58 (3). pp. 346-354. ISSN 0721-3808

Griffith-Jones, Stephany, Segoviano, Miguel Angel and Spratt, Stephen (2003) Basel II and developing countries: diversification and portfolio effects. Financial Markets Group Discussion Papers (437). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Griffith-Jones, Stephany, Spiegel, Shari, Xu, Jiajun, Carreras, Marco and Naqvi, Natalya ORCID: 0000-0003-0821-070X (2022) Matching risks with instruments in development banks. Review of Political Economy, 34 (2). 197 - 223. ISSN 0953-8259

Grigat, Daniel and Caccioli, Fabio (2017) Reverse stress testing interbank networks. Scientific Reports, 7 (1). p. 15616. ISSN 2045-2322

Grimond, Will (2021) Economic insecurity impacts both groups with traditional and progressive values – all parties have a stake in improving work and financial resilience. British Politics and Policy at LSE (12 Mar 2021). Blog Entry.

Grinis, Inna (2015) Credit risk spillovers, systemic importance and vulnerability in financial networks. Systemic Risk Centre Discussion Papers (27). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Grinis, Inna (2017) Skills diversity in unity. Systemic Risk Centre Discussion Papers (70). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Grinis, Inna (2017) Trend growth durations & shifts. Systemic Risk Centre Discussion Papers (71). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Grodecka, Anna (2013) Book review: Behavioural economics and finance. LSE Review of Books (26 Jun 2013). Website.

Groen-Xu, Moqi (2016) CEOs strategically time news releases for their own benefit. LSE Business Review (22 Mar 2016). Website.

Gromb, Denis and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2002) Equilibrium and welfare in markets with financially constrained arbitrageurs. Journal of Financial Economics, 66 (2-3). pp. 361-407. ISSN 0304-405X

Gromb, Denis and Vayanos, Dimitri (2009) Financially constrained arbitrage and cross-market contagion. . Department of Finance, London School of Economics and Political Science, London, UK.

Gromb, Denis and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2010) Limits of arbitrage. Annual Review of Financial Economics, 2. pp. 251-275. ISSN 1941-1367

Gromb, Denis and Vayanos, Dimitri (2010) Limits of arbitrage: the state of the theory. Financial Markets Group Discussion Papers (650). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gromb, Denis and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2018) The dynamics of financially constrained arbitrage. Journal of Finance, 73 (4). 1713 - 1750. ISSN 0022-1082

Gromb, Denis and Vayanos, Dimitri (2017) The dynamics of financially constrained arbitrage. Financial Markets Group Discussion Papers (771). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Gromb, Denis and Vayanos, Dimitri (2015) The dynamics of financially constrained arbitrage. Systemic Risk Centre Discussion Papers (32). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Gromb, Denis and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2010) A model of financial market liquidity based on intermediary capital. Journal of the European Economic Association, 8 (2-3). pp. 456-466. ISSN 1542-4774

Gropper, Daniel M., Jahera, John S. and Park, Chul Park (2015) The less economic freedom a state has, the more political connections local firms need. LSE Business Review (10 Dec 2015). Website.

Grossman, Gene M., Helpman, Elhanan, Oberfield, Ezra and Sampson, Thomas (2016) Balanced growth despite Uzawa. CEP Discussion Paper (1403). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Grueter, Gerhard (2017) Fintechs have advantages over established banks, but regulation is a major challenge. LSE Business Review (14 Mar 2017). Website.

Grüll, Georg and Taschini, Luca ORCID: 0000-0001-5355-1736 (2011) Cap-and-trade properties under different hybrid scheme designs. Journal of Environmental Economics and Management, 61 (1). pp. 107-118. ISSN 0095-0696

Gu, Ran, Peng, Cameron and Zhang, Weilong (2024) The gender gap in household bargaining power: a revealed-preference approach. Review of Financial Studies. ISSN 0893-9454 (In Press)

Guasoni, Paolo, Kardaras, Constantinos ORCID: 0000-0001-6903-4506, Robertson, Scott and Xing, Hao (2014) Abstract, classic, and explicit turnpikes. Finance and Stochastics, 18 (1). pp. 75-114. ISSN 0949-2984

Guasoni, Paolo, Muhle-Karbe, Johannes and Xing, Hao (2017) Robust portfolios and weak incentives in long-run investments. Mathematical Finance, 27 (1). pp. 3-37. ISSN 0960-1627

Guenther, Benno and Lordan, Grace (2023) When the disposition effect proves to be rational: experimental evidence from professional traders. Frontiers in Psychology, 14. ISSN 1664-1078

Guha, Samapti (2007) Impact of competition on microfinance beneficiaries: evidence from India. Working Paper (21). Asia Research Centre, London School of Economics and Political Science, London, UK.

Guibaud, Stéphane, Nosbusch, Yves and Vayanos, Dimitri (2011) Bond market clienteles, the yield curve and the optimal maturity structure of government debt. Financial Markets Group Discussion Papers (669). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Guibaud, Stéphane, Nosbusch, Yves and Vayanos, Dimitri (2013) Bond market clienteles, the yield curve, and the optimal maturity structure of government debt. Review of Financial Studies, 26 (8). pp. 1914-1961. ISSN 0893-9454

Guidolin, Massimo and Timmermann, Allan (2001) Option prices under Bayesian learning: implied volatility dynamics and predictive densities. Financial Markets Group Discussion Papers (397). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Guimaraes, Bernardo (2007) International financial crises. UNSPECIFIED.

Guimaraes, Bernardo (2011) Sovereign default: which shocks matter? Review of Economic Dynamics, 14 (4). pp. 553-576. ISSN 1094-2025

Guimaraes, Bernardo (2005) Unique equilibrium in a dynamic model of crises with frictions. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Guimaraes, Bernardo (2008) Vulnerability of currency pegs: evidence from Brazil. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Guin, Benjamin, Korhonen, Perttu and Moktan, Sidharth (2022) Risk differentials between green and brown assets? Economics Letters, 213. ISSN 0165-1765

Guire, William M.C., Holtmaat, Ellen Alexandra ORCID: 0000-0002-6331-7297 and Prakash, Aseem (2022) Penalties for industrial accidents: the impact of the Deepwater Horizon accident on BP’s reputation and stock market returns. PLOS ONE, 17 (6). ISSN 1932-6203

Gulati, Rachita, Kattumuri, Ruth ORCID: 0000-0003-2820-9060 and Kumar, Sunil (2020) A non-parametric index of corporate governance in the banking industry: an application to Indian data. Socio-Economic Planning Sciences, 70. ISSN 0038-0121

Guler, Ali Umut, Misra, Kanishka and Vilcassim, Naufel (2014) Countercyclical pricing: a consumer heterogeneity explanation. Economics Letters, 122 (2). pp. 343-347. ISSN 0165-1765

Gulrajani, Nilima (2010) Challenging global accountability: the intersection of contracts and culture in the World Bank. GEG Working Papers (2010/56). Global Economic Governance Programme, University College, University of Oxford, Oxford, UK.

Gulrajani, Nilima (2006) The art of fine balances: the challenge of institutionalizing the Comprehensive Development Framework inside the World Bank. In: Stone, Diane and Wright, Christopher, (eds.) The World Bank and Governance: a Decade of Reform and Reaction. Routledge/Warwick studies in globalisation (14). Routledge, London, UK, pp. 48-66. ISBN 041541282X

Gunningham, Ellie (2013) Sourcing talent for business in Africa’s emerging markets. Africa at LSE (16 Dec 2013). Website.

Gunningham, Neil, Kagan, Robert and Thornton, Dorothy (2002) Social licence and environmental protection: why businesses go beyond compliance. CARR Discussion Papers (DP 8). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Gunny, Katherine A., Jacob, John and Jorgensen, Bjorn N. (2013) Implications of the integral approach and earnings management for alternate annual reporting periods. Review of Accounting Studies, 18 (3). pp. 868-891. ISSN 1380-6653

Gupta, Nandini and Yuan, Kathy (2009) On the growth effect of stock market liberalizations. Review of Financial Studies, 22 (11). pp. 4715-4752. ISSN 0893-9454

Guriev, Sergei and Makarov, Igor (2002) Debt overhang and barter in Russia. Journal of Comparative Economics, 30 (4). pp. 635-656. ISSN 0147-5967

Gârleanu, Nicolae, Kogan, Leonid and Panageas, Stavros (2012) Displacement risk and asset returns. Journal of Financial Economics, 105 (3). pp. 491-510. ISSN 0304-405X

Gârleanu, Nicolae, Panageas, Stavros and Yu, Jianfeng (2012) Technological growth and asset pricing. Journal of Finance, 67 (4). pp. 1265-1292. ISSN 0022-1082

Gómez, Georgina M. and Dini, Paolo (2016) Making sense of a crank case: monetary diversity in Argentina (1999–2003). Cambridge Journal of Economics, 40 (5). pp. 1421-1437. ISSN 0309-166X

H

Haacke, Jürgen (2019) Time to revisit “hedging". RISE.

Haan, Wouter Den, Ilzetzki, Ethan, Ellison, Martin and McMahon, Michael (2016) Are academic economists out of touch with voters and politicians? LSE Business Review (03 Aug 2016). Website.

Haas, Astrid (2016) Proceed with caution: South Sudan and the East African Monetary Union. International Growth Centre Blog (26 Oct 2016). Website.

Haas, Astrid, Wolf, Sebastian, Jellema, Jon and Lustig, Nora (2016) Impact of fiscal policy on inequality and poverty in Uganda. International Growth Centre Blog (12 Sep 2016). Website.

Habersack, Mathias (2017) The non-frustration rule and the mandatory bid rule – cornerstones of European takeover law? LSE Law, Society and Economy Working Papers (9/2017). Department of Law, London School of Economics and Political Science, London, UK.

Haddad, Nader (2017) The City plans for a tough Brexit divorce. LSE Brexit (23 May 2017). Website.

Hadjiemmanuil, Christos (2015) Bank resolution financing in the banking union. LSE Law, Society and Economy Working Paper Series, 6. London School of Economics and Political Science, London, UK.

Hadjiemmanuil, Christos (2016) Bank resolution financing in the banking union. In: Binder, Jens-Hinrich and Singh, Dalvinder, (eds.) Bank Resolution: The European Regime. Oxford University Press, Oxford, UK. ISBN 9780198754411

Hadjiemmanuil, Christos (2015) Bank stakeholders’ mandatory contribution to resolution financing: principle and ambiguities of bail-in. In: ECB Legal Conference 2015: From Monetary Union to Banking Union, on the Way to Capital Markets Union, New Opportunities for European Integration. European Central Bank, Frankfurt am Main, Germany, pp. 225-248. ISBN 9789289919531

Hadjiemmanuil, Christos (2015) Financial stability and integration in the banking union. In: Allen, Franklin, Carletti, Elena and Gray, Joanna, (eds.) The New Financial Architecture in the Eurozone. European University Institute, Florence, Italy, pp. 55-88. ISBN 9789290842972

Hadjiemmanuil, Christos (2014) Special resolution regimes for banking institutions: objectives and limitations. In: Ringe, Wolf-Georg and Huber, Peter M., (eds.) Legal Challenges in the Global Financial Crisis: Bail-outs, the Euro and Regulation. Studies of the Oxford Institute of European and Comparative Law. Hart Enterprises, London, UK, pp. 209-235. ISBN 9781849464390

Hadjiemmanuil, Christos (2015) The banking union and its implications for private law: a comment. EUI Working Paper RSCAS (74). European University Institute, Florence, Italy.

Hadjiemmanuil, Christos (2015) The banking union and its implications for private law: a comment. European Business Organization Law Review, 16 (3). pp. 383-400. ISSN 1566-7529

Hadjiemmanuil, Christos (2015) A heavily regulated industry: the varied objectives of financial regulation. eucrim: The European Criminal Law Accociations’ Forum, 4. pp. 138-145. ISSN 1862-6947

Hadjiemmanuil, Christos and Andenas, M. (1999) Banking supervision and European monetary union. Journal of International Banking Law, 1 (2). ISSN 0267-937X

Haegeli, Jérôme (2017) Strengthening private capital markets: less of the same is more. LSE Business Review (06 Mar 2017). Website.

Hager, Sandy (2014) The vast majority of U.S. federal debt is now held by the richest households and largest companies, raising concerns about inequality and power. LSE American Politics and Policy (06 Jan 2014). Website.

Hahn, Nadja (2012) What it’s like to tell a story without social media and why I will never do so again (Guest blog). POLIS: journalism and society at the LSE (02 Nov 2012). Website.

Hajivassiliou, Vassilis and Savignac, Frédérique (2024) Simultaneously incomplete and incoherent (SII) dynamic LDV models: with an application to financing constraints and firms’ decision to innovate. Journal of Econometrics, 238 (1). ISSN 0304-4076

Haliassos, Michael and Michaelides, Alexander (2002) Calibration and computation of household portfolio models. In: Guiso, Luiji, Haliassos, Michael and Jappelli, Tullio, (eds.) Household Portfolios. MIT Press, Cambridge, Mass., USA, pp. 55-102. ISBN 0262072211

Haliassos, Michael and Michaelides, Alexander (2001) Portfolio choice and liquidity constraints. . Centre for Economic Policy Research (Great Britain), London, UK.

Hall, Emma, Propper, Carol and Van Reenen, John ORCID: 0000-0001-9153-2907 (2008) Can pay regulation kill? Panel data evidence on the effect of labor markets on hospital performance. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Hall, Matthew, Mikes, Anette and Millo, Yuval (2015) How do risk managers become influential?: a field study of toolmaking in two financial institutions. Management Accounting Research, 26. pp. 3-22. ISSN 1044-5005

Hall, Robert E. and Reis, Ricardo (2016) Achieving price stability by manipulating the central bank's payment on reserves. . Centre for Macroeconomics, The London School of Economics and Political Science, London, UK.

Haller, H. and Ioannides, Y. (1995) Monetary union or else? CEPDP (207). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Hancké, Bob ORCID: 0000-0002-3334-231X (2022) Socialism for the bankers, capitalism for the rest of us – so it goes. LSE European Politics and Policy (EUROPP) blog (22 Jul 2022). Blog Entry.

Hancké, Bob ORCID: 0000-0002-3334-231X (2014) About the recovery in the UK. LSE New European Trade Unions (06 May 2014). Website.

Hancké, Bob ORCID: 0000-0002-3334-231X (2013) Diversity without unity: labour unions and wage setting in the EMU. In: Unions, Central Banks and the Emu: Labour Market Institutions and Monetary Integration in Europe. Oxford University Press, Oxford, UK, pp. 59-78. ISBN 9780199662098

Hancké, Bob ORCID: 0000-0002-3334-231X (2014) Employment regimes, wage-setting and Monetary Union in continental Europe. In: Wilkinson, Adrian, Wood, Geoffrey and Deeg, Richard, (eds.) The Oxford Handbook of Employment Relations: Comparative Employment Systems. Oxford handbooks in business and management. Oxford University Press, Oxford, UK, pp. 317-333. ISBN 9780199695096

Hancké, Bob ORCID: 0000-0002-3334-231X (2014) Karlsruhe and the OMT. LSE New European Trade Unions (06 Mar 2014). Website.

Hancké, Bob ORCID: 0000-0002-3334-231X (2013) The missing link. Labour unions, central banks and monetary integration in Europe. Transfer: European Review of Labour and Research, 19 (1). pp. 89-101. ISSN 1024-2589

Hancké, Bob ORCID: 0000-0002-3334-231X (2013) The missing link: labour, inflation and EMU. In: Unions, Central Banks and the Emu: Labour Market Institutions and Monetary Integration in Europe. Oxford University Press, Oxford, UK, pp. 107-120. ISBN 9780199662098

Hancké, Bob ORCID: 0000-0002-3334-231X (2014) The rain in Spain. LSE New European Trade Unions (03 Mar 2014). Website.

Hancké, Bob ORCID: 0000-0002-3334-231X (2014) The spectre haunting Europe. LSE New European Trade Unions (20 Mar 2014). Website.

Hancock, Ruth, Comas-Herrera, Adelina ORCID: 0000-0002-9860-9062, Wittenberg, Raphael ORCID: 0000-0003-3096-2721 and Pickard, Linda (2003) Who will pay for long-term care in the UK? Projections linking macro- and micro-simulation models. Fiscal Studies, 24 (4). pp. 387-426. ISSN 0143-5671

Hancock, Ruth, Malley, Juliette ORCID: 0000-0001-5759-1647, Wittenberg, Raphael ORCID: 0000-0003-3096-2721, Morciano, Marcello, Pickard, Linda, King, Derek and Comas-Herrera, Adelina ORCID: 0000-0002-9860-9062 (2013) The role of care home fees in the public costs and distributional effects of potential reforms to care home funding for older people in England. Health Economics, Policy and Law, 8 (1). pp. 47-73. ISSN 1744-1331

Handel, Benjamin, Kolstad, Jonathan, Minten, Thomas Joris and Spinnewijn, Johannes (2020) The social determinants of choice quality: evidence from health insurance in the Netherlands. CEP Discussion Papers (CEPDP1724). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Handel, Benjamin R., Kolstad, Jonathan T. and Spinnewijn, Johannes (2018) Information frictions and adverse selection: policy interventions in health insurance markets. Review of Economics and Statistics, 101 (2). pp. 326-340. ISSN 0034-6535 (Submitted)

Hannah, Leslie (2017) The London Stock Exchange 1869-1929: new bloody statistics for old? Economic History working papers (263/2017). London School of Economics and Political Science, London, UK.

Hannah, Leslie ORCID: 0000-0003-0839-7412 (2018) The London Stock Exchange, 1869-1929: new statistics for old? Economic History Review, 71 (4). pp. 1349-1356. ISSN 0013-0117

Hansen, Stephen and McMahon, Michael (2008) Delayed doves: MPC voting behaviour of externals. CEPDP (862). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853282587

Hansen, Stephen, McMahon, Michael and Prat, Andrea (2014) Transparency and deliberation within the FOMC: a computational linguistics approach. CFM discussion paper series (CFM-DP2014-11). Centre For Macroeconomics, London, UK.

Hansen, Stephen, McMahon, Michael and Prat, Andrea (2014) Transparency and deliberation within the FOMC: a computational linguistics approach. CEP Discussion Papers (CEPDP1276). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Hansen, Stephen and Mcmahon, Michael (2011) First impressions matter: signalling as a source of policy dynamics. CEP Discussion Papers (CEPDP1074). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Hanson, Samuel, Malkhozov, Aytek and Venter, Gyuri (2022) Demand-supply imbalance risk and long-term swap spreads. Systemic Risk Centre Discussion Papers (118). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Hardoon, Deborah (2016) Book Review: The economics of poverty by Martin Ravallion. International Development (05 May 2016). Website.

Hardouvelis, Gikas A. (2021) Financial crisis and non-performing exposures in Greece. Hellenic Observatory Discussion Papers on Greece and Southeast Europe (159). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Hardouvelis, Gikas A. and Vayanos, Dimitri (2023) The Greek economic crisis and the banks. GreeSE Papers: Hellenic Observatory Papers on Greece and Southeast Europe (180). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Harris, Richard (2009) Spillover and backward linkage effects of FDI: empirical evidence for the UK. SERC Discussion Papers (SERCDP0016). Spatial Economics Research Centre (SERC), London School of Economics and Political Science, London, UK.

Hart, John Keith (2016) The anthropology of debt. Journal of the Royal Anthropological Institute, 22 (2). pp. 415-421. ISSN 1359-0987

Hartmann, Philipp (1997) Do Reuters spreads reflect currencies' differences in global trading activity? Financial Markets Group Discussion Papers (265). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hartmann, Philipp (1996) Trading volumes and transaction costs in the foreign market - evidence from daily dollar-yen spot data. Financial Markets Group Discussion Papers (232). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hassan, Fadi (2011) The Penn-Belassa-Samuelson effect in developing countries: price and income revisited. CEP Discussion Papers (CEPDP1056). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Hassan, Magda, Prabhu, Jaideep, Chandy, Rajesh and Narasimhan, Om (2023) When bulldozers loom: informal property rights and marketing practice innovation among emerging market microentrepreneurs. Marketing Science, 42 (1). 137 - 165. ISSN 0732-2399

Hattori, Masazumi (2004) A theory of sovereign debt roll-over crisis. Financial Markets Group Discussion Papers (488). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hatzius, J. (1997) Foreign direct investment. CEPDP (336). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0853288917

Hatzopoulos, Vasilis, Iori, Giulia, Mantegna, Rosario N., Miccichè, Salvatore and Tumminello, Michele (2015) Quantifying preferential trading in the e-MID interbank market. Quantitative Finance, 15 (4). pp. 693-710. ISSN 1469-7688

Hayes, Nathan (2017) Public-Private Partnerships in Emerging Markets. International Development (08 May 2017). Website.

Hearson, Martin (2016) Measuring tax treaty negotiation outcomes: the Actionaid tax treaties dataset. Working paper (47). Institute of Development Studies, International Centre for Tax and Development, Brighton, UK. ISBN 9781781182901

Hearson, Martin (2016) The OECD and the lost battle to impose sanctions on tax havens. LSE Business Review (14 Apr 2016). Website.

Hearson, Martin (2015) Tax treaties in sub-Saharan Africa: a critical review. . Tax Justice Network - Africa, Nairobi, Kenya. ISBN 9789966185440

Hearson, Martin (2017) What makes countries negotiate away their corporate tax base? WIDER working paper (2017/122). World Institute for Development Economics, Helsinki, Finland. ISBN 9789292563486

Hearson, Martin (2018) When do developing countries negotiate away their corporate tax base? Journal of International Development, 30 (2). pp. 233-255. ISSN 0954-1748

Hearson, Martin and Prichard, Wilson (2018) China's challenge to international tax rules and implications for global economic governance. International Affairs, 94 (6). pp. 1287-1307. ISSN 0020-5850

Heath Milsom, Luke, Pažitka, Vladimír, Roland, Isabelle and Wójcik, Dariusz (2020) Gravity in international finance: evidence from fees on equity transactions. CEP Discussion Papers (1703). Centre for Economic Performance, LSE, London, UK.

Hecht, Katharina, Savage, Mike ORCID: 0000-0003-4563-9564 and Summers, Kate ORCID: 0000-0001-9964-0259 (2022) Why isn’t there more support for progressive taxation of wealth? A sociological contribution to the wider debate. LSE Public Policy Review, 2 (4). ISSN 2633-4046

Hege, Ulrich and Mella-Barral, Pierre (2000) Collateral, renegotiation and the value of diffusely held debt. Financial Markets Group Discussion Papers (339). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Heider, Florian (2001) Signalling with debt and equity: a unifying approach and its implications for the pecking order hypothesis and competitive credit rationing. Financial Markets Group Discussion Papers (387). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Heilleiner, Eric and Pagliari, Stefano (2010) Between the storms: patterns in global financial governance, 2001-07. In: Underhill, Geoffrey, Blom, Jasper and Mügge, Daniel, (eds.) Global Financial Integration Thirty Years On. Cambridge University Press, Cambridge, UK, pp. 42-57. ISBN 9780521198691

Heimberger, Philipp and Steininger, Lea (2022) ECB interest rate hikes will damage climate protection policies. LSE European Politics and Policy (EUROPP) blog (15 Aug 2022). Blog Entry.

Heims, Eva M. (2016) Why critics are wrong about the outcomes of TTIP but right to protest against it. LSE Department of Government Blog (03 Mar 2016). Website.

Heinemann, Frank, Nagel, Rosemarie and Ockenfels, Peter (2002) Speculative attacks and financial architecture: experimental analysis of coordination games with public and private information. Financial Markets Group Discussion Papers (416). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Held, David and Young, Kevin (2009) Finance, failure and fairness. LSE Magazine, 21 (1). pp. 14-15. ISSN 0023-639X

Held, David and Young, Kevin (2013) Transforming global governance?: structural deficits and recent developments in security and finance. In: Stiglitz, Joseph E. and Kaldor, Mary, (eds.) The Quest for Security: Protection Without Protectionism and the Challenge of Global Governance. Columbia University Press, New York, USA, pp. 355-380. ISBN 9780231156868

Helleiner, Eric and Pagliari, Stefano (2009) Towards a new Bretton Woods?: the first G20 leader summit and the regulation of global finance. New Political Economy, 14 (2). pp. 275-287. ISSN 1356-3467

Helleiner, Eric and Pagliari, Stefano (2011) The end of an era in international financial regulation?: a postcrisis research agenda. International Organization, 65 (01). pp. 169-200. ISSN 0020-8183

Hellowell, Mark (2012) Private financing for public infrastructure is here to stay despite “PFIs” being consigned to history. British Politics and Policy at LSE (18 Jan 2012). Website.

Hellwig, Christian (2000) Public information, private information and the multiplicity of equilibria in co-ordination games. Financial Markets Group Discussion Papers (361). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hemert, Otto van (2005) Optimal intergenerational risk sharing. Financial Markets Group Discussion Papers (541). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hemert, Otto van, Jong, Franck de and Driessen, Joost (2005) Dynamic portfolio and mortgage choice for homeowners. Financial Markets Group Discussion Papers (538). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Henderson, J. Vernon, Su, Dongling, Zhang, Qinghua and Zheng, Siqi (2022) Political manipulation of urban land markets: evidence from China. Journal of Public Economics, 214. ISSN 0047-2727

Heneghan, Martin and Hall, Sarah (2021) A negative-sum game: Brexit has caused European finance to relocate to the US rather than across the continent. British Politics and Policy at LSE (15 Mar 2021). Blog Entry.

Henide, Karim (2022) The European Central Bank’s vision for green bond standards forgoes inclusivity. LSE Business Review (17 Jan 2022). Blog Entry.

Henide, Karim (2022) Voluntary disclosure and adverse selection: Bayesian game theoretical inference for green bond labelling regimes. International Review of Financial Analysis, 83. ISSN 1057-5219

Henry, Marc and Payne, Richard (1997) An investigation of long range dependence in intra-day foreign exchange rate volatility. Financial Markets Group Discussion Papers (264). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Henson, Martha (2016) Stop wasting money on digital projects if you aren’t prepared to promote them properly. Impact of Social Sciences Blog (18 Mar 2016). Website.

Hepburn, Cameron (2009) Carbon taxes, emissions trading and hybrid schemes. In: Helm, Dieter and Hepburn, Cameron, (eds.) The Economics and Politics of Climate Change. Oxford University Press, Oxford, UK, pp. 365-384. ISBN 9780199573288

Hertzberg, Andrew, Liberman, Andres and Paravisini, Daniel (2018) Screening on loan terms: evidence from maturity choice in consumer credit. Review of Financial Studies, 31 (9). 3532 - 3567. ISSN 0893-9454

Hertzberg, Andrew, Liberti, Jose Maria and Paravisini, Daniel (2010) Information and incentives inside the firm: evidence from loan officer rotation. Journal of Finance, 65 (3). pp. 795-828. ISSN 0022-1082

Hertzberg, Andrew, Liberti, Jose Maria and Paravisini, Daniel (2011) Public information and coordination: evidence from a credit registry expansion. Journal of Finance, 66 (2). pp. 379-412. ISSN 0022-1082

Hervás-oliver, José-luis, Parrilli, Mario Davide, Rodríguez-pose, Andrés ORCID: 0000-0002-8041-0856 and Sempere-ripoll, Francisca (2021) The drivers of SME innovation in the regions of the EU. Research Policy, 50 (9). ISSN 0048-7333

Herweijer, Celine, Ranger, Nicola and Ward, Robert E. T. (2009) Adaptation to climate change: threats and opportunities for the insurance industry. Geneva Papers on Risk and Insurance: Issues and Practice, 34 (3). pp. 360-380. ISSN 1018-5895

Hessel, Philipp, Vandoros, Sotiris and Avendano, Mauricio (2014) The differential impact of the financial crisis on health in Ireland and Greece: a quasi-experimental approach. Public Health, 128 (10). pp. 911-919. ISSN 0033-3506

Heydon, Kenneth and Woolcock, Stephen (2009) The rise of bilateralism: comparing American, European and Asian approaches to preferential trade agreements. United Nations University. Press, Tokyo, Japan. ISBN 9789280811629

Hiber, Christian (2013) Help to Buy will likely have the effect of pushing up house prices further, making housing become less – not more – affordable for young would-be-owners. British Politics and Policy at LSE (25 Jun 2013). Website.

Hickel, Jason (2016) Book review: the crises of microcredit edited by Isabelle Guérin, Marc Labie and Jean-Michel Servet. LSE Review of Books (04 Feb 2016). Website.

Hickel, Jason (2014) Flipping the Corruption Myth. Africa at LSE (11 Feb 2014). Website.

Hilber, Christian A. L. (2015) Help-to-Buy ISAs will end up feathering nests of the wealthy – here’s how. The Conversation (Mar 2015). Website.

Hilber, Christian A. L. and Cheshire, Paul (2013) QE: the next bubble? Spatial Economics Research Centre Blog (22 Mar 2013). Website.

Hilber, Christian A. L. and Lyytikainen, Teemu (2017) Transfer taxes and household mobility: distortion on the housing or labor market? SERC Discussion Papers (SERCDP0216). Spatial Economics Research Centre, London School of Economics and Political Science, London, UK.

Hilber, Christian A. L. and Turner, Tracy M. (2010) The mortgage interest deduction and its impact on homeownership decisions. SERC Discussion Papers (SERCDP0055). Spatial Economics Research Centre (SERC), London School of Economics and Political Science, London, UK.

Hilber, Christian A. L. ORCID: 0000-0002-1352-495X and Turner, Tracy M. (2014) The mortgage interest deduction and its impact on homeownership decisions. Review of Economics and Statistics, 96 (4). pp. 618-637. ISSN 0034-6535

Hilber, Christian A. L. and Voicu, Ioan (2010) Agglomeration economies and the location of foreign direct investment: Empirical evidence from Romania. Regional Studies, 44 (3). pp. 355-371. ISSN 0034-3404

Hill, Alastair (2013) Book review: New perspectives on emotions in finance: the sociology of confidence, fear and betrayal. LSE Review of Books (24 Jun 2013). Website.

Hill, Alastair (2012) Book review: inside the Bank of England: Sir Mervyn King, QE, and where to aim the blame. LSE Review of Books (13 Jul 2012). Website.

Hill, Susan A. and Birkinshaw, Julian (2006) Ambidexterity in corporate venturing: Simultaneously using existing and building new capabilities. In: Academy of Management 2006 Best Paper Proceedings. Academy of Management, C1-C6.

Hills, John (1997) Brown banks on a "seamless system". Financial Times. ISSN 0307-1766

Hills, John (1998) Including the excluded. Financial Times. ISSN 0307-1766

Hills, John (2004) Policy matters. Financial Times. ISSN 0307-1766

Hills, John (1984) Savings and fiscal privilege. Institute for Fiscal Studies (Great Britain), London, UK. ISBN 090299235x

Hills, John (1991) Untying the finance knot. Roof. ISSN 0307-6911

Hills, John (2000) A long wait for the end of poverty. Financial Times. ISSN 0307-1766

Hills, John and Burchardt, Tania ORCID: 0000-0003-4822-4954 (1997) Shifting boundaries: social security and private insurance. Benefits: the Journal of Poverty and Social Justice, 20. pp. 7-10. ISSN 0962-7898

Hills, John and Marsh, Alex (2000) Housing finance aspects of the green paper. CASEreports (12). Centre for Analysis of Economic Research, London School of Economics and Political Science, London, UK.

Hilscher, Jens and Nosbusch, Yves (2010) Determinants of sovereign risk: macroeconomic fundamentals and the pricing of sovereign debt. Review of Finance, 14 (2). pp. 235-262. ISSN 1572-3097

Hilscher, Jens, Raviv, Alon and Reis, Ricardo (2022) How likely is an inflation disaster? CEPR Press Discussion Paper (17224). Centre for Economic Policy Research (Great Britain), London, UK.

Hilscher, Jens, Raviv, Alon and Reis, Ricardo (2022) Inflating away the public debt? An empirical assessment. Review of Financial Studies, 35 (3). 1553 - 1595. ISSN 0893-9454

Hinds, Matthew (2010) Saudi Arabia: What are the effects of the global financial crisis on Saudi Arabia’s economic prospects? International Affairs at LSE (12 Mar 2010). Website.

Hinrichsen, Simon (2021) The Iraq sovereign debt restructuring. Capital Markets Law Journal, 16 (1). 95 – 114. ISSN 1750-7219

Hinterleitner, Markus, Sager, Fritz and Thomann, Eva (2016) The long and winding road to fiscal adjustment: how the IMF judges austerity programmes. Democratic Audit UK (23 Aug 2016). Website.

Hiraki, Takato, Wang, Xue and Liu, Wang (2015) Mutual funds that concentrate on a specific industry earn superior returns. LSE Business Review (12 Nov 2015). Website.

Ho, Kate and Lee, Robin S. (2015) Is health insurance competition good for consumers? LSE Business Review (05 Oct 2015). Website.

Ho Hwang, Jong (2014) A proposal for an open-source financial risk model. Systemic Risk Centre Discussion Papers (9). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Hobler, Stephan (2022) Multi-layered rational inattention and time-varying volatility. Journal of Economic Dynamics and Control, 138. ISSN 0165-1889

Hobolt, Sara and Leblond, Patrick (2009) Is my crown better than your euro?: exchange rates and public opinion on the European single currency. European Union Politics, 10 (2). pp. 202-225. ISSN 1465-1165

Hochstetler, Kathryn ORCID: 0000-0003-2960-058X (2014) The Brazilian national development bank goes international: innovations and limitations of BNDES' Internationalization. Global Policy, 5 (3). pp. 360-365. ISSN 1758-5880

Hoffmann-Burchardi, Ulrike (1999) Barbarians in chains - takeover regulation and minority shareholder wealth. Financial Markets Group Discussion Papers (330). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hoffmann-Burchardi, Ulrike (1999) Clustering of initial public offerings, information revelation and underpricing. Financial Markets Group Discussion Papers (316). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hoffmann-Burchardi, Ulrike (1999) Corporate governance rules and the value of control - a study of German dual-class shares. Financial Markets Group Discussion Papers (315). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Holmans, Alan, Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Whitehead, Christine M. E. (2002) Fiscal policy instruments to promote affordable housing. Research Report (VII). Cambridge Centre for Housing and Planning Research, Cambridge.

Holmberg, Pär (2017) A minor change in market trading rules could save taxpayers billions of dollars. LSE Business Review Blog (29 Nov 2017). Website.

Holzer, Boris and Millo, Yuval (2004) From risks to second-order dangers in financial markets: unintended consequences of risk management systems. CARR Discussion Papers (DP 29). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753017962

Hon, Mark T. and Tonks, Ian (2002) Momentum in the UK stock market. Financial Markets Group Discussion Papers (405). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hong, Harrison and Rady, Sven (2000) Strategic trading and learning about liquidity. Financial Markets Group Discussion Papers (356). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hong Jiang, George (2022) Book review: Foreign banks and global finance in modern China: banking on the Chinese frontier, 1870-1919 by Ghassan Moazzin. LSE Review of Books (12 Jul 2022). Blog Entry.

Hope, David (2016) Estimating the effect of the EMU on current account balances: a synthetic control approach. European Journal of Political Economy, 44. pp. 20-40. ISSN 0176-2680

Hopkin, Jonathan ORCID: 0000-0002-3187-4013 (2004) The problem with party finance : theoretical perspectives on the funding of party politics. Party Politics, 10 (6). pp. 627-651. ISSN 1460-3683

Hopper, Martyn and Black, Julia ORCID: 0000-0002-5838-3265 (2010) Breaking up is hard to do: the future of UK financial regulation? . Herbert Smith LLP and London School of Economics and Political Science, London, UK.

Hortala-Vallve, Rafael (2005) On bank disclosure and subordinated debt. Cuadernos de Economía, 28 (77-78). pp. 45-80. ISSN 0210-0266

Horten, Monica (2020) Disrupting supply chains: how leaving the Single Market means systemic breakdown. LSE Brexit (25 Aug 2020). Blog Entry.

Horton, Joanne, Macve, Richard and Serafeim, George (2011) ‘Deprival value’ vs. ‘fair value’ measurement for contract liabilities: how to resolve the ‘revenue recognition’ conundrum? Accounting and Business Research, 41 (5). pp. 491-514. ISSN 0001-4788

Horvath, Roman, Rusnak, Marek, Smidkova, Katerina and Zapal, Jan (2014) The dissent voting behaviour of central bankers: what do we really know? Applied Economics, 46 (4). pp. 450-461. ISSN 0003-6846

Hougaard Jensen, Svend Erik, Kleven, Henrik Jacobsen and Lentz, Rasmus (1995) Befolkningsaldring, offentlige udgifter og finanspolitikkens holdbarhed. Ekonomisk Debatt, 23. pp. 23-35. ISSN 0345-2646

Howell, Elizabeth ORCID: 0000-0003-0788-9431 (2021) Brexit, Covid-19, and possible frameworks for future UK/EU financial governance cooperation. Modern Law Review, 84 (6). 1227 - 1256. ISSN 0026-7961

Howell, Elizabeth ORCID: 0000-0003-0788-9431 (2020) How should financial governance disputes be resolved after Brexit? LSE Brexit (05 Feb 2020), 1 - 2. Blog Entry.

Howell, Elizabeth ORCID: 0000-0003-0788-9431 (2018) The regulation of short sales: a politicised topic. Law and Financial Markets Review, 12 (4). 203 - 209. ISSN 1752-1440

Huang, Chong, Oehmke, Martin ORCID: 0000-0001-9902-0711 and Zhong, Hongda (2019) A theory of multiperiod debt structure. Review of Financial Studies, 32 (11). 4447 - 4500. ISSN 0893-9454

Huang, Haizhou, Marin, Dalia and Xu, Cheng-Gang (2003) Financial crisis, economic recovery and banking development in former Soviet Union economies. . Centre for Economic Policy Research (Great Britain), London, UK.

Huang, Haizhou and Xu, Cheng-Gang (2003) Financial syndication and R&D. Economics Letters, 80 (2). pp. 141-146. ISSN 0165-1765

Huang, Shiyang, Hwang, Byoung-Hyoun and Lou, Dong ORCID: 0000-0002-5623-4338 (2021) The rate of communication. Journal of Financial Economics, 141 (2). 533 - 550. ISSN 0304-405X

Huang, Shiyang, Hwang, Byoung-Hyoun, Lou, Dong ORCID: 0000-0002-5623-4338 and Yin, Chengxi (2020) Offsetting disagreement and security prices. Management Science, 66 (8). 3444 - 3465. ISSN 0025-1909

Huang, Shiyang, Liu, Xin, Lou, Dong ORCID: 0000-0002-5623-4338 and Polk, Christopher (2023) The booms and busts of beta arbitrage. Management Science. ISSN 0025-1909

Huang, Shiyang, Qiu, Zhigang, Shang, Qi and Tang, Ke (2013) Asset pricing with heterogeneous beliefs and relative performance. Journal of Banking and Finance, 37 (11). pp. 4107-4119. ISSN 0378-4266

Huang, Xiaobei, Li, Xi ORCID: 0000-0002-9870-9661, Tse, Senyo and Tucker, Jennifer Wu (2018) The effects of a mixed approach toward management earnings forecasts: evidence from China. Journal of Business Finance and Accounting, 45 (3-4). pp. 319-351. ISSN 0306-686X

Huang, Yanning (2019) Bank, order in disorder. LSE Research Festival 2019, London School of Economics and Political Science, London, UK.

Huber, Kilian (2020) Are bigger banks better? Firm-level evidence from Germany. Financial Markets Group Discussion Papers (821). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Huber, Kilian (2020) Are bigger banks better?: firm level evidence from Germany. CEP Discussion Papers (1735). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Huber, Kilian (2018) Disentangling the effects of a banking crisis: evidence from German firms and counties. American Economic Review, 108 (3). pp. 868-898. ISSN 0002-8282

Huber, Kilian (2015) The persistence of a banking crisis. CFM Discussion Paper Series (CFM-DP2015-32). Centre For Macroeconomics, London, UK.

Huber, Kilian Maria (2020) Are bigger banks better? Firm-level evidence from Germany. CEP Discussion Papers (CEPDP1735). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Huber, Michael (2002) Conceptualising Insurance: risk management under conditions of solvency. CARR Discussion Papers (DP 9). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Huber, Michael (2004) Reforming the UK flood insurance regime. The breakdown of a gentlemen's agreement. CARR Discussion Papers (DP 18). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753016559

Huberman, Gur and Repullo, Rafael (2014) Moral hazard and debt maturity. Systemic Risk Centre Discussion Papers (13). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Huddart, Steven, Hughes, John and Brunnermeier, Markus (1998) Disclosure requirements and stock exchange listing choice in an international context. Financial Markets Group Discussion Papers (282). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hudson, Pat (2016) GDP per capita: from measurement tool to ideological construct. LSE Business Review (10 May 2016). Website.

Hughes, Ceri (2014) Does changing employers offer a route out of low pay? British Politics and Policy at LSE (24 Oct 2014). Website.

Huliaras, Asteris and Sotiropoulos, Dimitri A. (2018) The crisis in Greece: the semi-rentier state hypothesis. GreeSE papers (120). Hellenic Observatory, European Institute, London, UK.

Humphrey, Christopher (2014) The politics of loan pricing in multilateral development banks. International Development (28 Mar 2014). Website.

Hunter, Janet and Ogasawara, Kota (2018) Price shocks in regional markets: Japan's great Kantō Earthquake of 1923. Economic History Review. ISSN 0013-0117

Hupkau, Claudia ORCID: 0000-0002-7545-3835, Ruiz-valenzuela, Jenifer ORCID: 0000-0002-7238-2074, Isphording, Ingo E. and Machin, Stephen (2023) Labour market shocks and parental investments during the Covid-19 pandemic. Labour Economics, 82. ISSN 0927-5371

Husain, Tehreem (2023) Pawned states: state building in the era of international finance. Economic History Review, 76 (2). pp. 694-695. ISSN 0013-0117

Hutton, Will and Lee, Neil ORCID: 0000-0002-4138-7163 (2012) The city and the cities: finance, ownership and the geography of recession. Cambridge Journal of Regions, Economy and Society, 5 (3). pp. 325-337. ISSN 1752-1378

Huysentruyt, Marieke, Lefevere, Eva and Menon, Carlo (2010) Bank location and financial liberalization reforms: evidence from microgeographic data. SERC Discussion Papers (SERCDP0058). Spatial Economics Research Centre (SERC), London, UK.

Huysentruyt, Marieke, Lefevere, Eva and Menon, Carlo (2013) Dynamics of retail-bank branching in Antwerp (Belgium) 1991–2006: evidence from micro-geographic data. Journal of Banking and Finance, 37 (2). pp. 291-304. ISSN 0378-4266

Hvidt, Martin (2013) Economic diversification in GCC countries: past record and future trends. Kuwait Programme on Development, Governance and Globalisation in the Gulf States (27). London School of Economics and Political Science, London, UK.

Hwang, Byoung-Hyoun and Lou, Dong ORCID: 0000-0002-5623-4338 (2012) Do analysts manage earnings forecasts to 'confirm' their own recommendations? .

Hwang, Byoung-Hyoung, Lou, Dong ORCID: 0000-0002-5623-4338 and Yin, Chengxi (2014) Offsetting disagreement and security prices. Financial Markets Group Discussion Papers (739). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hyland, Marie, Djankov, Simeon and Goldberg, Pinelopi (2021) Do gendered laws matter? Financial Markets Group Discussion Papers (824). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hyland, Marie, Djankov, Simeon and Goldberg, Pinelopi (2020) Gendered laws and women in the workforce. Financial Markets Group Discussion Papers (803). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hänska, Max ORCID: 0000-0001-9188-534X (2015) Europe’s gravest threat: Doctrines diverged. Euro Crisis in the Press (23 Jul 2015). Website.

Hänska, Max ORCID: 0000-0001-9188-534X (2015) Greece – Deal or no deal? Parameters of a decision. Euro Crisis in the Press (07 Jun 2015). Website.

Hänska, Max ORCID: 0000-0001-9188-534X (2015) The end of austerity in Europe? Euro Crisis in the Press (28 Jan 2015). Website.

Hänska, Max ORCID: 0000-0001-9188-534X (2013) The politics of blame. Euro Crisis in the Press (22 Mar 2013). Website.

Hänska, Max ORCID: 0000-0001-9188-534X, Keranen, Outi, Kyriakidou, Maria and Olivas, Jose Javier (2013) Reactions to the Cypriot bailout across the European Press. Euro Crisis in the Press (18 Mar 2013). Website.

Hänska, Max ORCID: 0000-0001-9188-534X, Keranen, Outi, Kyriakidou, Maria, Olivas, Jose Javier, Orsi, Roberto and Radice, Henry (2013) Reactions to the second Cypriot bailout deal from across the European Press. Euro Crisis in the Press (27 Mar 2013). Website.

Hänska, Max ORCID: 0000-0001-9188-534X and Siddiqui, Afzal (2013) Managing a european recovery: The case for public spending for an energy transition. Euro Crisis in the Press (01 May 2013). Website.

Hüser, Anne-Caroline, Lepore, Caterina and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2024) How does the repo market behave under stress? Evidence from the COVID-19 crisis. Journal of Financial Stability, 70. ISSN 1572-3089

I

IGC, (2014) Determinants of the exchange rate and policy implications for Zambia. International Growth Centre Blog (14 Jan 2014). Website.

IGC, (2013) Evaluating the effects of microfinance. International Growth Centre Blog (06 Dec 2013). Website.

IIzetzki, Ethan (2011) According to new research, low interest rates and expansionist monetary policy may temper the government’s programme of austerity. British Politics and Policy at LSE (16 May 2011). Website.

Iacoviello, Matteo and Ortalo-Magné, François (2002) Hedging housing risk in London. Discussion paper (415). Financial Markets Group, The London School of Economics and Political Science, London, UK. (Submitted)

Iammarino, Simona ORCID: 0000-0001-9450-1700 (2018) FDI and regional development policy. Journal of International Business Policy, 1 (3-4). pp. 157-183. ISSN 2522-0691

Iammarino, Simona ORCID: 0000-0001-9450-1700 (1992) L’Unione monetaria tedesca: primi effetti sul Sistema monetario europeo. L'italia e L'europa (Decemb). pp. 62-76.

Iammarino, Simona ORCID: 0000-0001-9450-1700 and Santangelo, Grazia D. (2000) Foreign direct investment and regional attractiveness in the EU integration process: some evidence for the Italian regions. European Urban and Regional Studies, 7 (1). 5 - 18. ISSN 0969-7764

Ibikunle, Gbenga, McGroarty, Frank and Rzayev, Khaladdin (2020) More heat than light: Investor attention and bitcoin price discovery. International Review of Financial Analysis, 69. ISSN 1057-5219

Ibikunle, Gbenga and Rzayev, Khaladdin (2020) Volatility, dark trading and market quality: evidence from the 2020 COVID-19 pandemic-driven market volatility. Systemic Risk Centre Discussion Papers (95). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Idowu, Victory (2017) B4: Reducing Model Risk With Goodness-of-fit. In: The Institute and Faculty of Actuaries Joint Risk, Investment, Pensions Conference 2017, 2017-06-05 - 2017-06-07, Newport, United Kingdom.

Igwe, Uche (2021) Tracking illicit financial flows could support Nigeria’s post-pandemic recovery. Africa at LSE (06 Apr 2021). Blog Entry.

Ilzetzki, Ethan (2018) Tax reform and the political economy of the tax base. Journal of Public Economics, 164. pp. 197-210. ISSN 0047-2727

Ilzetzki, Ethan and Jin, Keyu ORCID: 0000-0002-0139-799X (2021) The puzzling change in the international transmission of U.S. macroeconomic policy shocks. Journal of International Economics, 130. ISSN 1464-3758

Ilzetzki, Ethan, Reinhart, Carmen M. and Rogoff, Kenneth S. (2022) Rethinking exchange rate regimes. In: Gopinath, Gita, Helpman, Elhanan and Rogoff, Kenneth, (eds.) Handbook of International Economics: International Macroeconomics. Handbook of International Economics (6). Elsevier, 91 - 145. ISBN 9780323957724

Ilzetzki, Ethan, Reinhart, Carmen M. and Rogoff, Kenneth S. (2020) Why is the Euro punching below it’s weight? Economic Policy. ISSN 0266-4658

Impullitti, Giammario and Kazmi, Syed (2022) Globalization and market power. CEP Discussion Papers (1866). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Inderst, Roman and Mueller, Holger M (2006) Informed lending and security design. Journal of Finance, 61 (5). pp. 2137-2162. ISSN 0022-1082

Inderst, Roman and Muller, Holger M. (2004) The effect of capital market characteristics on the value of start-up firms. Journal of Financial Economics, 72 (2). pp. 319-356. ISSN 0304-405X

Inderst, Roman and Müller, Holger M. (2003) Internal versus external financing: an optimal contracting approach. Journal of Finance, 58 (3). pp. 1033-1062. ISSN 0022-1082

Inderst, Roman and Müller, Holger M. (2002) Venture capital contracts and market structure. Financial Markets Group Discussion Papers (411). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Inkmann, Joachim (2006) Compensating wage differentials for defined benefit and defined contribution occupational pension scheme benefits. Financial Markets Group Discussion Papers (564). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Inkmann, Joachim and Blake, David (2004) Liability valuation and optimal asset allocation. Financial Markets Group Discussion Papers (507). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Inkmann, Joachim, Lopes, Paula and Michaelides, Alexander (2007) How deep is the annuity market participation puzzle? Financial Markets Group Discussion Papers (593). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Inkmann, Joachim, Lopes, Paula and Michaelides, Alexander (2011) How deep is the annuity market participation puzzle? Review of Financial Studies, 24 (1). pp. 279-319. ISSN 0893-9454

Innes, Abby (2017) The economy and the Conservative manifesto: economic imagination in a time warp. British Politics and Policy at LSE (26 May 2017). Website.

Iraki, XN (2022) Why inflation is rising in Kenya and how to fix it. Africa at LSE (22 Jul 2022). Blog Entry.

Ireland, Jennifer C. (2003) An empirical investigation of determinants of audit reports in the UK. Journal of Business Finance and Accounting, 30 (7/8). pp. 975-1016. ISSN 0306-686X

Irigoin, Alejandra (2015) Representation without taxation, taxation without consent. The legacy of Spanish colonialism in America. Economic History working papers (227/2015). London School of Economics and Political Science, London, UK.

Irigoin, Alejandra (2020) Rise and demise of the global silver standard. In: Battilossi, Stefano, Cassis, Youssef and Yago, Kazuhiko, (eds.) Handbook of the History of Money and Currency. Springer Nature Singapore, 383 - 410. ISBN 9789811305955

Irigoin, Alejandra (2018) The new world and the global silver economy, 1500-1800. In: Roy, Tirthankar and Riello, Giorgio, (eds.) Global Economic History. Bloomsbury Academic, London, UK, 271 - 286. ISBN 9781472588432

Irigoin, Alejandra and Grafe, Regina (2013) Bounded leviathan: fiscal constraints and financial development in the Early Modern Hispanic world. In: Coffman, D'Maris, Leonard, Adrian and Neal, Larry, (eds.) Question Credible Commitment: Perspectives on the Rise of Financial Capitalism. Macroeconomic policy making. Cambridge University Press, Cambridge, UK, pp. 199-227. ISBN 9781107039018

Irigoin, Alejandra and Millmore, Bridget (2021) Piece of eight. In: Thurner, Mark and Pimentel, Juan, (eds.) New World Objects of Knowledge: A Cabinet of Curiosities. University of London Press, London, UK, 41 - 46. ISBN 9781908857828

Ishaq Mir, Simtiha and Ahmed Ghulam, Younis (2022) Indian stock market’s discord with the real economy. South Asia @ LSE (24 Jan 2022). Blog Entry.

Ishida, Hiroshi (2015) UN FORUM SERIES – business and human rights progress in the Japanese context. Measuring Business and Human Rights (13 Nov 2015). Website.

Ishizu, Mina (2021) Metropolitan financial agents and the emergence of inter-regional financial linkages in England and Japan, 1760-1860. Economic History Working Papers (327). Department of Economic History, London School of Economics and Political Science, London, UK.

Itskhoki, Oleg and Mukhin, Dmitry (2021) Exchange rate disconnect in general equilibrium. Journal of Political Economy, 129 (8). 2183 - 2232. ISSN 0022-3808

J

Jabbour, Liza, Tao, Zhigang, Vanino, Enrico ORCID: 0000-0002-4740-1501 and Zhang, Yan (2018) The good, the bad and the ugly: Chinese imports, European Union anti-dumping measures and firm performance. Journal of International Economics, 117. pp. 1-20. ISSN 0022-1996

Jablonski, Ryan S. ORCID: 0000-0002-7344-6738, Oliver, Steven and Hastings, Justin V. (2017) The Tortuga disease: the perverse effects of illicit foreign capital. International Studies Quarterly, 61 (2). pp. 312-327. ISSN 0020-8833

Jackman, Richard, Commander, S and Pages, C (1993) Incomes policy and inflation. In: World Bank conference on unemployment, restructuring and the labour market in east Europe and Russia, 1993-10-01, Washington DC, United States.

Jacoby, Wade and Hopkin, Jonathan ORCID: 0000-0002-3187-4013 (2019) From Lever to Club?: conditionality in the European Union during the financial crisis. Journal of European Public Policy. ISSN 1350-1763

Jakučionytė, Eglė and Singh, Swapnil (2022) How subprime lending emerged in minority neighbourhoods. LSE Business Review (20 Jan 2022). Blog Entry.

Jakučionytė, Eglė and Singh, Swapnil (2022) How subprime lending emerged in minority neighbourhoods. USApp – American Politics and Policy Blog (22 Jan 2022). Blog Entry.

James, Deborah (2017) Deductions and counter-deductions in South Africa. HAU: Journal of Ethnographic Theory, 7 (3). pp. 281-304. ISSN 2049-1115

James, Deborah ORCID: 0000-0002-4274-197X (2021) Life and debt: a view from the south. Economy and Society, 50 (1). 36 - 56. ISSN 0308-5147

James, Deborah (2022) Principles or pragmatics? Debt advice as a comparative encounter. In: Pelkmans, Mathijs and Walker, Harry, (eds.) How People Compare. Routledge, 107 - 127. ISBN 9781032229973

James, Deborah ORCID: 0000-0002-4274-197X (2020) Redistribution and indebtedness: a tale of two settings. In: Hann, Chriss and Kalb, Don, (eds.) Financialization: Relational Approaches. Max Planck Studies in Anthropology and Economy (6). Berghahn Books, 196 - 219. ISBN 9781789207514

James, Deborah (2022) Tackling consumer indebtedness and unscrupulous lending in South Africa. LSE Business Review (18 Aug 2022). Blog Entry.

James, Kevin R. (2021) City or real economy: who are the financial markets for? LSE Business Review (10 Dec 2021). Blog Entry.

James, Kevin R., Kotak, Akshay and Tsomocos, Dimitri (2022) Ideas, idea processing, and TFP growth in the US: 1899 to 2019. Systemic Risk Centre Discussion Papers (121). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

James, Kevin R. and Valenzuela, Marcela (2020) The efficient IPO market hypothesis: theory and evidence. Journal of Financial and Quantitative Analysis, 55 (7). 2304 - 2333. ISSN 0022-1090

James, Kevin R. and Valenzuela, Marcela (2019) The efficient IPO market hypothesis: theory and evidence. Systemic Risk Centre Discussion Papers (87). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

James, Scott and Quaglia, Lucia (2020) The EU's post-Brexit policy on euro clearing explained. LSE Brexit (17 Feb 2020), 1 - 2. Blog Entry.

James, Scott and Quaglia, Lucia (2018) London calling Brexit: the City of London and the 'baptist-bootlegger' coalition. LSE Brexit (29 Oct 2018). Website.

Jang, Jiwook and Dassios, Angelos ORCID: 0000-0002-3968-2366 (2013) A bivariate shot noise self-exciting process for insurance. Insurance: Mathematics and Economics, 53 (3). pp. 524-532. ISSN 0167-6687

Jang, Jiwook, Dassios, Angelos and Zhao, Hongbiao (2018) Moments of renewal shot-noise processes and their applications. Scandinavian Actuarial Journal (8). pp. 727-752. ISSN 0346-1238

Jaravel, Xavier and O'Connell, Martin (2020) High-frequency changes in shopping behaviours, promotions and the measurement of inflation: evidence from the Great Lockdown. Fiscal Studies, 41 (3). 733 - 755. ISSN 0143-5671

Jawadi, Fredj, Mallick, Sushanta K. and Sousa, Ricardo M. (2014) Fiscal policy in the BRICs. Studies in Nonlinear Dynamics and Econometrics, 18 (2). pp. 201-214. ISSN 1081-1826

Jefferis, Keith and Haas, Astrid (2015) Moving from a fixed to a floating exchange rate: the case of the South Sudanese Pound. International Growth Centre Blog (17 Dec 2015). Website.

Jeffrey, Andrew, Linton, Oliver and Nguyen, Thong (2001) Flexible term structure estimation: which method is preferable? Discussion papers (513). Financial Markets Group, The London School of Economics and Political Science, London, UK. (Submitted)

Jeffrey, Andrew, Linton, Oliver and Nguyen, Thong (2001) Flexible term structure estimation: which method is preferred? Financial Markets Group Discussion Papers (513). Financial Markets Group, The London School of Economics and Political Science, London.

Jenkins, SP and Cowell, Frank (1994) Dwarfs and giants in the 1980s : trends in the UK income distribution. Fiscal Studies, 15 (1). pp. 99-118. ISSN 0143-5671

Jenkins, Stephen P. ORCID: 0000-0002-8305-9774, Lynn, Peter, Jäckle, Annette and Sala, Emanuela (2008) The feasibility of linking household survey and administrative record data: new evidence for Britain. International Journal of Social Research Methodology, 11 (1). pp. 29-43. ISSN 1364-5579

Jensen, Mathias Fjællegaard and Blundell, Jack (2023) Income effects and labour supply: evidence from a child benefits reform. Journal of Public Economics, 230. ISSN 0047-2727

Jenter, Dirk ORCID: 0000-0003-4168-9329 and Kanaan, Fadi (2015) CEO turnover and relative performance evaluation. Journal of Finance, 70 (5). 2155 - 2184. ISSN 0022-1082

Jenter, Dirk ORCID: 0000-0003-4168-9329 and Lewellen, Katharina (2015) CEO preferences and acquisitions. Journal of Finance, 70 (6). 2813 - 2852. ISSN 0022-1082

Jenter, Dirk ORCID: 0000-0003-4168-9329 and Lewellen, Katharina (2021) Performance-induced CEO turnover. Review of Financial Studies, 34 (2). 569 - 617. ISSN 0893-9454

Jenter, Dirk ORCID: 0000-0003-4168-9329 and Lewellen, Katharina (2017) Performance-induced CEO turnover. Financial Markets Group Discussion Papers (768). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Jerven, Morten (2013) Poor Numbers: How we are misled by African development statistics and what to do about it. Africa at LSE (06 May 2013). Website.

Jian, Lian, Yang, Sha, Ba, Sulin and Li Jiang, Crystal (2018) Getting the best out of your crowdsourcing contest. LSE Business Review (25 Sep 2018). Website.

Jiang, Hao, Vayanos, Dimitri and Zheng, Lu (2020) Tracking biased weights: asset pricing implications of value-weighted indexing. Financial Markets Group Discussion Papers (823). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Jiang, Hao and Verardo, Michela (2018) Does herding behavior reveal skill? An analysis of mutual fund performance. Journal of Finance, 73 (5). 2229 - 2269. ISSN 0022-1082

Jiang, Hao and Verardo, Michela (2013) Does herding behavior reveal skill? An analysis of mutual fund performance. Financial Markets Group Discussion Papers (720). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Jiang, Zhengyang, Peng, Cameron and Yan, Hongjun (2024) Personality differences and investment decision-making. Journal of Financial Economics, 153. ISSN 0304-405X

Jiménez-Rodríguez, Rebeca and Prats, María A. (2023) New challenges in international economics and finance. World Economy, 46 (9). 2558 - 2563. ISSN 0378-5920

Jin, Keyu ORCID: 0000-0002-0139-799X (2009) Industrial structure and financial capital flows. . London School of Economics and Political Science, London, UK.

Jin, Keyu ORCID: 0000-0002-0139-799X (2013) International trade and international capital flows. In: Caprio, Gerard, (ed.) Handbook of Safeguarding Global Financial Stability. Elsevier, London, pp. 163-168. ISBN 9780123978752

Jinhage, Amanda (2016) FDI can catalyse job creation and industrialisation in Africa. International Growth Centre Blog (25 May 2016). Website.

Jobst, Andreas A. (2002) Loan securitisation: default term structure and asset pricing based on loss prioritisation. Financial Markets Group Discussion Papers (422). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Johannesen, Niels, Langetieg, Patrick, Reck, Daniel ORCID: 0000-0002-5732-4706, Risch, Max and Slemrod, Joel (2018) Taxing hidden wealth: the consequences of U.S. enforcement initiatives on evasive foreign accounts. NBER Working Paper Series (24366). The National Bureau of Economic Research, Cambridge MA.

Johannesen, Niels and Zucman, Gabriel (2014) The end of bank secrecy? An evaluation of the G20 tax haven crackdown. American Economic Journal: Economic Policy, 6 (1). pp. 65-91. ISSN 1945-7731

Johnson, Timothy C. and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2010) The explicit solution to a sequential switching problem with non-smooth data. Stochastics: an International Journal of Probability and Stochastic Processes, 82 (1). pp. 69-109. ISSN 1744-2508

Johnston, Alison, Hancké, Bob ORCID: 0000-0002-3334-231X and Pant, Suman (2013) Comparative institutional advantage in the European sovereign debt crisis. LSE 'Europe in Question' discussion paper series (66/2013). London School of Economics and Political Science, London.

Johnston, Ron (2018) Book review: handbook of political party funding edited by Jonathan Mendilow and Eric Phélippeau. LSE Review of Books (08 May 2018). Website.

Jones, Alexandra, Lee, Neil ORCID: 0000-0002-4138-7163 and Morris, Katy (2009) Recession and recovery: How UK cities can respond and drive the recovery. . Work Foundation, London.

Jones, Ed (2017) Book Review: Anthropologists in the Stock Exchange: A Financial History of Victorian Science by Marc Flandreau. British Politics and Policy at LSE (22 Jan 2017). Website.

Jones, Erik (2009) They have no idea… decision-making and policy change in the global financial crisis. LSE 'Europe in Question' discussion paper series (04/2009). London School of Economics and Political Science, London.

Jones, Howard (2012) Book Review: migrants and their money: surviving financial exclusion. LSE Review of Books (Apr 2012). Website.

Jones, Jonathan and Wren, Colin (2008) FDI location across British regions and inward investment policy. SERC Discussion Papers (SERCDP0013). Spatial Economics Research Centre (SERC), London School of Economics and Political Science, London, UK.

Jones, Jonathan and Wren, Colin (2008) Foreign direct investment and prospects for the northern region. SERC Discussion Papers (SERCDP0004). Spatial Economics Research Centre (SERC), London School of Economics and Political Science, London, UK.

Jones, Richard (2014) Book review: Restoring public debt sustainability: the role of independent fiscal institutions, edited by George Kopits. LSE Review of Books (21 Jan 2014). Website.

Jonker-Hoffrén, Paul (2013) Finland: a tough Nordic accountant that is caught up by reality. Euro Crisis in the Press (22 Jun 2013). Website.

Jonker-Hoffrén, Paul (2013) Finnish and Dutch Government budgets in the Eurocrisis: between fanaticism and belief in fair play. Euro Crisis in the Press (30 Oct 2013). Website.

Jordan, Declan (2014) Book review: political bubbles: financial crises and the failure of American democracy by Nolan McCarty, Keith T. Poole and Howard Rosenthal. LSE Review of Books (16 Jul 2014). Website.

Jorgensen, Bjorn N., Danielsson, Jon and de Vries, Casper G. (2004) Regulation incentives for risk management in incomplete markets. In: Giorgio, Szego, (ed.) New Risk Measures in Investment and Regulation. Wiley Finance Series. John Wiley & Sons, Chichester, UK, pp. 13-31. ISBN 9780470861547

Jorgensen, Bjorn N. and Kaplan, Robert (2001) Borealis. Case Studies (102-048). Harvard Business School, Department of Law, Boston, USA.

Josselin, Daphné (2004) Between Europe and a hard place: French financial diplomacy from 1995 to 2002. French Politics, Culture and Society, 22 (1). pp. 57-75. ISSN 1537-6370

Julliard, Christian and Brunnermeier, Markus (2006) Money illusion and housing frenzies. In: 2nd Csef-Igier Symposium on Economics and Institutions, 2006-06-26 - 2006-06-30, London, United Kingdom. (Submitted)

Julliard, Christian and Ghosh, Anisha (2012) Can rare events explain the equity premium puzzle? Review of Financial Studies, 25 (10). pp. 3037-3076. ISSN 0893-9454

Julliard, Christian, Shi, Ran and Yuan, Kathy (2020) The spread of COVID-19 in London: network effects and optimal lockdowns. Systemic Risk Centre Discussion Papers (104). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Jung, Alexander (2016) ECB money and credit data releases help markets improve rate expectations. LSE Business Review (24 Aug 2016). Website.

Jung, Heung-Jun and Kim, Dong-One (2015) The dark side of corporate social responsibility. LSE Business Review (27 Nov 2015). Website.

Jungk, Margaret (2015) UN FORUM SERIES – three is the magic number. Measuring Business and Human Rights (12 Nov 2015). Website.

Jurczenko, Emmanuel, Maillet, Bertrand and Negrea, Bogdan (2002) Revisited multi-moment approximate option pricing models: a general comparison (Part 1). Financial Markets Group Discussion Papers (430). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Jurczenko, Emmanuel, Maillet, Bertrand and Negrea, Bogdan (2002) Skewness and kurtosis implied by option prices: a second comment. Financial Markets Group Discussion Papers (419). Financial Markets Group, The London School of Economics and Political Science, London, UK.

K

Kabeer, Naila ORCID: 0000-0001-7769-9540 (2006) Microfinance, the MDGs and beyond: what difference to financial services make to low income women? . IFAD-UNIFEM Gender Mainstreaming Programme in Asia, New Delhi, India.

Kabeer, Naila ORCID: 0000-0001-7769-9540 (2003) Part III: Wider Social Impacts: 10. Assessing the “wider” social impacts of microfinance services: concepts, methods, findings. IDS Bulletin, 34 (4). 106 - 114. ISSN 0265-5012

Kaberuka, Donald (2014) Financing Africa’s future. International Growth Centre Blog (03 Nov 2014). Website.

Kabiri, Ali, James, Harold, Landon-Lane, John, Tuckett, David and Nyman, Rickard (2023) The role of sentiment in the US economy: 1920 to 1934. Economic History Review, 76 (1). 3 - 30. ISSN 0013-0117

Kabiri, Ali, James, Harold, Landon-Lane, John, Tuckett, David and Nyman, Rickard (2021) The role of sentiment in the economy: 1920 to 1934. Financial Markets Group Discussion Papers (800). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kabiri, Ali, Malone, Vlad, Roland, Isabelle Angeline Madeleine and Spatareanu, Mariana (2020) Bank default risk propagation along supply chains: evidence from the UK. CEP Discussion Papers (CEPDP1699). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Kadiyali, Vrinda, Vilcassim, Naufel J. and Chintagunta, Pradeep K. (1996) Empirical analysis of competitive product line pricing decisions: lead, follow, or move together? Journal of Business, 69 (4). pp. 459-487. ISSN 0021-9398

Kahle, Kathleen and Stulz, René M. (2017) The shrinking number of public corporations in the US. LSE Business Review (17 Oct 2017). Blog Entry.

Kaiser, Boris and Siegenthaler, Michael (2016) Some workers win, others lose from currency depreciation. LSE Business Review (30 Jun 2016). Website.

Kalafatis, Thomas and Nesbitt, Richard (2022) Comparing cryptocurrencies in search of features that promote social inclusion. LSE Business Review (25 Mar 2022). Blog Entry.

Kalyvitis, Sarantis and Michaelides, Alexander (2001) New evidence on the effects of US monetary policy on exchange rates. Economics Letters, 71 (2). pp. 255-263. ISSN 0165-1765

Kaminska, Iryna, Vayanos, Dimitri and Zinna, Gabriele (2011) Preferred-habitat investors and the US term structure of real rates. Financial Markets Group Discussion Papers (674). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kang, Johnny, Pekkala, Tapio, Polk, Christopher and Ribeiro, Ruy (2011) Stock prices under pressure: how tax and interest rates drive returns at the turn of the tax year. Financial Markets Group Discussion Papers (671). Financial Markets Group, The London School of Economics and Political Science, London, UK. ISBN 09568549671

Kapar, Burcu, Iori, Giulia, Gabbi, Giampaolo and Germano, Guido (2020) Market microstructure, banks' behaviour and interbank spreads: evidence after the crisis. Journal of Economic Interaction and Coordination, 15 (1). 283 - 331. ISSN 1860-711X

Kaplan, Greg, Moll, Benjamin and Violante, Giovanni L. (2018) Monetary policy according to HANK. American Economic Review, 108 (3). 697 - 743. ISSN 0002-8282

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.

Kapoor, Sony and Lamberts, Philippe (2013) A cap on bankers’ bonuses is needed to limit excessive risk taking and the associated costs to the taxpayer. LSE European Politics and Policy (EUROPP) Blog (01 Mar 2013). Website.

Kar, Sohini (2018) Financializing poverty: labor and risk in Indian microfinance. South Asia in Motion. Stanford University Press, Stanford, USA. ISBN 9781503604841

Karadima, Maria and Louri, Helen (2021) Determinants of non-performing loans in Greece: the intricate role of fiscal expansion. GreeSE papers (160). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Karagiannaki, Eleni (2015) Recent trends in the size and the distribution of inherited wealth in the UK. Fiscal Studies, 36 (2). pp. 181-213. ISSN 0143-5671

Karagiannaki, Eleni (2012) The effect of parental wealth on children’s outcomes inearly adulthood. CASEpapers (164). Centre for Analysis of Social Exclusion, London, UK.

Karagiannis, Stelios, Panagopoulos, Yannis and Vlamis, Prodromos (2010) Symmetric or asymmetric interest rate adjustments? Evidence from Greece, Bulgaria and Slovenia. Hellenic Observatory papers on Greece and Southeast Europe (GreeSE paper no. 39). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Karamouzi, Eirini and Chourchoulis, Dionysios (2012) The end of an era? Not really. A post-mortem of the Greek elections. International Affairs at LSE (16 May 2012). Website.

Karanasos, Menelaos G., Koutroumpis, Panagiotis, Hatgioannides, John, Karanassou, Marika and Sala, Hector (2017) The Greek dra(ch)ma: 5 years of austerity. The three economists’ view and a comment. GreeSE Papers (113). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Karatzas, Ioannis and Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2007) The numéraire portfolio in semimartingale financial models. Finance and Stochastics, 11 (4). pp. 447-493. ISSN 0949-2984

Karatzas, Ioannis and Ruf, Johannes (2017) Trading strategies generated by Lyapunov functions. Finance and Stochastics. ISSN 0949-2984

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2010) Arbitrage strategy. In: Cont, Rama, (ed.) Encyclopedia of Quantitative Finance. John Wiley & Sons, Chichester, UK. ISBN 9780470057568

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2008) Balance, growth and diversity of financial markets. Annals of Finance, 4 (3). pp. 369-397. ISSN 1614-2446

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2010) Finitely additive probabilities and the fundamental theorem of asset pricing. In: Chiarella, Carl and Novikov, Alexander, (eds.) Contemporary Quantitative Finance. Springer Berlin / Heidelberg, Berlin, Germany, pp. 19-34. ISBN 9783642034787

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2010) Free Lunch. In: Cont, Rama, (ed.) Encyclopedia of Quantitative Finance. John Wiley & Sons, Chichester, UK. ISBN 9780470057568

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2010) Stochastic discount factors. In: Encyclopedia of Quantitative Finance. John Wiley & Sons, Chichester, UK. ISBN 9780470057568

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2015) Valuation and parities for exchange options. SIAM Journal on Financial Mathematics, 6 (1). pp. 140-157. ISSN 1945-497X

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2014) A time before which insiders would not undertake risk. In: Kabanov, Yuri, Rutkowski, Marek and Zariphopoulou, Thaleia, (eds.) Inspired by Finance: The Musiela Festschrift. Springer International (Firm), Cham, Switzerland, pp. 349-362. ISBN 9783319020686

Kardaras, Constantinos ORCID: 0000-0001-6903-4506, Obłój, Jan and Platen, Eckhard (2017) The numéraire property and long-term growth optimality for drawdown-constrained investments. Mathematical Finance, 27 (1). pp. 68-95. ISSN 0960-1627

Kardaras, Constantinos ORCID: 0000-0001-6903-4506 and Ruf, Johannes ORCID: 0000-0003-3616-2194 (2020) Filtration shrinkage, the structure of deflators, and failure of market completeness. Finance and Stochastics, 24 (4). 871 - 901. ISSN 0949-2984

Karolyi, Andrew and Taboada, Alvaro (2016) In search of greater regulatory freedom, some banks resort to cross-border acquisitions. LSE Business Review (11 Jan 2016). Website.

Katelouzou, Dionysia and Micheler, Eva (2022) Investor capitalism, sustainable investment and the role of tax relief. European Business Organization Law Review, 23 (1). 217 - 239. ISSN 1566-7529

Katsuo, Yuko (2008) Earnings quality, accruals and subjective goodwill accounting. JS (526). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Kaul, Upaasna (2016) Cashless economics: the new wave of mobile money. International Growth Centre Blog (17 May 2016). Website.

Kaun, Anne (2014) After the crisis: The sharing economy our saviour? Euro Crisis in the Press (09 Oct 2014). Website.

Kavetsos, Georgios (2012) The impact of the London Olympics announcement on property prices. Urban Studies, 49 (7). pp. 1453-1470. ISSN 0042-0980

Kavetsos, Georgios and Szymanski, Stefan (2008) Olympic Games, terrorism and their impact on the London and Paris stock exchanges. Revue d'economie Politique, 118 (2). pp. 189-206. ISSN 0373-2630

Kawabata, Toyo (2019) The role of international climate finance initiatives. LSE Business Review (18 Nov 2019). Blog Entry.

Kaye, Robert (2003) Regulating parliament: the regulatory state within Westminster. CARR Discussion Papers (DP 13). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Kellard, Neil, Millo, Yuval, Simon, Jan and Engel, Ofer (2017) Close communications: hedge funds, brokers and the emergence of herding. British Journal of Management, 28 (1). pp. 84-101. ISSN 1045-3172

Kemeny, Thomas (2010) Does foreign direct investment drive technological upgrading? World Development, 38 (11). pp. 1543-1554. ISSN 0305-750X

Kenen, Peter B. (2000) Currency areas, policy domains, and the institutionalization of fixed exchange rates. CEPDP (467). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Kenny, Seán, Lennard, Jason ORCID: 0000-0002-6700-8969 and Turner, John D. (2021) The macroeconomic effects of banking crises: evidence from the United Kingdom, 1750–1938. Explorations in Economic History, 79. ISSN 0014-4983

Kenway, Peter and Corry, Dan (2017) Post-Brexit Industrial Strategy: a curious complacency hovers over the General Election. British Politics and Policy at LSE (19 May 2017). Website.

Kerfant, Antoine (2013) Start a business in Spain: mission impossible? Euro Crisis in the Press (30 Jul 2013). Website.

Kershaw, David (2011) The decline of legal capital: an exploration of the consequences of board solvency based capital reductions. In: Prentice, Dan and Reisberg, Arad, (eds.) Corporate Finance Law in the Uk and Eu. Oxford University Press, New York, USA, pp. 27-58. ISBN 9780199589616

Kershaw, David, Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Schuster, Edmund-Philipp ORCID: 0000-0002-9355-535X (2012) The incentives of senior bank managers need to be altered in order to make them more risk averse. British Politics and Policy at LSE (17 Jul 2012). Website.

Kessler, Philippe and Fauquet-Alekhine, Philippe (2019) Simulators, is it worth? Assessment of the “basic operational return on investment” of simulators regarding robotics in radioactive environments. In: Granry, Jean-Claude, Custaud, Marc-Antoine and Roche, Janiece, (eds.) International Conference for Multi-Area Simulation ICMASim 2019: Proceedings ICMASim. Frontiers Research Foundation, FRA, 341 - 346. ISBN 9782889630882

Kessy, Pantaleo (2013) Beating the addiction to dollars: policy options for Tanzania. International Growth Centre Blog (06 Dec 2013). Website.

Kessy, Pantaleo (2011) Dollarization in Tanzania: empirical evidence and cross-country experience. Working paper (11/0251). International Growth Centre, London, UK.

Khan, Adnan Q., Khwaja, Asim I. and Olken, Benjamin A. (2016) Tax farming redux: experimental evidence on performance pay for tax collectors. Quarterly Journal of Economics, 131 (1). pp. 219-271. ISSN 0033-5533

Khan, Mohammad Azeem and Ahmad, Wasim (2022) Fresh evidence on the relationship between market power and default risk of Indian banks. Finance Research Letters, 46. ISSN 1544-6123

Kharkar, Prajakta (2013) Business environment in Uganda – Key areas with opportunities. Africa at LSE (10 Apr 2013). Website.

Khavul, Susanna (2010) Microfinance: creating opportunities for the poor? Academy of Management Perspectives, 24 (3). p. 58. ISSN 1558-9080

Khavul, Susanna, Chavez, Helmuth and Bruton, Garry D. (2013) When institutional change outruns the change agent: the contested terrain of entrepreneurial microfinance for those in poverty. Journal of Business Venturing, 28 (1). pp. 30-50. ISSN 0883-9026

Khavul, Susanna and Deeds, David (2016) The evolution of initial co-investment syndications in an emerging venture capital market. Journal of International Management, 22 (3). pp. 280-293. ISSN 1075-4253

Khemani, Stuti and Keefer, Philip (2015) Transparency: who does it hold accountable? International Growth Centre Blog (19 Jan 2015). Blog Entry.

Kiesel, Rüdiger, Perraudin, William and Taylor, Alex. P (2002) Credit and interest rate risk. In: Dempster, Michael Alan Howarth, (ed.) Risk Management: Value at Risk and Beyond. Cambridge University Press, Cambridge; New York, pp. 129-144. ISBN 9780521781800

Kiesel, Rüdiger and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2008) A note on the survival probability in CreditGrades. Journal of Credit Risk, 4 (2). ISSN 1744-6619

Kilincarslan, Erhan (2022) Demystifying the ‘dividend puzzle’ and making sense of government regulations in times of pandemics. LSE Business Review (16 Mar 2022). Blog Entry.

Kimani, Elijah (2020) Fin-tech in Kenya should not cause poverty in pursuit of financial inclusion. Africa at LSE (20 Jan 2020), pp. 1-8. Blog Entry.

Kinander, Morten (2018) Why won't the UK get a good Brexit deal on financial services? One word: Norway. LSE Brexit (13 Mar 2018). Website.

King, Mervyn (1993) Debt inflation: theory and evidence. Financial Markets Group Discussion Papers (175). Financial Markets Group, The London School of Economics and Political Science, London, UK.

King, Philip and Millard, Stephen (2014) Modelling the service sector. CFM discussion paper series (CFM-DP2014-1). Centre For Macroeconomics, London, UK.

Kingler-Vidra, Robin (2022) Book review: the power law: venture capital and the art of disruption by Sebastian Mallaby. USApp – American Politics and Policy Blog (13 Mar 2022). Blog Entry.

Kinouchi, Renato (2018) Philosophical issues related to risks and values. Filosofia Unisinos, 19 (3). pp. 235-240. ISSN 1984-8234

Kippin, Sean (2014) Book review: the establishment: and how they get away with it by Owen Jones. LSE Review of Books (10 Dec 2014). Blog Entry.

Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Grant, Jeremy (2005) Financial tunnelling and the revenge of the insider system: how to circumvent the new European corporate governance legislation. Financial Markets Group Discussion Papers (536). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Grant, Jeremy (2004) Who governs?: corporate ownership and control structures in Europe. SSRN working paper, 555877. Social Science Research Network.

Kirchmaier, Thomas ORCID: 0000-0002-8938-2206, Grant, Jeremy and Bienz, Carsten (2006) The corporate governance of private equity. In: Grant, Jeremy and Bassi, I., (eds.) Structuring European Private Equity. Euromoney Books, London, UK, pp. 70-85. ISBN 9781843742623

Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Selvaggi, Mariano (2006) The dark side of 'good' corporate governance: compliance-fuelled book-cooking activities. Financial Markets Group Discussion Papers (559). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kiriazidis, Theo (2017) The European deposit insurance in perspective. GreeSE Papers (112). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Kirilenko, Andrei, Kyle, Albert, Samadi, Mehrdad and Tuzun, Tugkan (2017) ‘Flash Crash’: The first market crash in the era of algorithms and automated trading. LSE Business Review (26 Jun 2017). Website.

Kirkpatrick, L. Owen (2017) Donald Trump is poised to do great harm to US cities (but not for the reasons you might think). USApp - American Politics and Policy Blog (06 Mar 2017). Website.

Kiyotaki, Keiko (2005) Ottoman state finance: a study of fiscal deficits and internal debt in 1859-63. Economic History Working Papers (90/05). Department of Economic History, London School of Economics and Political Science, London, UK.

Klein, Christian, Stellner, Christoph and Zwergel, Bernhard (2015) Good corporate social performance may lead to higher credit ratings. LSE Business Review (05 Nov 2015). Website.

Kleiner, M., Bartel, A. and Freeman, Richard B. (2003) The effects of employee attitudes about their workplaces on turnover and productivity: an analysis of retail commercial banking. In: NBER Personnel Economics Meeting, 2003-03-06 - 2003-03-07. (Submitted)

Kleinheisterkamp, Jan ORCID: 0000-0003-4037-8860 (2006) Le Brésil et la doctrine Calvo. In: Monclaire, Stéphane and Deluchey, Jean François, (eds.) Gouverner L'intégration: Les Politiques Nationale et Internationale du Brésil De Lula. Editions Pepper, Paris, France.

Kleinheisterkamp, Jan ORCID: 0000-0003-4037-8860 (2004) O Brasil e as disputas com investidores estrangeiros [Brazil and the disputes with foreign investors]. In: Di Sena Júnior, Roberto and Costa Sousa Cherem, Mônica Teresa, (eds.) Comércio Internacional e Desenvolvimento: Uma Perspectiva Brasileira. Editora Saraiva, São Paulo, Brazil, pp. 156-187. ISBN 9788502047716

Kleinman, Benny, Liu, Ernest, Redding, Stephen J. and Yogo, Motohiro (2023) Neoclassical growth in an interdependent world. CEP Discussion Papers (CEPDP1965). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Klingler-Vidra, Robyn (2014) Building a venture capital market in Vietnam: diffusion of a neoliberal market strategy to a socialist state. Asian Studies Review, 38 (4). pp. 582-600. ISSN 1035-7823

Knebel, Christian and Peters, Ralf (2015) Direct and indirect linkages between non-tariff measures and the SDGs. Africa at LSE (30 Sep 2015). Website.

Knechel, Robert, Vanstraelen, Anne and Zerni, Mikko (2016) The individual style of audit partners influences how firms are rated. LSE Business Review (14 Jan 2016). Website.

Knight, Malcolm D. (2012) Surmounting the financial crisis: contrasts between Canadian and American BanksFirst - Thomas O. Enders Memorial Lecture. American Review of Canadian Studies, 42 (3). pp. 311-320. ISSN 0272-2011

Knowles, Duncan (2021) Manufacturing vs distribution: where is digital banking going? LSE Business Review (21 Jul 2021). Blog Entry.

Koenraadt, Jeroen and Leung, Edith (2022) Investor reactions to crypto token regulation. European Accounting Review. pp. 1-31. ISSN 0963-8180

Koffi, Kilian (2016) As the global economy struggles, economic diversification in Africa is necessary. Africa at LSE (21 Mar 2016). Website.

Kogan, Leonid, Makarov, Igor and Uppal, Raman (2007) The equity risk premium and the riskfree rate in an economy with borrowing constraints. Mathematics and Financial Economics, 1 (1). pp. 1-19. ISSN 1862-9679

Kogana, Shimon, Makarov, Igor, Niessnerc, Marina and Schoar, Antoinette (2024) Are cryptos different? Evidence from retail trading. Journal of Financial Economics. ISSN 0304-405X (In Press)

Koh, Sin Yee (2017) Book review: capital without borders: wealth managers and the one percent by Brooke Harrington. LSE Review of Books (01 Mar 2017). Website.

Kollenberg, Sascha and Taschini, Luca ORCID: 0000-0001-5355-1736 (2019) Dynamic supply adjustment and banking under uncertainty in an Emission Trading Scheme: the Market Stability Reserve. European Economic Review, 118. pp. 213-226. ISSN 0014-2921

Kollenberg, Sascha and Taschini, Luca ORCID: 0000-0001-5355-1736 (2016) Emissions trading systems with cap adjustments. Journal of Environmental Economics and Management, 80. pp. 20-36. ISSN 0095-0696

Kolliopoulos, Athanasios (2021) Reforming the Greek financial system: a decade of failure. Hellenic Observatory Discussion Papers on Greece and Southeast Europe (155). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Kolliopoulos, Athanasios (2020) The determinants of bank bailouts in Greece: testing the extreme limits of the “Varieties of Financial Capitalism” framework. GreeSE papers (148). London School of Economics and Political Science, London, UK.

Komarova, Tatiana ORCID: 0000-0002-6581-5097 (2013) A new approach to identifying generalized competing risks models with application to second-price auctions. Quantitative Economics, 4 (2). pp. 269-328. ISSN 1759-7323

Kondor, Peter (2004) Rational trader risk. Financial Markets Group Discussion Papers (533). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kondor, Peter (2004) The more we know, the less we agree: public announcements and higher-order expectations. Financial Markets Group Discussion Papers (532). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kondor, Peter and Koszegi, Botond (2017) Financial choice and financial information. Financial Markets Group Discussion Papers (775). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kondor, Peter and Pinter, Gabor (2022) Clients’ connections: measuring the role of private information in decentralized markets. Journal of Finance, 77 (1). 505 - 544. ISSN 1540-6261

Kondor, Peter and Pinter, Gabor (2019) Private information and client connections in government bond markets. CFM discussion paper series (CFM-DP2019-01). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Kondor, Peter and Pintér, Gábor (2019) Clients' connections. Financial Markets Group Discussion Papers (786). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kondor, Peter and Vayanos, Dimitri (2014) Liquidity risk and the dynamics of arbitrage capital. Financial Markets Group Discussion Papers (730). London School of Economics and Political Science, London, UK.

Kondor, Peter and Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (2019) Liquidity risk and the dynamics of arbitrage capital. Journal of Finance, 74 (3). pp. 1139-1173. ISSN 0022-1082

Kondor, Peter and Zawadowski, Adam (2016) Learning in crowded markets. Financial Markets Group Discussion Papers (774). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Konstantinou, Panagiotis and Panagiotidis, Theodore (2015) A note on Greece’s net investment position. LSE Greece@LSE (13 Jan 2015). Website.

Kontoghiorghes, Erricos J., Van Dijk, Herman K., Belsley, David A., Bollerslev, Tim, Diebold, Francis X., Dufour, Jean-Marie, Engle, Robert F., Harvey, Andrew, Koopman, Siem Jan, Pesaran, Hashem, Phillips, Peter C.B., Smith, Richard J., West, Mike, Yao, Qiwei ORCID: 0000-0003-2065-8486, Amendola, Alessandra, Billio, Monica, Chen, Cathy W.S., Chiarella, Carl, Colubi, Ana, Deistler, Manfred, Francq, Christian, Hallin, Marc, Jacquier, Eric, Judd, Kenneth, Koop, Gary, Lütkepohl, Helmut, MacKinnon, James G., Mittnik, Stefan, Omori, Yasuhiro, Pollock, D.S.G., Proietti, Tommaso, Rombouts, Jeroen V.K., Scaillet, Olivier, Semmler, Willi, So, Mike K.P., Steel, Mark, Taylor, Robert, Tzavalis, Elias, Zakoian, Jean-Michel, Boswijk, H. Peter, Luati, Alessandra and Maheu, John (2014) CFE network: the annals of computational and financial econometrics. Computational Statistics and Data Analysis, 76. pp. 1-3. ISSN 0167-9473

Kopányi-Peuker, Anita and Weber, Matthias (2022) Investor experience and information do not discourage asset price bubbles. LSE Business Review (19 Jan 2022). Blog Entry.

Kostopoulos, Christos (2013) Framing the indignant citizens movement. Euro Crisis in the Press (20 Dec 2013). Website.

Kostopoulos, Christos, Orsi, Roberto and Paipais, Vassilios (2013) Framing the indignant citizens movement. Euro Crisis in the Press (10 Dec 2013). Website.

Kothavala, Kazbi (2003) Proportional consolidation versus the equity method: a risk measurement perspective on reporting interests in joint ventures. Journal of Accounting and Public Policy, 22 (6). pp. 517-538. ISSN 0278-4254

Kotsogiannis, Christos and Mateos-Planas, Xavier (2019) Tax evasion as contingent debt. CFM discussion paper series (CFM-DP2019-03). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Kouassi Coulibaly, Nadia, Mbeya, Paulette, Bayuo, Blaise and Chan, Kenddrick (2023) Climate financing in Africa: strategies for the future. . African Private Capital Association (AVCA), London, UK.

Koufopoulos, Kostas (2002) Asymmetric information, heterogeneity in risk perceptions and insurance: an explanation to a puzzle. Financial Markets Group Discussion Papers (402). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Koundouri, Phoebe, Kourogenis, Nikolaos and Pittis, Nikitas (2016) Statistical modeling of stock returns: explanatory ordescriptive? A historical survey with some methodologicalreflections. Journal of Economic Surveys, 30 (1). pp. 149-164. ISSN 0950-0804

Koundouri, Phoebe, Kourogenis, Nikolaos, Pittis, Nikitas and Samartzis, Panagiotis (2016) Factor models of stock returns: GARCH errors versus time-varying betas. Journal of Forecasting, 35 (5). pp. 445-461. ISSN 0277-6693

Koutras, Andreas (2016) Greece. The country with the half Drachma. LSE Greece@LSE (06 Apr 2016). Website.

Kraetzschmar, Hendrik and Lahlali, El Mustapha (2012) The state of e-services delivery in Kuwait: opportunities and challenges. Kuwait Programme on Development, Governance and Globalisation in the Gulf States (20). London School of Economics and Political Science, London, UK.

Krasniqi, Besnik, Ahmetbasić, Jasmina and Bartlett, Will ORCID: 0000-0002-6775-4339 (2022) Foreign direct investment and backward spillovers in the Western Balkans: the context, opportunities and barriers to the development of regional supply chains. Southeastern Europe, 46 (1). 1 - 22. ISSN 0094-4467

Kremens, Lukas and Martin, Ian (2019) The quanto theory of exchange rates. American Economic Review, 109 (3). pp. 810-843. ISSN 0002-8282

Kremens, Lukas and Martin, Ian (2017) The quanto theory of exchange rates. Systemic Risk Centre Discussion Papers (75). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Kremens, Lukas and Martin, Ian (2017) The quanto theory of exchange rates. Financial Markets Group Discussion Papers (769). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Krishnan, Aarati (2018) Indian Budget 2018: true acid test of NDA's reformist credentials. South Asia @ LSE (15 Mar 2018). Website.

Kristensen, Dennis (2004) Estimation in two classes of semiparametric diffusion models. Financial Markets Group Discussion Papers (500). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kristensen, Dennis (2004) Estimation of partial differential equations with applications in finance. Financial Markets Group Discussion Papers (499). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kristensen, Dennis (2004) A semiparametric single-factor model of the term structure. Financial Markets Group Discussion Papers (501). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Kristensen, Dennis and Mele, Antonio (2011) Adding and subtracting Black-Scholes: a new approach to approximating derivative prices in continuous-time models. Journal of Financial Economics, 102 (2). pp. 390-415. ISSN 0304-405X

Krupa, Joel (2016) Book review: renewable energy finance: powering the future edited by Charles W. Donovan. LSE Review of Books (07 Nov 2016). Website.

Kuecken, Maria (2012) Book review: the reckoning: debt, democracy and the future of American power. LSE Review of Books (29 Oct 2012). Website.

Kumar, Sunil (2010) Savings and loan associations. In: Anheier, Helmut K. and Toepler, Stefan, (eds.) International Encyclopedia of Civil Society. Springer Berlin / Heidelberg, New York, USA, pp. 1346-1349. ISBN 9780387939964

Kumhof, Michael (2013) We should seriously consider revisiting “The Chicago Plan” of the 1930s which separates the monetary and credit functions of the banking system. LSE American Politics and Policy (25 Nov 2013). Website.

Kumhof, Michael, Ranciere, Romain and Winant, Pablo (2015) Income inequality causes higher debt leverage among all but the richest households, and makes economies more vulnerable to financial crises. USApp– American Politics and Policy Blog (12 May 2015). Website.

Kung, Claryn S. J., Johnston, David W. and Shields, Michael A. (2018) Mental health and the response to financial incentives: evidence from a survey incentives experiment. Journal of Health Economics, 62. pp. 84-94. ISSN 0167-6296

Kurunmaki, Liisa, Lapsley, Irvine and Miller, Peter (2011) Accounting within and beyond the state. Management Accounting Research, 22 (1). pp. 1-5. ISSN 1044-5005

Kurunmäki, Liisa and Miller, Peter (2006) Modernising government: the calculating self, hybridisation and performance measurement. Financial Accountability and Management, 22 (1). pp. 87-106. ISSN 0267-4424

Kurunmäki, Liisa and Miller, Peter (2006) Modernising government: the calculating self, hybridisation and performance measurement. In: Bhimani, Alnoor, (ed.) Contemporary Issues in Management Accounting. Oxford University Press, Oxford. ISBN 0199283354

Kuzina, Olga and Dodd, Nigel (2014) How do lay consumers and households understand financial strategizing. Corvinus Journal of Sociology and Social Policy, 5 (1). pp. 89-114. ISSN 2062-087X

Kwarteng, Kwasi (2018) Kwasi Kwarteng: does the UK need its own infrastructure bank? British Politics and Policy at LSE (27 Apr 2018). Website.

Kyriakidou, Maria (2015) Syriza’s win and the Greek elections: many shades of grey. Euro Crisis in the Press (26 Jan 2015). Website.

Kyriakopoulou, Danae, Antonakaki, Theodora, Bekiari, Maria, Kartapani, Aliki and Rapti, Eleni (2022) Central banks and climate-related disclosures: applying the TCFD’s recommendations. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (3). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Kyriakopoulou, Danae and Hyrske, Anna (2022) Sustainable and responsible management of central banks’ pension and own portfolios. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (4). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

L

Labro, Eva (2006) Analytics of costing system design. In: Bhimani, Alnoor, (ed.) Contemporary Issues in Management Accounting. Oxford University Press, Oxford, UK, pp. 217-243. ISBN 9780199283361

Labro, Eva and Tuomela, Tero-Seppo (2003) On bringing more action into management accounting research: process considerations based on two constructive case studies. European Accounting Review, 12 (3). pp. 409-442. ISSN 0963-8180

Lach, Saul, Neeman, Zvika and Schankerman, Mark (2021) Government financing of R&D: a mechanism design approach. American Economic Journal: Microeconomics, 13 (3). 238 - 272. ISSN 1945-7669

Lach, Saul and Schankerman, Mark (1987) The interaction between capital investment and r&d in science-based firms. . National Bureau of Economic Research, Cambridge, MA., USA.

Lagazio, Monica, Sherif, Nazneen and Cushman, Mike (2014) A multi-level approach to understanding the impact of cyber crime on the financial sector. Computers and Security, 45. pp. 58-74. ISSN 0167-4048

Lage de Sousa, Philip and Ottaviano, Gianmarco I. P. (2014) Relaxing credit constraints in emerging economies: the impact of public loans on the performance of Brazilian manufacturers. CEP Discussion Papers (CEPDP1309). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Lagos, Ricardo and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2020) Turnover liquidity and the transmission of monetary policy. American Economic Review, 110 (6). 1635 - 1672. ISSN 0002-8282

Lagos, Ricardo and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2019) A monetary model of bilateral over-the-counter markets. Review of Economic Dynamics, 33. pp. 205-227. ISSN 1094-2025

Lahmiri, Salim, Sensoy, Ahmet, Akyildirim, Erdinc and Bekiros, Stelios (2023) Statistical analysis by wavelet leaders reveals differences in multi-fractal characteristics of stock price and return series in Turkish high frequency data. Fractals. ISSN 0218-348X

Lai, Yanqing, Saridakis, George, Blackburn, Robert and Johnstone, Stewart (2016) In a recession, large firms are more likely than SMEs to resort to personnel cuts. LSE Business Review (15 Jan 2016). Website.

Laker, Ben and Ridley, Mark (2017) How salespeople can stimulate the global economy. LSE Business Review (25 Jan 2017). Blog Entry.

Laliotis, Ioannis (2019) Did the economic adjustment programmes deliver wage flexibility in Greece? GreeSE Papers (141). London School of Economics and Political Science, London, UK.

Laliotis, Ioannis, Shaikh, Mujaheed, Stavropoulou, Charitini and Kourouklis, Dimitrios (2019) Retirement and household expenditure in turbulent times. GreeSE Papers (137). London School of Economics and Political Science, London, UK.

Lall, Ranjit ORCID: 0000-0003-1455-3506 (2015) Timing as a source of regulatory influence: a technical elite network analysis of global finance. Regulation and Governance, 9 (2). pp. 125-143. ISSN 1748-5983

Lall, Ranjit ORCID: 0000-0003-1455-3506 (2021) The financial consequences of rating international institutions: competition, collaboration, and the politics of assessment. International Studies Quarterly, 65 (2). 343 - 359. ISSN 1468-2478

Lambert, Peter and Van Reenen, John ORCID: 0000-0001-9153-2907 (2021) Support schemes for UK businesses decreased the risk of bankruptcies, but we are not out of the woods yet. LSE Business Review (05 May 2021). Blog Entry.

Lamont, Owen A. and Polk, Christopher (2001) The diversification discount. Journal of Finance, 56 (5). pp. 1693-1721. ISSN 0022-1082

Lamont, Owen A., Polk, Christopher and Saá-Requejo, Jesús (2001) Financial constraints and stock returns. Review of Financial Studies, 14 (2). pp. 529-554. ISSN 0893-9454

Landsman, Wayne R., Peasnell, Ken V., Pope, Peter and Yeh, Shu (2006) Which approach to accounting for employee stock options best reflects market pricing? Review of Accounting Studies, 11 (2-3). pp. 203-245. ISSN 1380-6653

Lane, Christel (2014) Book review: the implosion of capitalism by Samir Amin. LSE Review of Books (06 May 2014). Website.

Lane, David C. (1995) Diary of an oil market model. Operational Research working papers (LSEOR 95.19). Department of Operational Research, London School of Economics and Political Science, London, UK.

Lane, Joe (2017) Book review: the financial diaries: how American families cope in a world of uncertainty by Jonathan Morduch and Rachel Schneider. LSE Review of Books (19 May 2017). Website.

Lane, Philip R. and Milesi-Ferretti, Gian Maria (2004) Financial globalization and exchange rates. CEPDP (662). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 075301792X

Lange, Linnea Sandström (2012) If not quotas, then what?: the forthcoming EU proposal on women quotas in boardrooms. Engenderings (13 Oct 2012). Website.

Lankes, Hans Peter, Stern, Nicholas and Blumenthal, Michael (1999) Capital flows to Eastern Europe. In: Feldstein, Martin, (ed.) International Capital Flows. National Bureau of Economic Research conference report. University of Chicago. Press, London, UK, pp. 57-110. ISBN 0226241033

Lannoo, Karel (2016) Leaving the EU will be detrimental for the future of the City. LSE Brexit (20 Jan 2016). Website.

Lanteri, Alessandro, Esposito, Mark and Tse, Terence (2021) From fintechs to banking as a service: global trends banks cannot ignore. LSE Business Review (19 Jan 2021). Blog Entry.

Larcinese, Valentino and Sircar, Indraneel ORCID: 0000-0002-7415-2862 (2017) Crime and punishment the British way: accountability channels following the MPs’ expenses scandal. European Journal of Political Economy, 47. pp. 75-99. ISSN 0176-2680

Larcinese, Valentino and Sircar, Indraneel ORCID: 0000-0002-7415-2862 (2014) Singing from the same broad sheet? Examining newspaper coverage bias during the 2009 MPs' expenses scandal. In: Van Heerde-Hudson, Jennifer, (ed.) The Political Costs of the 2009 British MPs’ Expenses Scandal. Palgrave Macmillan, Basingstoke, UK, pp. 153-174. ISBN 9781137034540

Larragy, Adam (2013) Book review: The single currency and European citizenship: unveiling the other side of the coin. LSE Review of Books (30 Sep 2013). Website.

Larraín, Felipe and Velasco, Andres ORCID: 0000-0003-0441-5062 (2004) How should emerging economies float their currencies? Economics of Transition, 10 (2). pp. 365-392. ISSN 0967-0750

Larsson, Martin and Ruf, Johannes ORCID: 0000-0003-3616-2194 (2021) Relative arbitrage: sharp time horizons and motion by curvature. Mathematical Finance, 31 (3). 885 - 906. ISSN 0960-1627

Lastra, R. M. (2011) Who guards the guardians of monetary stability and financial stability? That is the key question behind the debate about the accountability of the Bank of England. British Politics and Policy at LSE (19 Aug 2011). Website.

Laureys, Lien (2014) Optimal monetary policy in the presence of human capital depreciation during unemployment. CFM discussion paper series (CFM-DP2014-15). Centre For Macroeconomics, London, UK.

Laven, Mike (2014) Banking on a digital revolution. Network Economy Forum (06 Feb 2014). Website.

Laviolette, Luc, Gopalan, Sudararajan, Elder, Leslie and Wouters, Olivier J. ORCID: 0000-0002-2514-476X (2016) Incentivizing nutrition: how to apply incentive mechanisms to accelerate improved nutrition outcomes: a practitioner’s compendium. . World Bank, Washington D.C., USA.

Laviolette, Luc, Gopalan, Sudararajan, Elder, Leslie and Wouters, Olivier J. ORCID: 0000-0002-2514-476X (2016) Incentivizing nutrition: incentive mechanisms to accelerate improved nutrition outcomes. . World Bank, Washington D.C., USA.

Lawless, Martina, McCoy, Daire ORCID: 0000-0001-6637-2227, Morgenroth, Edgar L. W. and O’Toole, Conor M. (2018) Corporate tax and location choice for multinational firms. Applied Economics, 50 (26). pp. 2920-2931. ISSN 0003-6846

Lawlor, Andrea and Crandall, Erin (2017) Canada and the UK can learn from one another in how to regulate money in politics. USApp - American Politics and Policy Blog (02 Nov 2017). Website.

Lawrence, Matthew (2014) For the good of society, we need a democratic reformation of finance. Democratic Audit Blog (10 Sep 2014). Website.

Layard, Richard (1994) Can Russia control inflation? In: Onno de Beaufort Wijnholds, J., Eijffinger, Sylvester C.W. and Hoogduin, Lex H., (eds.) A Framework for Monetary Stability. Financial and monetary policy studies (27). Kluwer Academic Publishers, Boston, USA, pp. 269-282. ISBN 0792326679

Layard, Richard (1993) Can Russia control inflation? CEP Discussion Papers (CEPDP0170). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Layard, Richard (1991) How to end leapfrogging: a review of foreign experience of wage bargaining arrangements. In: Hawkins, Julia, (ed.) International Pay Policies. Public Finance Foundation (Great Britain), London, UK. ISBN 9780852994924

Layard, Richard (2000) Joining Europe's currency. In: Baimbridge, Mark, Burkitt, Brian and Whyman, Philip, (eds.) The Impact of the Euro: Debating Britain’s Future. Palgrave Macmillan, Houndsmills, UK, pp. 56-66. ISBN 033373579X

Layard, Richard (2002) Why Britain should join the Euro. Central Banking, 12 (4). ISSN 0960-6319

Layard, Richard (2002) The status quo is not an option. Centrepiece, 7 (1). pp. 30-32. ISSN 1362-3761

Layard, Richard, Buiter, Willem H., Currie, David, Huhne, Christopher, Hutton, Will, Kenen, Peter, Mundell, Robert and Turner, Adair (2000) The case for the euro. Britain in Europe (Campaign). ISBN 1903565006

Layard, Richard, Buiter, Willem H., Huhne, Christopher, Hutton, Will, Kenen, Peter B. and Turner, Adair (2002) Why Britain should join the euro. Britain in Europe (Campaign), London, UK. ISBN 9781903565148

Le Grand, Julian ORCID: 0000-0002-7864-0118 (1995) Muddle in the middle. Financial Times. ISSN 0307-1766

Le Grand, Julian ORCID: 0000-0002-7864-0118 (2002) Public service, private rewards. Financial Times. ISSN 0307-1766

Le Grand, Julian ORCID: 0000-0002-7864-0118 (1999) Redistribution of sorts; a budget commentary. Financial Times. ISSN 0307-1766

Le Grand, Julian ORCID: 0000-0002-7864-0118 (2013) Subsidiarity and individual responsibility: quasi-markets and asset-based welfare. In: Brugnoli, Alberto and Colombo, Alessandro, (eds.) Government, Governance and Welfare Reform: Structural Changes and Subsidiarity in Italy and Britain. Elgar, Cheltenham, UK, pp. 147-154. ISBN 9781848444775

Le Grand, Julian ORCID: 0000-0002-7864-0118 (2010) This spending review may yet be helpful for social indicators: only time will tell. British Politics and Policy at LSE (22 Oct 2010). Website.

Le Grand, Julian ORCID: 0000-0002-7864-0118 (1992) A dose of market reform. Financial Times. ISSN 0307-1766

Le Grand, Julian ORCID: 0000-0002-7864-0118 (1998) The market that never was. Guardian. ISSN 0261-3077

Lea, Ruth (2016) After a Leave vote the UK would have a strong hand in any trade negotiations. LSE Brexit (20 May 2016). Website.

Leach, Anna (2015) The UK’s productivity challenge takes different shapes across sectors. LSE Business Review (03 Dec 2015). Website.

Leape, Jonathan (2008) User charges - a reassessment. In: Wales, C., (ed.) Fair Tax: Towards a Modern Tax System. Adam Smith Institute, London, UK, pp. 74-85. ISBN 9781905370344

Leape, Jonathan ORCID: 0009-0003-5731-836X and King, M. A. (1998) Wealth and portfolio consumption: theory and evidence. Journal of Public Economics, 69 (2). pp. 155-193. ISSN 0047-2727

Leaver, Meghan, Griffiths, Alex and Reader, Tom W. (2018) Near misses in financial trading: skills for capturing and averting error. Human Factors, 60 (5). pp. 640-657. ISSN 0018-7208

Leaver, Meghan and Reader, Tom W. (2016) Human factors in financial trading: an analysis of trading incidents. Human Factors, 58 (6). pp. 814-832. ISSN 0018-7208

Leaver, Meghan and Reader, Tom W. (2016) Non-technical skills for managing risk and performance in financial trading. Journal of Risk Research, 19 (6). pp. 687-721. ISSN 1366-9877

Leaver, Meghan and Reader, Tom W. (2017) Safety culture in financial trading: an analysis of trading misconduct investigations. Journal of Business Ethics. ISSN 0167-4544

Leblanc, B., Renault, Olivier and Scaillet, O. (2000) A correction note on the first passage time of an Ornstein-Uhlenbeck process to a boundary. Finance and Stochastics, 4 (1). pp. 109-111. ISSN 0949-2984

Leblay, Aurelien (2015) Delivering the sustainable development goals: a new partnership between the state and private sector. Africa at LSE (04 Dec 2015). Website.

Lee, Jack (2019) Money's disappearing act. In: LSE Research Festival 2019: New World (Dis)Orders, 2019-02-25 - 2019-03-02, London School of Economics, London, United Kingdom.

Lee, Neil ORCID: 0000-0002-4138-7163 and Drever, Emma (2014) Do SMEs in deprived areas find it harder to access finance?: evidence from the UK small business survey. Entrepreneurship and Regional Development, 26 (3-4). pp. 337-356. ISSN 0898-5626

Lee, Neil ORCID: 0000-0002-4138-7163 and Luca, Davide (2019) The big-city bias in access to finance: evidence from firm perceptions in almost 100 countries. Journal of Economic Geography, 19 (1). 199 - 224. ISSN 1468-2702

Lee, Neil ORCID: 0000-0002-4138-7163, Sameen, Hiba and Cowling, Marc (2015) Access to finance for innovative SMEs since the financial crisis. Research Policy, 44 (2). pp. 370-380. ISSN 0048-7333

Lee, Neil ORCID: 0000-0002-4138-7163, Sameen, Hiba and Martin, Lloyd (2013) Credit and the crisis: access to finance for innovative small firms. . Big Innovation Centre, London.

Lehmann, Bruce and Timmermann, Allan (2007) Performance measurement and evaluation. Financial Markets Group Discussion Papers (604). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lehmann, Matthias (2014) Volcker rule, ring-fencing or separation of bank activities:comparison of structural reform acts around the world. LSE Law, Society and Economy working paper series (25/2014). London School of Economics and Political Science, London, UK.

Leiss, Matthias and Nax, Heinrich H. (2015) Option-implied objective measures of market risk. . Eidgenössische Technische Hochschule, Zurich, Switzerland.

Leiss, Matthias, Nax, Heinrich H. and Sornette, Didier (2015) Super-exponential growth expectations and the global financial crisis. Journal of Economic Dynamics and Control, 55. pp. 1-13. ISSN 0165-1889

Lemos, Renata and Scur, Daniela (2013) Bad management: a constraint on economic development? International Growth Centre Blog (08 Jul 2013). Website.

Lenhard, Johannes (2021) Book review: Better business: how the B Corp movement is remaking capitalism by Christopher Marquis. LSE Review of Books (26 Apr 2021). Blog Entry.

Lenhard, Johannes (2022) Book review: The everyday practice of valuation and investment: political imaginaries of shareholder value by Horacio Ortiz. LSE Review of Books (25 Oct 2022). Blog Entry.

Lennard, Jason ORCID: 0000-0002-6700-8969 (2022) William Quinn and John D.Turner, Boom and Bust: A Global History of Financial Bubbles. Cambridge: Cambridge University Press, 2020. pp. viii+288. 25 figs. 14 tabs. ISBN Hbk. 9781108421256. Economic History Review, 75 (2). 634 - 635. ISSN 0013-0117

Lenoël, Cyrille, Macchiarelli, Corrado and Young, Garry (2022) Greece 2010-18: what could we have done differently? GreeSE Papers: Hellenic Observatory Papers on Greece and Southeast Europe (172). Hellenic Observatory, London School of Economics and Political Science, London, UK.

Leo, Ben (2013) Announcing the 2013 DATA Report: Financing the fight for Africa’s transformation. Africa at LSE (29 May 2013). Website.

Leon, Angel and Sentana, Enrique (1997) Pricing options on assets with predictable white noise returns. Financial Markets Group Discussion Papers (267). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lepenies, Phillip (2015) Event: Philipp Lepenies challenges growth indicators ahead of general election. International Development (26 Apr 2015). Website.

Lepers, Etienne (2017) The neutrality illusion: biased economics, biased training, and biased monetary policy. Testing the role of ideology on FOMC voting behaviour. New Political Economy. pp. 1-23. ISSN 1356-3467

Leunig, Tim (2011) George Osborne's Comprehensive Spending Review has yielded few surprises. British Politics and Policy at LSE (22 Oct 2011). Website.

Leunig, Tim (2012) Without a rise in German wages, 2012 may see the beginning of the breakup of the Eurozone. British Politics and Policy at LSE (03 Jan 2012). Website.

Levasseur, Ludvig (2019) Researchers' advice to stress-prone entrepreneurs: learn to manage your insomnia, and sleep! LSE Business Review (06 Dec 2019), pp. 1-2. Blog Entry.

Levell, Peter (2012) Possible changes to the Retail Prices Index: what they are and why they matter. British Politics and Policy at LSE (05 Dec 2012). Website.

Levine, Ross, Levkov, Alexey and Rubinstein, Yona (2013) Bank deregulation and racial inequality in America. Critical Finance Review, 3 (1). pp. 1-48. ISSN 2164-5744

Levine, Ross, Levkov, Alexey and Rubinstein, Yona (2011) Racial discrimination and competition. CEP Discussion Papers (CEPDP1069). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Levy, Gilat and Razin, Ronny (2019) Echo chambers and their effects on economic and political outcomes. Annual Review of Economics, 11. 303 - 328. ISSN 1941-1383

Levy, Matthew ORCID: 0000-0002-2508-826X and Tasoff, Joshua (2016) Exponential-growth bias and lifecycle consumption. Journal of the European Economic Association, 14 (3). 545 - 583. ISSN 1542-4766

Levy, Matthew R. ORCID: 0000-0002-2508-826X and Tasoff, Joshua (2017) Exponential-growth bias and overconfidence. Journal of Economic Psychology, 58. pp. 1-14. ISSN 0167-4870

Levy, Roger P., Barzelay, Michael and Gomez, Antonio-Martin Porras (2015) The cascade of fear: policy implementation and financial management reform in the European Commission. Financial Accountability and Management, 31 (2). pp. 150-170. ISSN 0267-4424

Lewin, Sian (2015) Can sociological thinking help to address the bad apples and rotten barrels of the financial industry? Researching Sociology (30 Jun 2015). Website.

Lewin, Sian, Concha, Paz, Sloane, Mona and Message, Reuben (2014) Bitcoin: alternative currencies reloaded, part one. Researching Sociology (12 Jan 2014). Website.

Lewin, Sian, Concha, Paz, Sloane, Mona and Message, Reuben (2014) Bitcoin: alternative currencies reloaded, part two. Researching Sociology (13 Feb 2014). Website.

Lewis, David ORCID: 0000-0003-0732-9020 and Siddiqi, M. Shameen (2006) Social capital from sericulture? : actors, markets, and power in a multi-agency project in Bangladesh. In: Bebbington, Anthony J., Woolcock, Michael, Guggenheim, Scott E. and Olson, Elizabeth, (eds.) The Search for Empowerment: Social Capital as Idea and Practice at the World Bank. Kumarian Press, Bloomfield, CT., USA, pp. 239-257. ISBN 1565492153

Li, Bingqin (1996) Balin yinhang daobi de qishi. In: Teng, W., (ed.) Shijie Jingji Yu Zhongguo. Economics and Sciences Press, Beijing, pp. 217-229.

Li, Bingqin (1996) Dangdai xifang yinhang jingying bianhua de bijiao fenxi. Jingji Shehui Tizhi Bijiao (4). pp. 35-41. ISSN 1003-3947

Li, Bingqin (1996) Jianguan bumen dui meiguo shangye yinhang de zuoyong. Kaifang Daobao (9). pp. 42-44.

Li, Bingqin (1996) Jinrong chuangxin kefu xinxi buduichen yingxiang de youxiao gongju. Guoji jinrong yanjiu. Nankai University.

Li, Bingqin (1997) Jinrong chuangxin yu dapo shichang fenge. Huanbohai Jingji Liaowang (5). pp. 42-45. ISSN 1004-9754

Li, Bingqin (1994) Qianxi gufen gongsi shizhi helihua de youxiao tujing-shizhifa. Nankai Jingji Yanjiu (5). pp. 36-48.

Li, Bingqin and Xiong, Xingmei (1996) Xifang yinhangye de fengxian jiqi guanli zhong de xin changshi. Nankai Jingji Yanjiu (2). pp. 49-54.

Li, Bingqin and Xiong, Xingmei (1995) Yatai jingji juhe de xinqushi. Nankai Jingji Yanjiu (2). pp. 37-44.

Li, Cheng and Xing, Hao (2015) Asymptotic Glosten-Milgrom equilibrium. SIAM Journal on Financial Mathematics, 6 (1). pp. 242-280. ISSN 1945-497X

Li, Ken, McNichols, Maureen F. and Raghunandan, Aneesh ORCID: 0000-0003-0443-4984 (2018) A two-sided matching model of the audit market for IPO firms. .

Li, Li, Huang, Shiyang, Lou, Dong ORCID: 0000-0002-5623-4338 and Shi, Jiahong (2021) Why don't most mutual funds short sell? Financial Markets Group Discussion Papers (838). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Li, Ling-Fan (2009) After the Great Debasement, 1544-51: did Gresham’s Law apply? Economic History Working Papers (126/09). Department of Economic History, London School of Economics and Political Science, London, UK.

Li, Sheng and Linton, Oliver (2007) Evaluating hedge fund performance: a stochastic dominance approach. Financial Markets Group Discussion Papers (591). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Li, Sheng and Linton, Oliver (2010) Evaluating hedge fund performance: a stochastic dominance approach. In: Guerard, John B., (ed.) Handbook of Portfolio Construction: Contemporary Applications of Markowitz Techniques. Springer Berlin / Heidelberg, New York, USA, pp. 551-564. ISBN 9780387774381

Li, Xi (2017) Harmonising accounting standards across the globe. LSE Business Review (05 Apr 2017). Website.

Li, Xi ORCID: 0000-0002-9870-9661 and Yang, Holly (2016) Mandatory financial reporting and voluntary disclosure: the effect of mandatory IFRS adoption on management forecasts. Accounting Review, 91 (3). 933 - 953. ISSN 0001-4826

Liao, Jingchi, Peng, Cameron and Zhu, Ning (2022) Extrapolative bubbles and trading volume. Review of Financial Studies, 35 (4). 1682 - 1722. ISSN 0893-9454

Liao, Jingchi, Peng, Cameron and Zhu, Ning (2021) Extrapolative bubbles and trading volume. Financial Markets Group Discussion Papers (828). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Liao, Jingchi, Peng, Cheng and Zhu, Ning (2019) Price and volume dynamics in bubbles. . SSRN, London, UK.

Liddle, Roger (2011) The Brussels deal to save the Euro confounded its Anglo-Saxon doubters. The British press once again underestimated how integrated Europe really is. British Politics and Policy at LSE (01 Aug 2011). Website.

Liebenau, Jonathan (2020) The role of blockchain regulatory technology: lessons from Project Maison. MIS Quarterly Executive, 19 (1). ISSN 1540-1960

Liebenau, Jonathan and Kärrberg, Patrik (2006) International perspectives on information security practices: opinions, preferences and tools in the financial services industry. . London School of Economics and Political Science, London, UK.

Lillo, Fabrizio, Livieri, Giulia, Marmi, Stefano, Solomko, Anton and Vaienti, Sandro (2023) Analysis of bank leverage via dynamical systems and deep neural networks. SIAM Journal on Financial Mathematics, 14 (2). pp. 598-643. ISSN 1945-497X

Lin, Chun (2023) China's market reform debate. Development and Change, 54 (2). 422 - 441. ISSN 0012-155X

Lindahl, Huidan and Paravisini, Daniel (2012) The effect of financing constraints on risk. Review of Finance, 17 (1). pp. 229-259. ISSN 1572-3097

Lindley, Dominic (2011) Consumers deserve a better deal from financial regulation: the Financial Services Bill provides a golden opportunity to ensure consumers receive the protection they deserve. British Politics and Policy at LSE (07 Nov 2011). Website.

Lindsay, Steven W., Pope, Peter and Young, Steven (2003) Stock market reaction to the appointment of outside directors. Journal of Business Finance and Accounting, 30 (3-4). pp. 351-382. ISSN 0306-686X

Linehan, Merlin (2013) Book review: The origins of international banking in Asia:the nineteenth and twentieth centuries. LSE Review of Books (23 Apr 2013). Website.

Lins, Karl V., Servaes, Henri and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2019) Social capital, trust, and corporate performance: how CSR helped companies during the financial crisis (and why it can keep helping them). Journal of Applied Corporate Finance, 31 (2). pp. 59-71. ISSN 1078-1196

Lins, Karl V., Servaes, Henri and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2017) Social capital, trust, and firm performance: the value of corporate social responsibility during the financial crisis. Journal of Finance, 72 (4). 1785 - 1824. ISSN 0022-1082

Linton, Oliver (2004) Estimation of linear regression models by a spread-tolerant estimator. Financial Markets Group Discussion Papers (512). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Linton, Oliver (2009) Semiparametric and nonparametric ARCH modeling. In: Andersen, Torben G., Davis, Richard A., Kreiß, Jems-Peter and Mikosch, Thomas, (eds.) Handbook of Financial Time Series. Springer Berlin / Heidelberg, Berlin, Germany, pp. 157-167. ISBN 9783540712961

Linton, Oliver (2008) A nonparametric threshold model with application to zero returns. Statistics and Its Interface, 1 (2). pp. 321-326. ISSN 1938-7997

Linton, Oliver, Hodgson, Douglas J. and Vorkink, Keith (2001) Testing the capital asset pricing model efficiently under elliptical symmetry: a semiparametric approach. Financial Markets Group Discussion Papers (382). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Linton, Oliver, Maasoumi, Esfandiar and Whang, Yoon-Jae (2003) Consistent testing for stochastic dominance: a subsampling approach. Financial Markets Group Discussion Papers (508). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Linton, Oliver, Maasoumi, Esfandiar and Whang, Yoon-Jae (2002) Consistent testing for stochastic dominance: a subsampling approach. Financial Markets Group Discussion Papers (407). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Linton, Oliver and Mammen, Enno (2004) Estimating semiparametric ARCH (∞) models by kernel smoothing methods. Financial Markets Group Discussion Papers (511). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Linton, Oliver, Mammen, Enno, Nielsen, J. and Taanggard, C. (2004) Yield curve estimation by kernel smoothing. Financial Markets Group Discussion Papers (515). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Linton, Oliver, O'Hara, Maureen and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2012) Economic impact assessments on MiFID II policy measures related to computer trading in financial markets. Future of computer trading: working paper. Foresight, Government Office for Science, London, UK.

Linton, Oliver B. and Yan, Yang (2011) Semi- and nonparametric ARCH processes. Journal of Probability and Statistics, 2011. pp. 1-17. ISSN 1687-952X

Lippi, M, Reichlin, L, Blanchard, O. and Quah, Danny (1993) The dynamic effects of aggregate demand and supply disturbances: reply. American Economic Review, 83 (3). p. 644. ISSN 0002-8282

Littera, Giuseppe, Sartori, Laura, Dini, Paolo and Antoniadis, Panayotis (2017) From an idea of a scalable working model: merging economic benefits with social values in Sardex. International Journal of Community Currency Research, 21 (Winter). pp. 6-21. ISSN 1325-9547

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

Liu, Hongqi, Peng, Cameron, Wei, Xiong and Wei, Xiong (2022) Taming the bias zoo. Journal of Financial Economics, 143 (2). 716 - 741. ISSN 0304-405X

Liu, Hongqi, Peng, Cameron, Xiong, Wei A. and Xiong, Wei (2020) Resolving the excessive trading puzzle: an integrated approach based on surveys and transactions. Financial Markets Group Discussion Papers (815). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Liu, Rebecca (2017) Book Review: The Financial Imaginary: Economic Mystification and the Limits of Realist Fiction by Alison Shonkwiler. LSE Review of Books (11 Jul 2017). Website.

Liu, Yaxuan, Hao, Yu and Lu, Zhi Nan (2022) Health shock, medical insurance and financial asset allocation: evidence from CHFS in China. Health Economics Review, 12 (1). ISSN 2191-1991

Liu, Zheng and Pappa, Evi (2005) Gains from coordination in a multi-sector open economy : does it pay to be different? . European Central Bank, Germany.

Livan, Giacomo, Caccioli, Fabio and Aste, Tomaso (2017) Excess reciprocity distorts reputation in online social networks. Scientific Reports, 7 (1). ISSN 2045-2322

Livdan, Dmitry and Nezlobin, Alexander (2021) Investment, capital stock, and replacement cost of assets when economic depreciation is non-geometric. Journal of Financial Economics, 142 (3). 1444 - 1469. ISSN 0304-405X

Livieri, Giulia, Lillo, Fabrizio, Marmi, Stefano, Solomko, Anton and Vaienti, Sandro (2023) Unimodal maps perturbed by heteroscedastic noise: an application to a financial systems. Journal of Statistical Physics, 190 (10). ISSN 0022-4715

Livingstone, Sonia ORCID: 0000-0002-3248-9862 and Lunt, Peter (1993) Savers and borrowers: strategies of personal financial management. Human Relations, 46 (8). pp. 963-985. ISSN 0018-7267

Livingstone, Sonia ORCID: 0000-0002-3248-9862 and Lunt, Peter K. (1992) Predicting personal debt and debt repayment: psychological, social and economic determinants. Journal of Economic Psychology, 13 (1). pp. 111-134. ISSN 0167-4870

Livne, Gilad, Simpson, Ana and Talmor, Eli (2011) Do customer acquisition cost, retention and usage matter to firm performance and valuation? Journal of Business, Finance and Accounting, 38 (3-4). pp. 334-363. ISSN 0306-686X

Lleo, Sebastien, Zhitlukhin, Mikhail and Ziemba, William (2021) Using a mean changing stochastic processes exit-entry model for stock market long-short prediction. Systemic Risk Centre Discussion Papers (109). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Lleo, Sebastien and Ziemba, Bill (2014) Some historical perspectives on the Bond-Stock Earnings Yield Model for crash prediction around the world. Systemic Risk Centre Discussion Papers (21). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Lleo, Sebastien and Ziemba, Bill (2015) The Swiss black swan bad scenario: is Switzerland another casualty of the Eurozone crisis. Special Papers (No 8). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Lleo, Sebastien and Ziemba, William (2017) A tale of two indexes: predicting equity market downturns in China. Systemic Risk Centre Discussion Papers (72). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Lleo, Sebastien and Ziemba, William (2018) A tale of two indexes: predicting equity market downturns in China. Systemic Risk Centre Discussion Papers (82). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Lleo, Sebastien and Ziemba, William T. (2014) Does the bond-stock earning yield differential model predict equity market corrections better than high P/E models? Systemic Risk Centre Discussion Papers (18). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Lodge, Martin ORCID: 0000-0002-4273-6118 and Wegrich, Kai (2011) Arguing about financial regulation: comparing national discourses on the global financial crisis. PS - Political Science and Politics, 44 (04). pp. 726-730. ISSN 1049-0965

Logan, Sarah (2016) Local revenue reform with the Kampala Capital City Authority. International Growth Centre Blog (07 Feb 2016). Website.

Lokdam, Hjalte ORCID: 0000-0002-5330-9701 (2020) We serve the people of Europe: reimagining the ECB's political master in the wake of its emergency politics. Journal of Common Market Studies, 58 (4). 978 - 998. ISSN 0021-9886

Lokdam, Hjalte ORCID: 0000-0002-5330-9701 (2021) The ideological shade of the constitutional order: public law and political economy in the Eurozone. iCourts Working Paper Series (231). iCourts - The Danish National Research Foundation’s Centre of Excellence for International Courts, Copenhagen, DK.

Lokdam, Hjalte ORCID: 0000-0002-5330-9701 (2021) The ideological shade of the constitutional order: public law and political economy in the Eurozone. IMAGINE Working Paper (14). IMAGINE, Copenhagen, DK.

Lokka, A. ORCID: 0000-0003-0263-267X and Xu, Junwei (2020) Optimal liquidation trajectories for the Almgren-Chriss model. International Journal of Theoretical and Applied Finance, 23 (7). ISSN 0219-0249

Lokka, A. ORCID: 0000-0003-0263-267X and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2008) Optimal dividend and issuance of equity policies in the presence of proportional costs. Insurance: Mathematics and Economics, 42 (3). pp. 954-961. ISSN 0167-6687

Lokka, Arne ORCID: 0000-0003-0263-267X (2014) Optimal liquidation in a limit order book for a risk-averse investor. Mathematical Finance, 24 (4). pp. 696-727. ISSN 0960-1627

Lokka, Arne ORCID: 0000-0003-0263-267X and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2013) Long-term optimal investment strategies in the presence of adjustment costs. SIAM Journal on Control and Optimization, 51 (2). pp. 996-1034. ISSN 0363-0129

Lombard, Daniel, Wittenberg, Raphael ORCID: 0000-0003-3096-2721, Ettelt, Stefanie, Damant, Jacqueline, Mays, Nicholas, Williams, Lorraine and Perkins, Margaret (2019) Evaluating direct payments in residential care: the perspective of care home providers. International Journal of Care and Caring, 3 (3). 393 - 411. ISSN 2397-8821

Lonare, Gunratan, Patil, Bharat and Raut, Nilesh (2021) edgar: an R package for the U.S. SEC EDGAR retrieval and parsing of corporate filings. SoftwareX, 16. ISSN 2352-7110

Lopes, Paula (2003) Are annuities value for money?: who can afford them? Discussion paper: UBS Pensions Series 019 (473). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lopes, Paula (2008) Credit card debt and default over the life cycle. Journal of Money, Credit and Banking, 40 (4). pp. 769-790. ISSN 0022-2879

Lopes, Paula (2003) Credit card debt and default over the life-cycle. Financial Markets Group Discussion Papers (470). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lopes, Paula and Michaelides, Alexander (2005) Rare events and annuity market participation. Financial Markets Group Discussion Papers (553). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lopes, Rui (2014) ‘A Strategy for Southern Europe’: Lisbon Launch. International Affairs at LSE (22 Jan 2014). Website.

Lordan, Grace (2021) Large UK banks, insurance firms pay women far less than men. Turkish Radio and Television Corporation, Istanbul, Turkey.

Lordan, Grace (2020) Perspective from Grace Lordan. In: Accelerating change together: Part 1: changing the narrative. Women in Banking and Finance, London, UK, pp. 13-19.

Lordan, Grace (2021) The good finance framework. . Women in Banking and Finance, London, UK.

Lordan, Grace (2021) The good finance framework. Women in Banking and Finance, London, UK.

Loss, Frederic (2002) Optimal hedging strategies and interactions between firms. Financial Markets Group Discussion Papers (399). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Loss, Frederic and Renucci, Antoine (2002) The fallacy of new business creation as a disciplining device for managers. Financial Markets Group Discussion Papers (398). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lotz, Christopher (1998) Locally minimizing the credit risk. Financial Markets Group Discussion Papers (281). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338 (2009) Attracting investor attention through advertising. Financial Markets Group Discussion Papers (644). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338 (2014) Attracting investor attention through advertising. Review of Financial Studies, 27 (6). 1797 - 1829. ISSN 0893-9454

Lou, Dong ORCID: 0000-0002-5623-4338 (2013) Attracting investor attention through advertising. . London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338 (2016) When firms increase advertising spending, their stock prices climb in tandem. LSE Business Review (25 Jan 2016). Website.

Lou, Dong ORCID: 0000-0002-5623-4338 (2009) A flow-based explanation for return predictability. Financial Markets Group Discussion Papers (643). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338 (2012) A flow-based explanation for return predictability. Review of Financial Studies, 25 (12). pp. 3457-3489. ISSN 0893-9454

Lou, Dong ORCID: 0000-0002-5623-4338 and Polk, Christopher (2022) Comomentum: inferring arbitrage activity from return correlations. Review of Financial Studies, 35 (7). 3272 - 3302. ISSN 0893-9454

Lou, Dong ORCID: 0000-0002-5623-4338 and Polk, Christopher (2013) Comomentum: inferring arbitrage activity from return correlations. Financial Markets Group Discussion Papers (721). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338, Polk, Christopher and Huang, Shiyang (2014) The booms and busts of beta arbitrage. Financial Markets Group Discussion Papers (743). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338, Polk, Christopher and Skouras, Spyros (2019) A tug of war: overnight versus intraday expected returns. Journal of Financial Economics, 134 (1). pp. 192-213. ISSN 0304-405X

Lou, Dong ORCID: 0000-0002-5623-4338, Polk, Christopher and Skouras, Spyros (2015) A tug of war: overnight versus intraday expected returns. Financial Markets Group Discussion Papers (744). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338, Yan, Hongjun and Zhang, Jinfan (2011) Anticipated and repeated shocks in liquid markets. Financial Markets Group Discussion Papers (684). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Dong ORCID: 0000-0002-5623-4338, Yan, Hongjun and Zhang, Jinfan (2013) Anticipated and repeated shocks in liquid markets. Review of Financial Studies, 26 (8). pp. 1891-1912. ISSN 0893-9454

Lou, Youcheng and Rahi, Rohit ORCID: 0000-0001-6887-9160 (2021) Information, market power and welfare. Financial Markets Group Discussion Papers (842). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lou, Youcheng and Rahi, Rohit ORCID: 0000-0001-6887-9160 (2023) Information, market power and welfare. Journal of Economic Theory, 214. ISSN 1095-7235

Lourenço, João Carlos, Morton, Alec and Bana e Costa, Carlos A. (2012) PROBE—A multicriteria decision support system for portfolio robustness evaluation. Decision Support Systems, 54 (1). pp. 534-550. ISSN 0167-9236

Louri, Helen and Migiakis, Petros (2019) Financing economic activity in Greece: past challenges and future prospects. GreeSE Papers (135). London School of Economics and Political Science, London, UK.

Louri-Dendrinou, Eleni (2014) How likely is a credit-less recovery in the euro area? The role of a capital markets union. LSE Greece@LSE (10 Dec 2014). Website.

Love, Ryan and Payne, Richard (2003) Macroeconomic news, order flows and exchange rates. Financial Markets Group Discussion Papers (475). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ludlow, N. Piers (2016) Roy Jenkins and the importance of top-level politics. In: Dyson, Kenneth and Maes, Ivo, (eds.) Architects of the Euro: Intellectuals in the Making of European Monetary Union. Oxford University Press, Oxford, UK, pp. 117-137. ISBN 9780198735915

Ludlow, N. Piers (2020) A double-edged victory: Fontainebleau and the resolution of the British budget problem, 1983-84. In: Gehler, Michael and Loth, Wilfried, (eds.) Reshaping Europe: towards a political, economic, and monetary union, 1984–1989. Publications of the European Union Committee of Historians. Nomos Verlagsgesellschaft, Baden-Baden, Germany, pp. 45-72. ISBN 9783848766741

Lumineau, Fabrice, Wang, Wenqian and Schilke, Oliver (2021) Blockchains can change the way we collaborate. LSE Business Review (14 Jan 2021). Blog Entry.

Lumsdaine, Robin (2016) Ahead of decisions from the Federal Reserve, financial markets are more forward-looking than we thought. USApp– American Politics and Policy Blog (13 Jun 2016). Website.

Lunde, Asger, Timmermann, Allan and Blake, David (1998) The hazards of mutual fund performance: a Cox regression analysis. Financial Markets Group Discussion Papers (302). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Lunde, Jens, Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Whitehead, Christine M E (2012) Post crisis housing markets: a comparative review. In: ENHR 2012: Housing: local welfare and local markets in a globalised world, 2012-06-24 - 2012-06-27, Lillehammer, Norway.

Lunt, Peter and Livingstone, Sonia ORCID: 0000-0002-3248-9862 (1991) Psychological, social and economic determinants of saving: comparing recurrent and total savings. Journal of Economic Psychology, 12 (4). pp. 621-641. ISSN 0167-4870

Lunt, Peter K. and Livingstone, Sonia ORCID: 0000-0002-3248-9862 (2011) Everyday explanations for personal debt: a network approach. British Journal of Social Psychology, 30 (4). pp. 309-323. ISSN 0144-6665

Lyberaki, Antigone (2016) The Greek crisis is a crisis of production, not of public finance. LSE Greece@LSE (16 Sep 2016). Website.

Lyons, Richard K., Chatman, Jennifer A. and Joyce, Caneel K. (2007) Innovation in services: corporate culture and investment banking. California Management Review, 50 (1). pp. 174-191. ISSN 0008-1256

Löhlein, Lukas (2016) Should auditors be reviewed by peers or should the state do it? LSE Business Review (16 Aug 2016). Website.

M

Ma, Debin ORCID: 0000-0002-9604-8724 (2013) Chinese money and monetary system, 1800–2000. In: Caprio, Gerard, (ed.) Handbook of Key Global Financial Markets, Institutions, and Infrastructure. Elsevier, London, pp. 57-64. ISBN 9780123978738

Ma, Debin ORCID: 0000-0002-9604-8724 (2019) Financial revolution in republican China during 1900–37: a survey and a new interpretation. Australian Economic History Review, 59 (3). pp. 242-262. ISSN 0004-8992

MacKenzie, Donald, Beunza, Daniel and Hardie, Iain (2007) Die Materiale Soziologie der Arbitrage. In: Beckert, Jens, Diaz-Bone, Rainer and Ganßmann, Heiner, (eds.) Märkte Als Soziale Strukturen (Theorie und Gesellschaft). Campus Verlag, Frankfurt, Germany, pp. 135-150. ISBN 9783593384719

MacKenzie, Donald, Beunza, Daniel and Hardie, Iain (2008) The material sociology of arbitrage. In: MacKenzie, Donald, (ed.) Material Markets: How Economic Agents Are Constructed. Clarendon Lectures in Management Studies. Oxford University Press, Oxford, UK, pp. 85-108. ISBN 9780199278152

MacKenzie, Donald, Beunza, Daniel, Millo, Yuval and Pardo-Guerra, Juan Pablo (2012) Drilling through the Allegheny mountains: liquidity, materiality and high-frequency trading. Journal of Cultural Economy, 5 (3). pp. 279-296. ISSN 1753-0350

MacKenzie, Donald and Millo, Yuval (2003) Constructing a market, performing theory: the historical sociology of a financial derivatives exchange. American Journal of Sociology, 109 (1). pp. 107-145. ISSN 0002-9602

MacKenzie, Ian A., Ohndorf, Markus and Palmer, Charles ORCID: 0000-0002-1252-179X (2012) Enforcement-proof contracts with moral hazard in precaution: ensuring 'permanence' in carbon sequestration. Oxford Economic Papers, 64 (2). 350 - 374. ISSN 0030-7653

Macaulay, Bobby (2012) “How can these women pay back their loans when they lie on their mats all day?”. Engenderings (16 Jan 2012). Website.

Macchiarelli, Corrado (2014) Bond market co-movements, expected inflation and the GBP-USD equilibrium real exchange rate. Quarterly Review of Economics and Finance, 54 (2). pp. 242-256. ISSN 1062-9769

Macchiarelli, Corrado (2022) The Ukraine war intensifies the dilemma facing monetary policymakers by simultaneously harming growth and exacerbating already high inflation. British Politics and Policy at LSE (28 Mar 2022). Blog Entry.

Macchiarelli, Corrado and Monti, Mara (2018) Brexit threatens the City's future in European payment systems. LSE Brexit (27 Feb 2018). Website.

Macchiavello, Rocco (2011) Financial development and vertical integration: theory and evidence. Journal of the European Economic Association, 10 (2). pp. 255-289. ISSN 1542-4766

Macchiavello, Rocco (2010) Vertical integration and investor protection in developing countries. Journal of Development Economics, 93 (2). pp. 162-172. ISSN 0304-3878

Macdonald, Stuart and Martinez, Luis (2005) Supporting local data users in the UK academic community. Ariadne, 44 (July 2). ISSN 1361-3197

Macher, Flora (2019) The Austrian banking crisis of 1931: a reassessment. Financial History Review, 25 (3). pp. 297-321. ISSN 0968-5650

Macve, Richard (2020) Perspectives from mainland China, Hong Kong and the UK on the development of China’s auditing firms: implications and a research agenda. Accounting and Business Research, 50 (7). 641 - 692. ISSN 0001-4788

Madan, R., Sorensen, Carsten and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2003) 'Strategy died for us around April last year': CIO perceptions of strategy formation process in financial services. In: European conference on information systems 2003, 2003-06-19 - 2003-06-21, Naples, Italy.

Maher, Stephen and Aquanno, Scott (2021) The new finance capital has blurred the line between industrial and financial corporations. LSE Business Review (30 Mar 2021). Blog Entry.

Maiga, Ibrahim (2015) The impact of scale-ups on the Graduate job market. LSE Entrepreneurship Blog (10 Feb 2015). Website.

Maillet, Bertrand and Michel, Thierry (2002) How deep was the September 2001 stock market crisis?: putting recent events on the American and French markets into perspective with an index of market shocks. Financial Markets Group Discussion Papers (417). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Maitra, Pushkar, Mitra, Sandip, Mookherjee, Dilip, Motta, Alberto and Visaria, Sujata (2014) A new approach to microfinance. International Growth Centre Blog (15 Dec 2014). Website.

Makarov, Igor (2020) Outsized arbitrage. Financial Markets Group Discussion Papers (820). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Makarov, Igor and Papanikolaou, D. (2008) Sources of systematic risk. Working paper series. Social Science Electronic Publishing.

Makarov, Igor and Plantin, G. (2013) Deliberate limits to arbitrage. Journal of Finance. ISSN 0022-1082 (Submitted)

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

Makarov, Igor and Plantin, Guillaume (2015) Rewarding trading skills without inducing gambling. The Journal of Finance, 70 (3). pp. 925-962. ISSN 0022-1082

Makarov, Igor and Rytchkov, Oleg (2012) Forecasting the forecasts of others: implications for asset pricing. Journal of Economic Theory, 147 (3). pp. 941-966. ISSN 1095-7235

Makarov, Igor and Schoar, Antoinette (2021) Blockchain analysis of the Bitcoin market. Financial Markets Group Discussion Papers (844). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Makarov, Igor and Schoar, Antoinette (2019) Price discovery in cryptocurrency markets. AEA Papers and Proceedings, 109. pp. 97-99. ISSN 2574-0768

Makarov, Igor and Schoar, Antoinette (2018) Trading and Arbitrage in Cryptocurrency Markets. Financial Markets Group Discussion Papers (782). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Makarov, Igor and Schoar, Antoinette (2020) Trading and arbitrage in cryptocurrency markets. Journal of Financial Economics, 135 (2). 293 - 319. ISSN 0304-405X

Malkhozov, Aytek, Mueller, Philippe, Vedolin, Andrea and Venter, Gyuri (2013) Mortgage hedging in fixed income markets. Financial Markets Group Discussion Papers (722). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Malkhozov, Aytek, Mueller, Philippe, Vedolin, Andrea and Venter, Gyuri (2016) Mortgage risk and the yield curve. Review of Financial Studies, 29 (5). 1220 - 1253. ISSN 0893-9454

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

Malovic, Marko (2007) Exchange rate regimes and monetary policies in emerging markets: a showdown for few theoretical misconceptions. Discussion papers (DP42). Centre for the Study of Global Governance, London School of Economics and Political Science, London, UK.

Manaresi, Francesco, Palma, Alessandro, Salvatici, Luca and Scrutinio, Vincenzo (2022) Managerial input and firm performance. Evidence from a policy experiment. CEP Discussion Papers (1871). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Mandeng, Ousmene (2021) CBDC: changing the geography of central bank money. LSE Business Review (17 May 2021). Blog Entry.

Mandeng, Ousmene (2022) Financial exit: time for a new Bretton Woods conference amid the Ukraine war? LSE Business Review (29 Mar 2022). Blog Entry.

Mandeng, Ousmene (2021) The IMF has the firepower, but it’s going unused. LSE COVID-19 Blog (04 May 2021). Blog Entry.

Manek, Nizar (2010) Investigative financial journalism: seminar report. POLIS: journalism and society at the LSE (15 Feb 2010). Website.

Mangen, Claudine (2017) Economic shocks affect how a CEO is evaluated. LSE Business Review (21 Jun 2017). Website.

Manger, Mark S. (2008) International investment agreements and services markets: locking in market failure? World Development, 36 (11). pp. 2456-2469. ISSN 0305-750X

Mann, Catherine L. and Meade, Ellen E. (2002) Home bias, transactions costs, and prospects for the Euro: a more detailed analysis. CEPDP (537). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753015552

Manning, Alan ORCID: 0000-0002-7884-3580 (1996) Pay impact exaggerated. Financial Times. ISSN 0307-1766

Manning, Alan ORCID: 0000-0002-7884-3580 (2016) The elusive employment effect of the minimum wage. CEP Discussion Paper (1428). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Mansoor, Ali and Issoufou, Salifou (2016) Senegal: Peer-learning to support reforms to become an emerging market economy. Africa at LSE (07 Mar 2016). Website.

Mantzikos, Ioannis (2012) #US Presidential Elections – An Odd Couple: #RonPaul and #Africa. Africa at LSE (15 Feb 2012). Website.

Marchesi, Silvia and Sabani, Laura (2005) IMF concern for reputation and conditional lending failure: theory and empirics. Financial Markets Group Discussion Papers (535). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Marcovici, Philip (2016) Can current offshore wealth management centres survive? LSE Business Review (06 Dec 2016). Website.

Marcovici, Philip (2016) Wealth managers shouldn’t avoid markets with complex regulations. LSE Business Review (14 Dec 2016). Website.

Marczak, Joanna ORCID: 0000-0002-6955-1180, Fernández, José-Luis ORCID: 0000-0002-4190-7341 and Wittenberg, Raphael ORCID: 0000-0003-3096-2721 (2017) Quality and cost-effectivness in long-term care and dependency prevention: the English policy landscape. CEQUA report. London School of Economics and Political Science, London, UK.

Marelli, Enrico and Signorelli, Marcello (2016) Closer fiscal integration is unavoidable if the Eurozone is to survive. LSE European Politics and Policy (EUROPP) Blog (29 Feb 2016). Website.

Marengo, Umberto (2016) Avoiding a Brexit will be crucial for the success of Europe’s Capital Markets Union. LSE European Politics and Policy (EUROPP) Blog (11 Mar 2016). Website.

Marfo, Kwame (2014) Has the Ghana economic bubble finally burst? Africa at LSE (19 Nov 2014). Website.

Mariano, Beatriz and Tribó Giné, Josep A. (2015) Creditor intervention, investment, and growth opportunities. Journal of Financial Services Research, 47 (2). pp. 203-228. ISSN 0920-8550

Marinkovic, Srdjan T. (2005) Designing an incentive-compatible safety net in a financial system in transition: the case of Serbia. Discussion papers (South East Europe series) (DP35). Centre for the Study of Global Governance, London School of Economics and Political Science, London, UK.

Marmor, Theodore (2012) There will be ghastly consequences for the United States and the wider world if Congress and the President do not come to an agreement about deficit reduction. British Politics and Policy at LSE (19 Nov 2012). Website.

Martelin, Nicolas and Ness, Jamie (2020) Coronavirus and the stock market: science cannot predict the outcome, but does it matter? LSE Business Review (23 Apr 2020). Blog Entry.

Martelli, Angelo, Campos, Nauro F., Ganslmeier, Michael, Ji, Yuemei and Saka, Orkun (2020) On the complementarity between labour market regulation and tax reforms in the European Union. In: Campos, Nauro F., De Grauwe, Paul and Ji, Yuemei, (eds.) Economic Growth and Structural Reforms in Europe. Cambridge University Press, Cambridge, UK, 280 - 314. ISBN 9781108479110

Martin, Antoine, Skeie, David and Thadden, Ernst-Ludwig (2011) Repo runs. Financial Markets Group Discussion Papers (687). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Martin, Graeme and Gollan, Paul J. (2012) Corporate governance and strategic human resources management in the UK financial services sector: the case of the RBS. International Journal of Human Resource Management, 23 (16). pp. 3295-3314. ISSN 0958-5192

Martin, I. W. R. (2013) Consumption-based asset pricing with higher cumulants. Review of Economic Studies, 80 (2). pp. 745-773. ISSN 0034-6527

Martin, Ian (2013) The Lucas orchard. Econometrica, 81 (1). pp. 55-111. ISSN 0012-9682

Martin, Ian (2021) On the autocorrelation of the stock market. Journal of Financial Econometrics, 19 (1). 39 - 52. ISSN 1479-8417

Martin, Ian (2012) On the valuation of long-dated assets. Journal of Political Economy, 120 (2). pp. 346-358. ISSN 0022-3808

Martin, Ian (2018) Options and the Gamma Knife. Journal of Derivatives, 25 (4). pp. 71-79. ISSN 1074-1240

Martin, Ian (2018) Options and the Gamma Knife. Journal of Portfolio Management, 44 (6). pp. 47-55. ISSN 0095-4918

Martin, Ian (2017) What is the expected return on the market? Quarterly Journal of Economics, 132 (1). 367 - 433. ISSN 0033-5533

Martin, Ian (2016) What is the expected return on the market? Financial Markets Group Discussion Papers (750). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Martin, Ian and Papadimitriou, Dimitris (2019) Sentiment and speculation in a market with heterogeneous beliefs. Financial Markets Group Discussion Papers (785). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Martin, Ian and Ross, Steve (2019) Notes on the yield curve. Journal of Financial Economics, 134 (3). 689 - 702. ISSN 0304-405X

Martin, Ian and Wagner, Christian (2019) What is the expected return on a stock? Journal of Finance, 74 (4). pp. 1887-1929. ISSN 0022-1082

Martin, Ian and Wagner, Christian (2016) What is the expected return on a stock? Financial Markets Group Discussion Papers (760). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Martin, Ian W.R. and Nagel, Stefan (2022) Market efficiency in the age of big data. Journal of Financial Economics, 145 (1). 154 - 177. ISSN 0304-405X

Martin, Marina B.V. (2013) Between informality and formality: Hundi/Hawala in India. South Asia @ LSE (16 Jan 2013). Website.

Martin, Marina B.V. (2009) Hundi/hawala: the problem of definition. Modern Asian Studies, 43 (04). pp. 909-937. ISSN 0026-749X

Martin, Philippe and Rey, Helene (2000) Financial integration and asset returns. CEPDP (451). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753013665

Martin, Reiner, Nagy-Mohacsi, Piroska, Ribakova, Elina and Fortun Vargas, Jonathan M (2022) The non-performing loan ‘tsunami’ that never happened (and how to stop it happening now). LSE COVID-19 Blog (07 Jan 2022). Blog Entry.

Martinez i Coma, Ferran (2016) Money is key for democratic politics but its abuse is often clearly perceived as a problem by citizens. Democratic Audit UK (30 Mar 2016). Website.

Martínez Ruiz, Elena (2003) Autarkic policy and efficiency in the Spanish industrial sector. An estimate of domestic resource cost in 1958. Economic History Working Papers (77/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Marín, José and Rahi, Rohit ORCID: 0000-0001-6887-9160 (1997) Speculative securities. Financial Markets Group Discussion Papers (268). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Masciandaro, Donato, Goodhart, Charles and Ugolini, Stefano (2022) Pandemic recession and helicopter money: Venice, 1629-1631. Financial History Review, 28 (3). 300 - 318. ISSN 0968-5650

Maskin, Eric and Xu, Cheng-Gang (2001) Soft budget constraint theories: from centralization to the market. . Centre for Economic Policy Research (Great Britain), London, UK.

Mason, Michael ORCID: 0000-0002-8831-0593 (2002) Transnational compensation for oil pollution damage: examining changing spatialities of environmental liability. LSE research papers in environmental and spatial analysis (no. 69). Department of Geography and Environment, London School of Economics and Political Science, London, UK. ISBN 0753015706

Massa, Massimo, Vermaelen, Theo and Xu, Moqi (2013) Rights offerings, trading, and regulation: a global perspective. Financial Markets Group Discussion Papers (727). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Massa, Massimo and Xu, Moqi (2011) The value of (stock) liquidity in the M&A market. . The China Centre for Financial Research, Tsinghua University, Beijing, China.

Massa, Massimo and Xu, Moqi (2013) The value of (stock) liquidity in the M&A market. Journal of Financial and Quantitative Analysis, 48 (5). pp. 1463-1497. ISSN 0022-1090

Matoussi, Anis and Xing, Hao (2018) Convex duality for Epstein-Zin stochastic differential utility. Mathematical Finance, 28 (4). pp. 991-1019. ISSN 0960-1627

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2018) Book Review: Beggar thy neighbor: a history of usury and debt by Charles G. Geisst (2013). European History Quarterly, 48 (2). pp. 346-347. ISSN 0265-6914

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2018) Book review: Richard Sylla and David J. Cowen, Alexander Hamilton on finance, credit, and debt. Economic History Review, 71 (4). pp. 1433-1435. ISSN 0013-0117

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2016) Commission trading allowed Italian merchant banks to flourish in the 16th century. LSE Business Review (01 Sep 2016). Website.

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2016) Italian enterprise, the Lyons market and Europe in the 16th century. Jahrbuch für Geschichte und Kultur Westeuropas.

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2016) La banque en renaissance: les salviati et la place de Lyon au milieu du XVIe siècle. Presses Universitaires de Rennes, Rennes, France. ISBN 9782753549562

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2016) La légende noire des finances espagnoles à l’épreuve de l’économétrie. Revue d'Histoire Moderne et Contemporaine, 63 (1). pp. 30-46. ISSN 0048-8003

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2016) Social capital versus commercial profits: the impact of networks on decision-making in early modern banks. In: Schönhärl, Korinna, (ed.) Decision Making, Confidence and Risk Management in Banks from Early Modernity to the 20th Century. Palgrave studies in the history of finance. Palgrave Macmillan, London, UK. ISBN 9783319420752

Matringe, Nadia ORCID: 0000-0001-5508-8810 (2023) The meandering trajectories of financial innovations: commercial paper and its uses in sixteenth-century Lyon's trading networks. Financial History Review, 30 (2). 198 - 230. ISSN 0968-5650

Matta, Rafael and Perotti, Enrico (2015) Insecure debt. Systemic Risk Centre Discussion Papers (41). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Maugeri, Novella (2018) Women's financial inclusion: 5 reasons why it matters for Mozambique. Africa at LSE (12 Mar 2018). Website.

Maugeri, Novella and Oppewal, Jorrit (2016) Quer se tornar um empreendedor em Moçambique? 3 coisas que você precisa saber! International Growth Centre Blog (21 Jun 2016). Website.

Maugeri, Novella and Oppewal, Jorrit (2016) Want to become an entrepreneur in Mozambique? 3 things you need to know! International Growth Centre Blog (09 May 2016). Website.

Maynard, Trevor and Ranger, Nicola (2012) What role for “long-term insurance” in adaptation? An analysis of the prospects for and pricing of multi-year insurance contracts. Geneva Papers on Risk and Insurance: Issues and Practice, 37 (2). pp. 318-339. ISSN 1018-5895

Mayne, Tom, Prelec, Tena and Owen, Catherine (2022) The problem of tracing dirty money from Russia: how ‘illegal’ are ‘illicit’ flows? LSE European Politics and Policy (EUROPP) blog (25 Feb 2022). Blog Entry.

McAuley, Colette, Knapp, Martin ORCID: 0000-0003-1427-0215, Beecham, Jennifer, McCurry, Nyree and Sleed, Michelle (2004) Young families under stress: outcomes and costs of home-start support. Joseph Rowntree Foundation, York, UK. ISBN 9781859352175

McCormick, Roger (2013) Access to information as a driver for compliance. Conduct Costs Blog (19 Nov 2013). Website.

McCormick, Roger (2013) Bank sustainability reports: disclosure of conduct costs and related matters. Conduct Costs Blog (23 Oct 2013). Website.

McCormick, Roger (2013) Book review: Governance of international banking: the financial trilemma. LSE Review of Books (11 Sep 2013). Website.

McCormick, Roger (2014) Book review: Market-based banking and the international financial crisis, edited by Iain Hardie and David Howarth. LSE Review of Books (19 Jan 2014). Website.

McCormick, Roger (2013) Book review: Reforming the governance of the financialsector. LSE Review of Books (17 Apr 2013). Website.

McCormick, Roger (2013) KYB (know your bank) day. Conduct Costs Blog (28 Nov 2013). Website.

McCormick, Roger (2013) What makes a bank a "sustainable bank"? Conduct Costs Blog (11 Oct 2013). Website.

McDaid, David ORCID: 0000-0003-0744-2664 and Park, A-La ORCID: 0000-0002-4704-4874 (2021) Ageing with disability: using financial mechanisms to facilitate intersectoral collaboration. In: Putnam, Michelle and Bigby, Christine, (eds.) Handbook on ageing with disability. Routledge Handbooks. Routledge, Milton Park, UK, pp. 384-391. ISBN 9781138611498

McGaughey, Ewan (2018) Pension strike: university staff are getting a 'die quickly' pension plan. It won't work. British Politics and Policy at LSE (06 Mar 2018). Website.

McGuire, Alistair and Hughes, D (2003) Stochastic demand, production responses and hospital costs. Journal of Health Economics, 22 (6). pp. 999-1010. ISSN 0167-6296

McKay, Alisdair and Reis, Ricardo (2016) The role of automatic stabilizers in the U.S. business cycle. Econometrica, 84 (1). 141 - 194. ISSN 0012-9682

McKay, Andy, Ogunkola, Olawale and Semboja, Haji Hatibu (2023) Rethinking regional integration in Africa for inclusive and sustainable development: introduction to the special issue. World Economy, 46 (2). pp. 304-311. ISSN 0378-5920

McKenzie, Lisa (2014) The revolution: is being televised, blogged, tweeted, You-Tubed and stood up. Researching Sociology (11 Nov 2014). Website.

McKinnon, R. (1991) Financial control in the transition to a market economy. CEP discussion paper (40). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

McMeeking, K. P., Peasnell, K. V. and Pope, Peter (2006) The determinants of the UK Big Firm premium. Accounting and Business Research, 36 (3). pp. 207-231. ISSN 0001-4788

McMeeking, Kevin P., Peasnell, Ken V. and Pope, Peter (2007) The effect of large audit firm mergers on audit pricing in the UK. Accounting and Business Research, 37 (4). pp. 301-319. ISSN 0001-4788

McQuarrie, Michael (2007) Book review: constructing rationalized exchange: risk, honor, and identity in contemporary financial markets. Theory and Society, 36 (6). pp. 573-577. ISSN 0304-2421

McQuarrie, Michael and Guthrie, Doug (2007) Houses for the poor and new business for banks: the creation of a market for affordable housing. In: Quelch, John A., Rangan, V. Kashturi, Herrero, Gustavo and Barton, Brooke, (eds.) Business Solutions for the Global Poor: Creating Social and Economic Value. Jossey-Bass, Hoboken, USA, pp. 249-258. ISBN 9780787982164

Mcdonagh, Luke (2016) Only laws and political will can stop a rerun of 2008. Financial Adviser.

Meade, Ellen E. (2002) To peg or not to peg. Centrepiece, 7 (3). pp. 28-32. ISSN 1362-3761

Meade, Ellen E. and Sheets, D. Nathan (2002) Regional influences on U.S. monetary policy: some implications for Europe. CEPDP (523). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753019183

Meager, Rachael (2019) Understanding the average impact of microcredit expansions: a Bayesian hierarchical analysis of seven randomized experiments. American Economic Journal: Applied Economics, 11 (1). pp. 57-91. ISSN 1945-7782

Meeks, Geoff (2017) Understanding pension obligation figures (though your boss might not want you to). British Politics and Policy at LSE (15 Sep 2017). Website.

Meeks, Geoff and Meeks, J. Gay (2022) Interest rates rise to highest level since 2009 – are there any silver linings? British Politics and Policy at LSE (04 Aug 2022). Blog Entry.

Meeks, Geoff and Velu, Chander (2018) Ten years from the crash: time to row back on financial regulation and compliance? LSE Business Review (03 Sep 2018). Website.

Meijers, James, Dharma Putra, Guntur, Kotsialou, Grammateia, Kanhere, Salil S. and Veneris, Andreas (2021) Cost-effective blockchain-based IoT data marketplaces with a credit invariant. In: IEEE International Conference on Blockchain and Cryptocurrency, ICBC 2021. IEEE International Conference on Blockchain and Cryptocurrency, ICBC 2021. IEEE. ISBN 9781665435789

Mejía Mantilla, Carolina, Sánchez Torres, Fabio and Faguet, Jean-Paul ORCID: 0000-0002-7188-0098 (2004) The impact of political variables on budgets and social outcomes in a context of decentralization : the case of Colombia (El impacto de variables políticas sobre resultados presupuestales y sociales en un marco de descentralización : el caso de Colombia). In: Crisis States Programme Annual Conference, 2004-12-01, New Delhi, India.

Mele, Antonio (2007) Asymmetric stock market volatility and the cyclical behavior of expected returns. Journal of Financial Economics, 86 (2). pp. 446-478. ISSN 0304-405X

Mele, Antonio (1995) Continuous time conditionally heteroskedastic models: theory with applications to the term structure of interest rates. Economic Notes, 24. pp. 327-352. ISSN 0391-5026

Mele, Antonio (2004) General properties of rational stock-market fluctuations. Financial Markets Group Discussion Papers (489). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mele, Antonio (1994) Stochastic behaviour of deterministic utility functions. Rivista Internazionale di Scienze economiche e Commerciali, 41 (12). pp. 1013-1031. ISSN 0035-6751

Mele, Antonio (1994) A stochastic variance model for absolute returns. Economics Letters, 46 (3). pp. 211-214. ISSN 0165-1765

Mele, Antonio and Fornari, Fabio (1997) Asymmetries and non-linearities in economic activity. Applied Financial Economics, 7 (2). pp. 203-206. ISSN 0960-3107

Mele, Antonio and Fornari, Fabio (1996) Modeling the changing asymmetry of conditional variances. Economics Letters, 50 (2). pp. 197-203. ISSN 0165-1765

Mele, Antonio and Fornari, Fabio (2000) Stochastic volatility in financial markets : crossing the bridge to continuous time. Dynamic modeling and econometrics in economics and finance. Kluwer Academic Publishers, Boston. ISBN 0792378423

Mele, Antonio and Fornari, Fabio (1997) Weak convergence and distributional assumptions for a general class of nonliner arch models. Econometric Reviews, 16 (2). pp. 205-227. ISSN 0747-4938

Mella-Barral, Pierre (1996) The dynamics of default and debt reorganization. Financial Markets Group Discussion Papers (230). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mella-Barral, Pierre and Tychon, Pierre (1996) Default risk in asset pricing. Financial Markets Group Discussion Papers (250). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Melling, Joseph (2003) The risks of working and the risks of not working: trade unions, employers and responses to the risk of occupational illness in British industry, c.1890-1940s. CARR Discussion Papers (DP 12). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Mencia, Javier F. and Sentana, Enrique (2004) Estimation and testing of dynamic models with generalised hyperbolic innovations. Financial Markets Group Discussion Papers (502). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2018) The Asian Infrastructure Investment Bank comes knocking on Latin America’s door: is anyone home? LSE Latin America and Caribbean Blog (27 Apr 2018). Blog Entry.

Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2019) Latin America and the AIIB: interests and viewpoints. Global Policy, 10 (4). pp. 639-644. ISSN 1758-5880

Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2022) The New Development Bank and Uruguay: a win-win deal. Global Policy. ISSN 1758-5880

Mendez, Alvaro ORCID: 0000-0002-0919-5081, Forcadell, Francisco and Ubeda, Fernando (2021) Sustainable banking in the Global South: ESG innovations in China. Digital Economy and Innovation Journal, 1 (1). pp. 121-136.

Mendez, Alvaro ORCID: 0000-0002-0919-5081 and Houghton, David Patrick (2020) Sustainable banking: the role of multilateral development banks as norm entrepreneurs. Sustainability, 12 (3). ISSN 2071-1050

Meng, Qinglai and Velasco, Andres ORCID: 0000-0003-0441-5062 (2003) Indeterminacy in a small open economy with endogenous labor supply. Economic Theory, 22 (3). pp. 661-669. ISSN 0938-2259

Mennicken, Andrea ORCID: 0000-0002-5658-7678 and Power, Michael ORCID: 0000-0001-8148-3953 (2015) Accounting and the plasticity of valuation. In: Antal, Berthoin Ariane, Hutter, Michael and Stark, David, (eds.) Moments of Valuation: Exploring Sites of Dissonance. Oxford University Press, Oxford, UK, pp. 208-228. ISBN 9780198702504

Mesa Baron, Carlos (2018) Promoting long term saving in a poor household can lead to greater social mobility. In: LSE Research Festival 2018, 2018-02-19 - 2018-02-24, London School of Economics, London, United Kingdom.

Meseguer, Covadonga (2016) Remittances and walls by Covadonga Meseguer. LSE Department of International Relations (20 Sep 2016). Website.

Meseguer, Covadonga, Jaupart, Pascal and Aparicio, Javier (2017) The limits of material benefits: remittances and pro-Americanism in Mexico. Journal of Politics in Latin America, 9 (2). pp. 3-40. ISSN 1868-4890

Meyer, Henning (2008) Don't sell taxpayers short. Guardian. ISSN 1756-3224

Meyer, Henning (2008) Make state capitalism pay its way. Guardian. ISSN 1756-3224

Meyer, Henning (2011) Now we have a European growth crisis. Guardian. ISSN 1756-3224

Meyer, Henning and Spiegel, Karl-Heinz (2008) Introducing a new Cif series. Guardian. ISSN 1756-3224

Michaelides, Alexander (2001) International portfolio choice: liquidity constraints and the home equity bias puzzle. . Centre for Economic Policy Research (Great Britain), London, UK.

Michaelides, Alexander (2001) Portfolio choice, liquidity constraints and stock market mean reversion. . Centre for Economic Policy Research (Great Britain), London, UK.

Michaelides, Alexander and Gomes, Francisco J. (2005) Optimal life cycle asset allocation : understanding the empirical evidence. Journal of Finance, 60 (2). pp. 869-904. ISSN 1540-6261

Michaelides, Panayotis G., Tsionas, Efthymios G. and Konstantakis, Konstantinos N. (2018) Debt dynamics in Europe: a network general equilibrium GVAR approach. Journal of Economic Dynamics and Control, 93. pp. 175-202. ISSN 0165-1889

Michaels, Guy ORCID: 0000-0002-8796-4536 (2010) Challenges for research on resource-rich economies. Kuwait Programme on Development, Governance and Globalisation in the Gulf States (8). London School of Economics and Political Science, London, UK.

Micheler, Eva (2015) Custody chains and asset values: why crypto-securities are worth contemplating. Cambridge Law Journal, 74 (3). pp. 505-533. ISSN 0008-1973

Micheler, Eva (2013) Facilitating investor engagement and stewardship. European Business Organization Law Review, 14 (1). pp. 29-56. ISSN 1566-7529

Micheler, Eva (2014) Intermediated securities and legal certainty. Law Society and Economy Working Paper Series. London School of Economics and Political Science, London, UK.

Micheler, Eva and von der Heyde, Luke (2016) Holding, clearing and settling securities through blockchain/distributed ledger technology: creating an efficient system by empowering investors. Butterworths Journal of International Banking and Financial Law, 31 (11). 11 JIBFL 631. ISSN 0269-2694

Mikes, Anette, Hall, Matthew and Millo, Yuval (2013) How experts gain influence. Harvard Business Review, 91 (7-8). ISSN 0017-8012

Mikes, Anette and Power, Michael ORCID: 0000-0001-8148-3953 (2023) How culture displaced structural reform: problem definition, marketization, and neoliberal myths in bank regulation. Journal of Business Ethics. ISSN 0167-4544

Milas, Costas (2021) The Bank of England’s response to rising inflation. LSE Business Review (20 Oct 2021). Blog Entry.

Milas, Costas (2018) Don't dismiss the possibility of a cut in the Bank of England's policy rate. LSE Business Review (04 Aug 2018). Website.

Milas, Costas (2021) Has the Bank of England given up on inflation? LSE Business Review (14 Dec 2021). Blog Entry.

Milas, Costas (2022) Ideas on revising the Bank of England’s mandate and changing the way monetary policy is pursued in the UK. LSE Business Review (12 Aug 2022). Blog Entry.

Milas, Costas (2022) While higher interest rates are needed in order to halt inflation, sharp and rapid interest increases are far from certain. British Politics and Policy at LSE (08 Apr 2022). Blog Entry.

Milas, Costas and Panagiotidis, Theodore (2011) How (un)justified are the decisions of credit rating agencies? LSE Greece@LSE (21 Jul 2011). Website.

Milbradt, Konstantin and Oehmke, Martin (2015) Maturity rationing and collective short-termism. Journal of Financial Economics, 118 (3). 553 - 570. ISSN 0304-405X

Miles, David, Panizza, Ugo, Reis, Ricardo and Ubide, Ángel (2017) And yet it moves: inflation and the great recession. . VOX: CEPR’s Policy Portal, London, UK.

Miller, Peter (1998) The margins of accounting. European Accounting Review, 7 (4). pp. 605-621. ISSN 1468-4497

Miller, Peter (1997) The multiplying machine. Accounting, Organizations and Society, 22 (3-4). pp. 355-364. ISSN 0361-3682

Miller, Peter, Chow, D.S.L and Humphrey, C.G (2005) Financial management in the U.K public sector: historical development, current issues and controversies. In: Guthrie, James, Jones, L.R and Olson, O, (eds.) International Public Financial Management Reform : Progress, Contradictions, and Challenges. Research in public management. Information Age Publishing, Greenwich. ISBN 1593113447

Miller, Peter and O'Leary, Ted (1993) Accounting expertise and the politics of the product: economic citizenship and modes of corporate governance. Accounting, Organizations and Society, 18 (2-3). pp. 187-206. ISSN 0361-3682

Miller, Peter and O'Leary, Ted (1994) Accounting, “economic citizenship” and the spatial reordering of manufacture. Accounting, Organizations and Society, 19 (1). pp. 15-43. ISSN 0361-3682

Miller, Peter and O'Leary, Ted (2005) Managing operational flexibility in investment decisions: the case of intel. Journal of Applied Corporate Finance, 17 (2). pp. 87-93. ISSN 1078-1196

Millo, Yuval (2004) Creation of a market network: the regulatory approval of Chicago Board Options Exchange (CBOE). CARR Discussion Papers (DP 23). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 075301744 X

Millo, Yuval (2012) Dangerous connections: hedge fund managers’ over-reliance on trusted networks expose them to financial risk. British Politics and Policy at LSE (24 Feb 2012). Website.

Millo, Yuval and MacKenzie, Donald (2007) Building a boundary object: the evolution of Financial Risk Management. CARR Discussion Papers (DP 48). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 9780853281405

Millo, Yuval and MacKenzie, Donald (2009) The usefulness of inaccurate models: financial risk management "in the wild". Journal of Risk Model Validation, 3 (1). pp. 23-49. ISSN 1753-9579

Millo, Yuval, Muniesa, Fabian, Panourgias, Nikiforos S. and Scott, S.V. ORCID: 0000-0002-8775-9364 (2005) Organised detachment: clearinghouse mechanisms in financial markets. Information and Organization, 15 (3). pp. 229-246. ISSN 1471-7727

Milosavljevic, Marko (2014) Financing of the media in South East Europe. Euro Crisis in the Press (23 Dec 2014). Website.

Minas, Stephen (2017) Book review: before Babylon, beyond Bitcoin: from money that we understand to money that understands us by David Birch. USApp - American Politics and Policy Blog (22 Oct 2017). Website.

Minguez-Afonso, Gara (2006) Imperfect common knowledge in first generation models of currency crises. Financial Markets Group Discussion Papers (555). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Miroudot, Sébastien and Rigo, Davide ORCID: 0000-0003-0663-7806 (2022) Multinational production and investment provisions in preferential trade agreements. Journal of Economic Geography, 22 (6). 1275 - 1308. ISSN 1468-2702

Mirow, Thomas (2012) Twenty years after assisting former communist countries after the fall of the Berlin Wall, the European Bank for Reconstruction and Development faces new challenges in helping the emerging democracies of the Arab Spring. LSE European Politics and Policy (EUROPP) Blog (19 Mar 2012). Website.

Mirza, Cameron and Al-Ubaydil, Omar (2017) Making the best use of consultants in the GCC. Middle East Centre Blog (17 Feb 2017). Website.

Moine, Alix and Papiasse, Daphnée (2020) Evidence from France: how crowdfunding is being used to support the response to Covid-19. LSE European Politics and Policy (EUROPP) blog (24 Apr 2020). Blog Entry.

Moll, Benjamin (2014) Productivity losses from financial frictions: can self-financing undo capital misallocation? American Economic Review, 104 (10). 3186 - 3221. ISSN 0002-8282

Moll, Benjamin, Townsend, Robert M. and Zhorin, Victor (2017) Economic development, flow of funds, and the equilibrium interaction of financial frictions. Proceedings of the National Academy of Sciences of the United States of America, 114 (24). 6176 - 6184. ISSN 0027-8424

Moloney, Niamh (2024) Access to the UK financial market after the UK withdrawal from the EU: disruption, design, and diffusion. European Business Organization Law Review. ISSN 1566-7529

Moloney, Niamh (2024) Bank resolution and the European convention on human rights: a note from the UK. Journal of Banking Law and Banking, 36 (1). ISSN 0936-2800

Moloney, Niamh (2015) Banking union and the implications for financial market governance in the EU: Convergence or divergence? In: Busch, Christian and Ferrarini, Guido, (eds.) European Banking Union. Oxford University Press, Oxford, UK, pp. 524-563. ISBN 0198727305

Moloney, Niamh (2018) Brexit and financial services: (yet) another re-ordering of institutional governance for the EU financial system? Common Market Law Review, 55 (3). pp. 175-201. ISSN 0165-0750

Moloney, Niamh (2017) Brexit, the EU and its investment banker: rethinking ‘equivalence’ for the EU capital market. LSE Law, Society and Economy Working Papers (05/2017). Department of Law, London School of Economics and Political Science, London, UK.

Moloney, Niamh (2005) Building a retail investment culture through law: the 2004 markets in Financial Instruments Directive. European Business Organization Law Review, 6 (3). pp. 341-421. ISSN 1566-7529

Moloney, Niamh (2009) The Committee of European Securities Regulators and level 3 of the Lamfalussy Process. In: Tison, Michel, De Wulf, Hans, Van der Elst, Christoph and Steennot, Reinhard, (eds.) Perspectives in Company Law and Financial Regulation. International corporate law and financial market regulation. Cambridge University Press, Cambridge, UK, pp. 449-477. ISBN 9780521515702

Moloney, Niamh (2016) Conduct rules and investor protection: the evolution of the EU’s approach. In: Casper, M., Klöhn, L. and Schmies, C., (eds.) Festschrift für Johannes Köndgen. RWS Verlag, Köln, Germany. ISBN 9783814582313

Moloney, Niamh (2004) Confidence and competence: the conundrum of EC capital markets law. Journal of Corporate Law Studies, 4 (1). pp. 1-50. ISSN 1473-5970

Moloney, Niamh (2006) The EC and the hedge fund challenge: a test case for EC securities policy after the Financial Services Action Plan. Journal of Corporate Law Studies, 6 (1). pp. 1-38. ISSN 1473-5970

Moloney, Niamh (2007) EC company law. In: Vaughan, David and Robertson, Aidan, (eds.) Law of the European Union. Oxford University Press, Oxford, UK. ISBN 9781904501114

Moloney, Niamh (2021) The EU capital market: ‘carrying on’ into the future? In: Damro, Chad, Heins, Elke and Scott, Drew, (eds.) European Futures: Challenges and Crossroads for the European Union of 2050. Routledge Advances in European Politics. Routledge, Abingdon, UK, 21 - 36. ISBN 9780367444433

Moloney, Niamh (2017) EU financial governance and transparency regulation: a test for the effectiveness of post-crisis administrative governance. In: Busch, Danny and Ferrarini, Guido, (eds.) Regulation of the EU Financial Markets: MiFID II and MiFIR. Oxford University Press, Oxford, UK. ISBN 9780198767671

Moloney, Niamh (2023) EU financial market regulation a decade from the financial-crisis-era reforms: crisis, uncertainty, and capacity. Yearbook of European Law. ISSN 0263-3264

Moloney, Niamh (2010) EU financial market regulation after the global financial crisis: "more Europe” or more risks? Common Market Law Review, 47 (5). pp. 1317-1383. ISSN 0165-0750

Moloney, Niamh (2006) Effective policy design for the retail investment services market: challenges and choices post FSAP. In: Ferrarini, Guido and Wymeersch, Eddy, (eds.) Investor Protection in Europe: Corporate Law Making, the Mifid and Beyond. Oxford University Press, Oxford, UK, pp. 381-442. ISBN 9780199202911

Moloney, Niamh (2011) The European Securities and Markets Authority and institutional design for the EU financial market – a tale of two competences: Part (2) rules in action. European Business Organization Law Review, 12 (02). pp. 177-225. ISSN 1566-7529

Moloney, Niamh (2017) The European Union in international financial governance. RSF: Russell Sage Foundation Journal of the Social Sciences, 3 (1). pp. 138-152. ISSN 2377-8261

Moloney, Niamh (2010) Financial services and markets. In: Baldwin, Robert, Cave, Martin and Lodge, Martin, (eds.) The Oxford Handbook on Regulation. Oxford handbooks in business and management. Oxford University Press, Oxford, UK, pp. 437-461. ISBN 9780199560219

Moloney, Niamh (2017) Financial services, the EU, and Brexit: an uncertain future for the city? German Law Journal, 17. pp. 75-82. ISSN 2071-8322

Moloney, Niamh (2010) How to protect investors: lessons from the EC and the UK. International corporate law and financial market regulation. Cambridge University Press, Cambridge, UK. ISBN 9780521888707

Moloney, Niamh (2003) II. The Lamfalussy legislative model: a new era for the EC securities and investment services regime. International and Comparative Law Quarterly, 52 (2). pp. 509-520. ISSN 0020-5893

Moloney, Niamh (2006) III. Financial market regulation in the post-Financial Services Action Plan era. International and Comparative Law Quarterly, 55 (4). pp. 982-992. ISSN 0020-5893

Moloney, Niamh (2007) Innovation and risk in EC financial market regulation: new instruments of financial market intervention and the Committee of European Securities Regulators. European Law Review, 32 (5). pp. 627-663. ISSN 0307-5400

Moloney, Niamh (2002) Investor protection and the Treaty: an uneasy relationship. In: Ferrarini, Guido, Hopt, Klaus J. and Wymeersch, Eddy, (eds.) Capital Markets in the Age of the Euro: Cross-Border Transactions, Listed Companies and Regulation. Kluwer Law International, The Hague, The Netherlands, pp. 17-61. ISBN 9789041117373

Moloney, Niamh (2007) Law-making risks in EC financial market regulation after the Financial Services Action Plan. In: Weatherill, Stephen, (ed.) Better Regulation. Studies of the Oxford Institute of European and Comparative Law (6). Hart Enterprises, Oxford, UK, pp. 321-368. ISBN 9781841137155

Moloney, Niamh (2003) New frontiers in EC capital markets law: from market construction to market regulation. Common Market Law Review, 40 (4). pp. 809-843. ISSN 0165-0750

Moloney, Niamh (2011) Reform or revolution?: the financial crisis, EU financial markets law and the European Securities and Markets Authority. International and Comparative Law Quarterly, 60 (02). pp. 521-533. ISSN 0020-5893

Moloney, Niamh (2010) Regulating retail investment products: the financial crisis and the EU challenge. Era - Forum, 11 (3). pp. 329-349. ISSN 1612-3093

Moloney, Niamh (2015) Regulating the retail markets. In: Moloney, Niamh, Ferran, E and Payne, J, (eds.) The Oxford Handbook of Financial Regulation. Oxford Handbooks in Law. Oxford University Press, Oxford, UK, pp. 736-768. ISBN 0199687218

Moloney, Niamh (2013) Resetting the location of regulatory and supervisory control over EU financial markets: lessons from five years on. International and Comparative Law Quarterly, 62 (4). pp. 955-965. ISSN 0020-5893

Moloney, Niamh (2004) Time to take stock on the markets: the Financial Services Action Plan concludes as the Company Law Action Plan rolls out. International and Comparative Law Quarterly, 53 (4). pp. 999-1012. ISSN 0020-5893

Moloney, Niamh (2010) The financial crisis and EU securities law-making: a challenge met? In: Grundmann, Stefan, Haar, Brigitte, Merkt, Hanno, Mülbert, Peter O., Wellenhofer, Marina, Baum, Harald, Von Hein, Jan, Von Hippel, Thomas, Pistor, Katharina, Roth, Markus and Schweitzer, Heike, (eds.) Festschrift Für Klaus J. Hopt Zum 70. Geburtstag Am 24. August 2010: Unternehmen, Markt und Verantwortung. Walter de Gruyter & Co., Berlin, New York, pp. 2265-2282. ISBN 9783899496284

Moloney, Niamh (2002) The regulation of investment services in the single market: the emergence of a new regulatory landscape. European Business Organization Law Review, 3 (2). pp. 293-336. ISSN 1566-7529

Moloney, Niamh and Anand, Anita (2004) Reform of the audit process and the role of shareholder voice: transatlantic perspectives. European Business Organization Law Review, 5 (2). pp. 223-292. ISSN 1566-7529

Molyneux, Philip (2017) Why UK banks are like public utilities - and should be regulated as such. British Politics and Policy at LSE (17 Oct 2017). Website.

Monastiriotis, Vassilis (2013) Counting the options in Cyprus: the good, the bad and the ugly. LSE Greece@LSE (19 Mar 2013). Website.

Monastiriotis, Vassilis (2015) The IMF’s preliminary draft debt sustainability analysis: what does it mean? LSE Greece@LSE (03 Jul 2015). Website.

Monastiriotis, Vassilis (2011) Keeping Greece afloat and hoping for supply-side growth…. LSE Greece@LSE (23 Jul 2011). Website.

Monastiriotis, Vassilis (2011) London burning, stock markets melting… time for structural change! LSE Greece@LSE (11 Aug 2011). Website.

Monastiriotis, Vassilis (2011) To default or not to default? That is NOT the question! LSE Greece@LSE (27 Jun 2011). Website.

Monastiriotis, Vassilis (2011) A giant leap for the eurozone – a small step for Greece…. LSE Greece@LSE (01 Aug 2011). Website.

Monastiriotis, Vassilis (2013) The great Greek exceptionalism (on recessionary austerity and government effectiveness). LSE Greece@LSE (11 Jul 2013). Website.

Mondale, Jennifer, Scott, Susan V. ORCID: 0000-0002-8775-9364 and Venters, Will (2006) Knowledge management as an image of the organization: industry standards and the processes of knowing in credit risk management. In: 14th European Conference on Information Systems, 2006-06-12 - 2006-06-14, Göteborg, Sweden. (Submitted)

Monnery, Neil (2017) Hong Kong’s postwar transformation shows how fewer data can sometimes boost growth. LSE Business Review (30 Jun 2017). Website.

Monokroussos, Platon, Thomakos, Dimitrios, D. and Alexopoulos, Thomas A. (2016) The determinants of loan loss provisions:an analysis of the Greek banking systemin light of the sovereign debt crisis. GreeSE: Hellenic Observatory papers on Greece and Southeast Europe (104). Hellenic Observatory, London School of Economics and Political Science, London, U.K..

Montaigne, Maxine (2017) Book review: the econocracy: the perils of leaving economics to the experts by Joe Earle, Cahal Moran and Zach Ward-Perkins. LSE Review of Books (28 Feb 2017). Website.

Montebruno, Piero ORCID: 0000-0001-8010-7446, Silva, Olmo and Szumilo, Nikodem (2021) Judge Dread: court severity, repossession risk and demand in mortgage and housing markets. Geography and Environment Discussion Paper Series (25). Department of Geography and Environment, LSE, London, UK.

Montebruno, Piero ORCID: 0000-0001-8010-7446, Silva, Olmo and Szumilo, Nikodem (2021) Judge Dread: court severity, repossession risk and demand in mortgage and housing markets. CEP Discussion Papers (1766). Centre for Economic Performance, LSE, London, UK.

Monti, Alberto and Castellano, Giuliano (2012) Multilingualism in financial markets governance: the role of language in the process of international regulatory convergence. Uniform Law Review, 17 (3). pp. 403-406. ISSN 1124-3694

Monti, Mara (2023) Is Europe heading for another banking crisis? LSE European Politics and Policy (EUROPP) blog (30 Mar 2023). Blog Entry.

Monti, Mara (2017) Italy versus Spain: two measures for solving the same banking problem. LSE European Politics and Policy (EUROPP) Blog (28 Jun 2017). Website.

Montibeller, Gilberto, Franco, Alberto, Lord, Ewan and Iglesias, Aline (2008) Structuring multi-criteria portfolio analysis models. Operational Research working papers (LSEOR 08.102). Operational Research Group, Department of Management, London School of Economics and Political Science, London, UK. ISBN 9780853280583

Moore, Alex (2012) Book review: the money trap: escaping the grip of global finance. LSE Review of Books (03 Oct 2012). Website.

Moore, Alexander, Straub, Stéphane and Dethier, Jean-Jacques (2014) Regulation, renegotiation and capital structure: theory and evidence from Latin American transport concessions. Journal of Regulatory Economics, 45 (2). pp. 209-232. ISSN 0922-680X

Moore, Kyle and Zhou, Chen (2014) The determinants of systemic importance. Systemic Risk Centre Discussion Papers (19). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Morales, Raffaello, Di Matteo, T. and Aste, Tomaso (2014) Dependency structure and scaling properties of financial time series are related. Scientific Reports, 4 (4589). ISSN 2045-2322

Moran, Michael (2013) Why the system of rail privatisation in the UK has been a disaster. British Politics and Policy at LSE (26 Jun 2013). Website.

Moreno-Serra, Rodrigo, Thomson, Sarah and Xu, Ke (2013) Measuring and comparing financial protection. In: Papanicolas, Irene and Smith, Peter, (eds.) Health System Performance Comparison: an Agenda for Policy, Information and Research. Open University, Buckingham. ISBN 9780335247264

Moretti, Enrico, Steinwender, Claudia and Van Reenen, John ORCID: 0000-0001-9153-2907 (2020) Public investment in defence research can increase business innovation. LSE Business Review (17 Jan 2020). Blog Entry.

Morettin, Pedro A. and Norberg, Ragnar (2011) Foreword: special issue on statistical modeling in insurance and finance. Applied Stochastic Models in Business and Industry, 27 (1). p. 1. ISSN 1524-1904

Morgan, Mary S. (2003) Business cycles: representation and measurement. In: Ladiray, D., (ed.) Monographs of Official Statistics: Papers and Proceedings of the Colloquium on the History of Business-Cycle Analysis. Office for Official Publications of the European Communities, Luxembourg, pp. 175-190. ISBN 928945668X

Morgan, Mary S. (2006) Measuring instruments in economics and the velocity of money. Working papers on the nature of evidence: how well do 'facts' travel? (13/06). Department of Economic History, London School of Economics and Political Science, London, UK.

Moriarty, Jo (2012) Research and policy: Never the twain shall meet? LSE Health and Social Care (20 Nov 2012). Website.

Morris, Stephen and Shin, Hyun Song (2001) Coordination risk and the price of debt. Financial Markets Group Discussion Papers (373). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Morris, Stephen and Shin, Hyun Song (2003) Global games: theory and applications. In: Dewatripont, Mathias, Hansen, Lars Peter and Turnovsky, Stephen J., (eds.) Advances in Economics and Econometrics: Theory and Applications, Eighth World Congress. Cambridge University Press, Cambridge, UK, pp. 56-114. ISBN 9780521524117

Morrison, James ORCID: 0000-0001-7188-4374 (2021) England's cross of gold: Keynes, Churchill, and the governance of economic beliefs. Cornell Studies in Money. Cornell University Press. ISBN 9781501758423

Morrison, James A. (2015) This means (bank) war! Corruption and credible commitments in the collapse of the second bank of the United States. Journal of the History of Economic Thought, 37 (02). pp. 221-245. ISSN 1053-8372

Morrison, James Ashley (2016) Shocking intellectual austerity: the role of ideas in the demise of the gold standard in Britain. International Organization, 70 (1). 175 - 207. ISSN 0020-8183

Morys, Matthias (2016) History shows that Greece is able to implement meaningful reform. LSE Business Review (18 May 2016). Website.

Morys, Matthias (2003) Was the Bundesbank’s credibility undermined during the process of German reunification? Economic History Working Papers (74/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Moschella, Manuela (2020) Political conflicts in the ECB: how national battles play out behind closed doors. LSE European Politics and Policy (EUROPP) blog (22 Jul 2020). Blog Entry.

Moscone, Francesco and Khan, A. H. (2004) Microcredit: The biggest bank in the world. Diplomatic News, 8. pp. 205-217.

Mosselmans, Isabella (2014) Tax evasion: the main cause of global poverty. Africa at LSE (07 Mar 2014). Website.

Motta, Wallis, Dini, Paolo and Sartori, Laura (2017) Self-funded social impact investment: an interdisciplinary analysis of the Sardex mutual credit system. Journal of Social Entrepreneurship, 8 (2). pp. 149-164. ISSN 1942-0676

Mougayar, William (2016) Working as a layer on top of the internet, blockchain is an instrument of change. LSE Business Review (07 Jul 2016). Website.

Mourlon-Druol, Emmanuel (2011) The Euro crisis: a historical perspective. IDEAS reports - strategic updates (SU007). LSE IDEAS, London School of Economics and Political Science, London, UK.

Mueller, Henrik (2014) The Germans vs. Mario Draghi. Euro Crisis in the Press (28 Jan 2014). Website.

Mueller, Philippe, Stathopoulos, Andreas and Vedolin, Andrea (2013) International correlation risk. Financial Markets Group Discussion Papers (716). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Stathopoulos, Andreas and Vedolin, Andrea (2014) International correlation risk. Systemic Risk Centre Discussion Papers (26). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Stathopoulos, Andreas and Vedolin, Andrea (2017) International correlation risk. Journal of Financial Economics, 126 (2). pp. 270-299. ISSN 0304-405X

Mueller, Philippe, Tahbaz-Salehi, Alireza and Vedolin, Andrea (2016) Exchange rates and monetary policy uncertainty. Systemic Risk Centre Discussion Papers (54). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Tahbaz-Salehi, Alireza and Vedolin, Andrea (2017) Exchange rates and monetary policy uncertainty. Journal of Finance, 72 (3). 1213 - 1252. ISSN 0022-1082

Mueller, Philippe, Tahbaz-Salehi, Alireza and Vedolin, Andrea (2016) Exchange rates and monetary policy uncertainty. Systemic Risk Centre Discussion Papers (54). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Vedolin, Andrea and Yen, Yu-Min (2012) Bond variance risk premia. Financial Markets Group Discussion Papers (699). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Vedolin, Andrea and Zhou, Hao (2011) Short run bond risk premia. Financial Markets Group Discussion Papers (686). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mueller, Philippe, Vedolin, Andrea and Zhou, Hao (2011) Short-run bond risk premia. AFA 2013 San Diego Meetings Paper.

Muermann, Alexander (2002) Pricing catastrophe insurance derivatives. Financial Markets Group Discussion Papers (400). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Muermann, Alexander and Shore, Stephen H. (2005) Spot market power and future market trading. Financial Markets Group Discussion Papers (531). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Mukhin, Dmitry (2022) An equilibrium model of the international price system. American Economic Review, 112 (2). 650 - 688. ISSN 0002-8282

Mukim, Megha and Nunnenkamp, Peter (2012) The location choices of foreign investors: a district-level analysis in India. World Economy, 35 (7). pp. 886-981. ISSN 0378-5920

MukimAnother, Megha (2016) Life after LSE: Megha Mukim on Asia’s most competitive cities. International Development (03 May 2016). Website.

Mullins, John (2013) Entrepreneurs need their customers’ cash, not government handouts. British Politics and Policy at LSE (10 Oct 2013). Website.

Muniesa, Fabian, Chabert, D., Ducrocq-Grondin, M. and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2004) Post-trade logistics in financial markets: qualitative findings. The Moving Markets Research Project. Information Systems and Innovation Group, London School of Economics and Political Science. (Submitted)

Muniesa, Fabian, Chabert, Dominique, Ducrocq-Grondin, Marceline and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2011) Back-office intricacy: the description of financial objects in an investment bank. Industrial and Corporate Change, 20 (4). pp. 1189-1213. ISSN 0960-6491

Murphy, David (2023) What can we expect from a good margin model? Observations from whole-distribution tests of risk-based initial margin models. Journal of Risk Model Validation, 17 (2). 59 - 81. ISSN 1753-9579

Murthy, Anant, Dixon, Anna and Mossialos, Elias ORCID: 0000-0001-8664-9297 (2001) Genetic testing and insurance. Journal of the Royal Society of Medicine, 94 (2). pp. 57-60. ISSN 0141-0768

Mushfiq Mobarak, Ahmed (2012) Formally insuring the informally insured. International Growth Centre Blog (16 Nov 2012). Website.

Musmeci, Nicoló, Aste, Tomaso and Di Matteo, T. (2015) Relation between financial market structure and the real economy: comparison between clustering methods. PLOS ONE, 10 (4). ISSN 1932-6203

Musmeci, Nicoló, Nicosia, Vincenzo, Aste, Tomaso, Di Matteo, Tiziana and Latora, Vito (2017) The multiplex dependency structure of financial markets. Complexity, 2017. pp. 1-13. ISSN 1076-2787

Mutabazi, Richard (2015) Looking Beyond the International Criminal Court. Africa at LSE (13 Jul 2015). Website.

Myrodias, Konstantinos and Chatzinikolaou, Panos (2015) Is the BRICS Bank an alternative for Greece? Euro Crisis in the Press (10 Jul 2015). Website.

N

Naczyk, Marek (2021) Bankers and populists: understanding the rise of ‘managerial developmentalism’ in Poland. LSE European Politics and Policy (EUROPP) blog (01 Jul 2021). Blog Entry.

Naidu, Suresh and Yuchtman, Noam (2018) Labor market institutions in the gilded age of American economic history. In: Cain, Louis P., Fishback, Price V. and Rhode, Paul W., (eds.) The Oxford Handbook of American Economic History. Oxford University Press, Oxford, UK. ISBN 9780190882617

Naqvi, Natalya ORCID: 0000-0003-0821-070X (2022) Economic crisis, global financial cycles, and state control of finance: public development banking in Brazil and South Africa. European Journal of International Relations. ISSN 1460-3713

Naqvi, Natalya (2018) Finance and industrial policy in unsuccessful developmental states: the case of Pakistan. Development and Change. ISSN 0012-155X

Naqvi, Natalya ORCID: 0000-0003-0821-070X (2018) Manias, panics and crashes in emerging markets: an empirical investigation of the post-2008 crisis period. New Political Economy. ISSN 1356-3467

Naqvi, Natalya ORCID: 0000-0003-0821-070X (2019) Renationalizing finance for development: policy space and public economic control in Bolivia. Review of International Political Economy. ISSN 0969-2290

Naqvi, Natalya ORCID: 0000-0003-0821-070X, Henow, Anne and Chang, Ha-Joon (2018) Kicking away the financial ladder? German development banking under economic globalisation. Review of International Political Economy, 25 (5). 672 - 698. ISSN 0969-2290

Naraghi Anderlini, Sanam (2020) Corona-diary: Entry 3. Sister-hood (23 Mar 2020). Blog Entry.

Naser, Marwan (2005) Credit policy for working banks in Palestinian territories. . The Author, Marrakech. (Submitted)

Naser, Marwan (2001) Obstacles to investment in the West Bank and Gaza. . The Author. (Submitted)

Nassehi, Ramin (2014) Book review: Remembering inflation by Brigitte Granville. LSE Review of Books (17 Jan 2014). Website.

Nath, Maanik (2021) Do institutional transplants succeed? Regulating raiffeisen cooperatives in South India, 1930-1960. Business History Review, 95 (1). 59 - 85. ISSN 0007-6805

Nava, Noemi, Di Matteo, Tiziana and Aste, Tomaso (2018) Financial time series forecasting using empirical mode decomposition and support vector regression. Risks, 6 (1). ISSN 2227-9091

Nava, Noemi, Di Matteo, Tiziana and Aste, Tomaso (2016) Time-dependent scaling patterns in high frequency financial data. European Physical Journal Special Topics, 225 (10). pp. 1997-2016. ISSN 1951-6355

Neal, L. (2013) Exchanges, rules governing. In: Caprio, Gerard, (ed.) Handbook of Key Global Financial Markets, Institutions, and Infrastructure. Elsevier, London, pp. 107-117. ISBN 9780123978738

Neal, L. (2013) French corporate finance, 1500-1900. In: Caprio, Gerard, (ed.) Handbook of Key Global Financial Markets, Institutions, and Infrastructure. Elsevier, London, pp. 119-121. ISBN 9780123978738

Neely, Megan Tobias and Carmichael, Donna (2021) Profiting on crisis: how predatory financial investors have worsened inequality in the coronavirus crisis. American Behavioral Scientist, 65 (12). 1649 - 1670. ISSN 0002-7642

Nell, Jacob, Goodhart, Charles, Baker, Melanie, Secker, Graham, Manners, Chris, Simpson, Fiona, Ashworth, Nicholas J., Heese, Anton and Gysens, Bart (2016) Will the UK reset fiscal policy? . Morgan Stanley, New York, USA.

Neugebauer, Katja (2011) Bank risk and cross-border banking: an empirical analysis. IAW research reports (72). InstItut für Angewandte WIrtschaftsforschung, Tübingen, Germany. ISBN 9783885730576

Neugebauer, Katja (2011) Banks in space: does distance really affect cross-border banking. IAW-Diskussionspapiere (70). IAW, Tübingen, Germany.

Neumayer, Eric ORCID: 0000-0003-2719-7563 (1999) Multilateral agreement on investment: lessons for the WTO from the failed OECD-negotiations. Wirtschaftspolitische Blatter, 46 (6). pp. 618-628. ISSN 1605-8704

Neumayer, Eric ORCID: 0000-0003-2719-7563 (2011) On the detrimental impact of visa restrictions on bilateral trade and foreign direct investment. Applied Geography, 31 (3). pp. 901-907. ISSN 0143-6228

Neumayer, Eric ORCID: 0000-0003-2719-7563, Nunnenkamp, Peter and Roy, Martin (2016) Are stricter investment rules contagious?: host country competition for foreign direct investment through international agreements. Review of World Economics, 152 (1). pp. 177-213. ISSN 1610-2878

Neumayer, Eric ORCID: 0000-0003-2719-7563, Plümper, Thomas and Barthel, Fabian (2014) The political economy of natural disaster damage. Global Environmental Change, 24 (1). 8 -19. ISSN 0959-3780

Neureiter, Katharina (2013) Why we need the #NewDeal4Peace on a post-2015 development agenda. Africa at LSE (18 Apr 2013). Website.

Nezlobin, Alexander (2012) Accrual accounting, informational sufficiency, and equity valuation. Journal of Accounting Research, 50 (1). 233 - 273. ISSN 0021-8456

Nezlobin, Alexander, Rajan, Madhav V. and Reichelstein, Stefan (2012) Dynamics of rate-of-return regulation. Management Science, 58 (5). 980 - 995. ISSN 0025-1909

Nezlobin, Alexander, Rajan, Madhav V. and Reichelstein, Stefan (2010) Stability properties of the rate-of-return regulation process. Research paper (2042 (R)). Standford Graduate School of Business, Stanford, USA.

Nezlobin, Alexander, Rajan, Madhav V. and Reichelstein, Stefan (2016) Structural properties of the price-to-earnings and price-to-book ratios. Review of Accounting Studies, 21 (2). 438 - 472. ISSN 1380-6653

Nezlobin, Alexander, Reichelstein, Stefan and Wang, Yanruo (2015) Managerial performance evaluation for capacity investments. Review of Accounting Studies, 20 (1). 283 - 318. ISSN 1380-6653

Ngai, L. Rachel and Petrongolo, Barbara (2014) Gender gaps and the rise of the service economy. CFM discussion paper series (CFM-DP2014-4). Centre For Macroeconomics, London, UK.

Ngai, L. Rachel, Pissarides, Christopher and Wang, Jin (2018) China's mobility barriers and employment allocations. CFM Discussion Paper Series (CFMDP2018-11). Centre for Macroeconomics, The London School of Economics and Political Science, London, UK.

Nicholson, Nigel, Willman, Paul, Dow, James, Fenton-O'Creevy, Mark and Soane, Emma ORCID: 0000-0001-6090-1212 (1999) The individual and contextual influences on the market behaviour of finance professionals. . ESRC-SAGE Research Group, Swindon, UK.

Nickell, Stephen and Nicolitsas, D. (1996) Does innovation encourage investment in fixed capital? CEPDP (309). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Nicola, Giancarlo, Cerchiello, Paola and Aste, Tomaso (2020) Information network modeling for U.S. banking systemic risk. Entropy, 22 (11). ISSN 1099-4300

Nicola, Mastrorocco (2012) New #IGC Research: Does the current #FinancialCrisis Have an impact on sub-Saharan #Africa? Africa at LSE (22 Feb 2012). Website.

Nicolas, Maxime L.D., Desroziers, Adrien, Caccioli, Fabio and Aste, Tomaso (2024) ESG reputation risk matters: an event study based on social media data. Finance Research Letters, 59. ISSN 1544-6123

Niepmann, Friederike and Schmidt-Eisenlohr, Tim (2010) Bank bailouts, international linkages and cooperation. CEP Discussion Papers (CEPDP1023). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Niepmann, Friederike and Schmidt-Eisenlohr, Tim (2011) For governments intervening to bail out banks, finding the right balance between efficiency gains, the preservation of national sovereignty, and optimal international cooperation remains a challenging task. British Politics and Policy at LSE (15 Apr 2011). Website.

Nier, Erlend (1999) Equity finance, adverse selection and product market competition. Financial Markets Group Discussion Papers (333). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Nier, Erlend (1998) Managers, debt and industry equilibrium. Financial Markets Group Discussion Papers (289). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Nier, Erlend (1997) Optimal managerial remuneration and firm-level diversification. Financial Markets Group Discussion Papers (269). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Nigam, Prajakta Kharkar (2013) Chinese Development in Uganda: Grant or Loan? Africa at LSE (16 Sep 2013). Website.

Nigam, Prajakta Kharkar (2012) Reducing tax avoidance must be a key priority for the Uganda government. Africa at LSE (24 Sep 2012). Website.

Nigam, Prajakta Kharkar (2012) Regulation is not the panacea we are looking for to cure ills of savings co-operatives. Africa at LSE (24 Oct 2012). Website.

Niguez, Trino-Manuel and Perote, Javier (2004) Forecasting the density of asset returns. EM (479). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Nikolaki, M. (1997) Is Europe an optimum currency area? A reconsideration of the evidence. CEPDP (342). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Nikoloski, Zlatko and Mossialos, Elias ORCID: 0000-0001-8664-9297 (2018) Membership In Seguro Popular In Mexico Linked To A Small Reduction In Catastrophic Health Expenditure. Health Affairs. ISSN 0278-2715

Nimalendran, Mahendrarajah, Rzayev, Khaladdin and Sagade, Satchit (2022) High-frequency trading in the stock market and the costs of option market making. Systemic Risk Centre Discussion Papers (113). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Njue, Duncan (2016) Renewing Africa through globalisation and Intra-Continental trade. Africa at LSE (01 Feb 2016). Website.

Nkwanga, Waiswa (2012) Afro-optimists are lacking pragmatism in their assessment of the state of continent. Africa at LSE (01 Oct 2012). Website.

Nobay, A. Robert, Paya, Ivan and Peel, David A. (2007) Inflation dynamics in the US - a nonlinear perspective. Financial Markets Group Discussion Papers (601). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Nobay, A. Robert and Peel, David (1998) Optimal monetary policy in a model of asymmetric central bank preferences. Financial Markets Group Discussion Papers (306). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Norberg, Ragnar (2005) Anomalous PDEs in Markov chains: Domains of validity and numerical solutions. Finance and Stochastics, 9 (4). pp. 519-537. ISSN 0949-2984

Norberg, Ragnar (2004) Credibility theory. In: Teugels, Jef L. and Sundt, Bjorn, (eds.) Encyclopedia of Actuarial Science. Wiley-Blackwell, Chichester, pp. 398-406. ISBN 9780470012505

Norberg, Ragnar (2006) Dynamic Greeks. Insurance: Mathematics and Economics, 39 (1). pp. 123-133. ISSN 0167-6687

Norberg, Ragnar (2010) Forward mortality and other vital rates: are they the way forward? Insurance: Mathematics and Economics, 47 (2). pp. 105-112. ISSN 0167-6687

Norberg, Ragnar (2004) Life insurance mathematics. In: Teugels, Jef L. and Sundt, Bjorn, (eds.) Encyclopedia of Actuarial Science. Wiley-Blackwell, Chichester, pp. 979-997. ISBN 978-0470846766

Norberg, Ragnar (2003) The Markov chain market. Astin Bulletin, 33 (2). pp. 265-287. ISSN 0515-0361

Norberg, Ragnar (2008) Multistate models for life insurance mathematics. In: Melnick, Edward and Everitt, Brian, (eds.) Encyclopedia of Quantitative Risk Analysis and Assessment. Wiley-Blackwell, Chichester. ISBN 978-0-470-03549-8

Norberg, Ragnar (2004) Non-life reserves : continuous time micro models. In: Teugels, Jef L. and Sundt, Bjorn, (eds.) Encyclopedia of Actuarial Science. Wiley-Blackwell, Chichester, pp. 1180-1181. ISBN 978-0470846766

Norberg, Ragnar (2001) On bonus and bonus prognoses in life insurance. Scandinavian Actuarial Journal, 2001 (2). pp. 126-147. ISSN 0346-1238

Norberg, Ragnar (2004) Thiele, Thorvald Nicolai (1838-1910). In: Teugels, Jef L. and Sundt, Bjorn, (eds.) Encyclopedia of Actuarial Science. Wiley-Blackwell, Chichester, pp. 1671-1672. ISBN 978-0470846766

Norberg, Ragnar (2004) Vasicek beyond the normal. Mathematical Finance, 14 (4). pp. 585-604. ISSN 0960-1627

Norberg, Ragnar and Kalashnikov, Vladimir (2003) On the sensitivity of premiums and reserves to changes in valuation elements. Scandinavian Actuarial Journal (3). pp. 238-256. ISSN 0346-1238

Nord, Roger (2015) Global Value Chains: The Missing Link in Sub-Saharan Africa’s Trade Integration. Africa at LSE (23 Jul 2015). Website.

Norris, Clive M. (2017) Sophisticated financial management underpinned 18th century Methodism. LSE Business Review (16 May 2017). Website.

Nyamunda, Tinashe (2016) Zimbabwe bond notes and their possible long-term legacy. Africa at LSE (22 Dec 2016). Website.

O

O'Brien, Patrick (2012) Fiscal and financial preconditions for the formation of developmental states in the west and the east from the conquest of Ceuta (1415) to the opium War (1839). Journal of World History, 23 (3). pp. 513-553. ISSN 1527-8050

O'Brien, Patrick (2005) Fiscal and financial preconditions for the rise of British naval hegemony, 1485-1815. Economic History Working Papers (91/05). Department of Economic History, London School of Economics and Political Science, London, United Kingdom.

O'Brien, Patrick (2001) Fiscal exceptionalism: Great Britain and its European rivals: from civil war to triumph at Trafalgar and Waterloo. Economic History Working Papers (65/01). Department of Economic History, London School of Economics and Political Science, London, UK.

O'Brien, Patrick (2006) Mercantilist institutions for the pursuit of power with profit. The management of Britain’s national debt, 1756-1815. Economic History Working Papers (95/06). Department of Economic History, London School of Economics and Political Science, London, UK.

O'Brien, Patrick (2017) The contributions of warfare with revolutionary and Napoleonic France to the consolidation and progress of the British industrial revolution: revised version of working paper 150. Economic History working papers (264/2017). London School of Economics and Political Science, London, UK.

O'Brien, Patrick (2008) The history, nature and economic significance of an exceptional fiscal state for the growth of the British economy, 1453-1815. Economic History Working Papers (109/08). Department of Economic History, London School of Economics and Political Science, London, UK.

O'Brien, Patrick (2007) The triumph and denouement of the British fiscal state: taxation for the wars against Revolutionary and Napoleonic France, 1793-1815. Economic History Working Papers (99/07). Department of Economic History, London School of Economics and Political Science, London, UK.

O'Dwyer, Muireann (2014) Book review: the new geography of capitalism: firms, finance, and society by Adam D Dixon. LSE Review of Books (30 Sep 2014). Website.

O'Hanlon, John F. and Pope, Peter (1999) The value relevance of UK dirty surplus accounting flows. British Accounting Review, 31 (4). pp. 459-482. ISSN 0890-8389

Odlyzko, Andrew (2016) What would surprise early Victorian market players if they came alive today? LSE Business Review (30 Sep 2016). Website.

Oehmen, Josef (2018) The four types of strategy work you need for the digital revolution. LSE Business Review (28 Sep 2018). Website.

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

Oehmke, Martin and Opp, Marcus (2021) A theory of socially responsible investment. Financial Markets Group Discussion Papers (845). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Oehmke, Martin ORCID: 0000-0001-9902-0711 and Opp, Marcus (2024) A theory of socially responsible investment. Review of Economic Studies. ISSN 0034-6527 (In Press)

Oehmke, Martin ORCID: 0000-0001-9902-0711 and Zawadowski, Adam (2015) Synthetic or real? The equilibrium effects of credit default swaps on bond markets. Review of Financial Studies, 28 (12). pp. 3303-3337. ISSN 0893-9454

Oehmke, Martin ORCID: 0000-0001-9902-0711 and Zawadowski, Adam (2017) The anatomy of the CDS market. Review of Financial Studies, 30 (1). pp. 80-119. ISSN 0893-9454

Oehmke, Martin and Zawadowski, Adam (2016) The anatomy of the CDS market. Financial Markets Group Discussion Papers (761). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ojha, Sakshi (2010) Media and the financial crisis: could the public have been better informed? POLIS: journalism and society at the LSE (28 Sep 2010). Website.

Okamoto, Noriaki (2022) Financialisation in the context of cross-shareholding in Japan: the performative pursuit of better corporate governance. Journal of Management and Governance. ISSN 1385-3457

Olaru, Ioan and Zachariadis, Konstantinos (2011) Trading and voting in distressed firms. Financial Markets Group Discussion Papers (672). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Olivares Rios, A., Rodríguez, G. and Ataurima Arellano, M. (2019) Estimation of Peru’s sovereign yield curve: the role of macroeconomic and latent factors. Journal of Economic Studies, 46 (3). pp. 533-563. ISSN 0144-3585

Olivares-Caminal, Rodrigo, Douglas, John, Guynn, Randall, Kornberg, Alan, Paterson, Sarah, Singh, Davinder and Stonefrost, Hilary (2011) Debt restructuring. Oxford University Press, Oxford, UK. ISBN 9780199579693

Olivares-Caminal, Rodrigo, Kornberg, Alan, Paterson, Sarah, Douglas, John, Guynn, Randall and Singh, Dalvinder (2016) Debt restructuring. , 2nd Oxford University Press, Oxford, UK. ISBN 9780198725244

Olivei, Giovanni and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2008) Wage setting patterns and monetary policy: international evidence. CEP Discussion Papers (872). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853282792

Oliver, Tim (2016) Preparations for a Brexit VI: views from the EU’sinstitutions, France, and Germany. LSE Brexit (20 Jun 2016). Website.

Oliver, Tim (2015) UK would lose 8% of its economy by quitting the EU. HuffPost Politics United Kingdom (06 May 2015). Website.

Oman, William (2012) If it is to survive, the eurozone can no longer hold private creditors as sacrosanct above taxpayers, and must crack down on the fiscal black hole of the EU’s tax havens. LSE European Politics and Policy (EUROPP) Blog (29 Oct 2012). Website.

Omukuti, Jessica, Barrett, Sam, White, Piran C.L., Marchant, Robert and Averchenkova, Alina ORCID: 0000-0002-6445-5819 (2022) The green climate fund and its shortcomings in local delivery of adaptation finance. Climate Policy, 22 (9-10). 1225 - 1240. ISSN 1469-3062

Onaga, Tomokatsu, Caccioli, Fabio and Kobayashi, Teruyoshi (2023) Financial fire sales as continuous-state complex contagion. Physical Review Research, 5 (4). ISSN 2643-1564

Oomen, Roel (2017) Execution in an aggregator. Quantitative Finance, 17 (3). pp. 383-404. ISSN 1469-7688

Oomen, Roel (2017) Last look. Quantitative Finance, 17 (7). pp. 1057-1070. ISSN 1469-7688

Oomen, Roel (2018) Price signatures. Quantitative Finance, 19 (5). pp. 733-761. ISSN 1469-7688

Oosterlinck, Kim (2018) The French art market under the Nazi boot: looking for discreet assets. LSE Business Review (11 Jan 2018). Website.

Orman, A. J. and Williams, H. Paul (2006) A survey of different integer programming formulations of the travelling salesman problem. In: Kontoghiorghes, Erricos John and Gatu, Cristian, (eds.) Optimisation, Econometric and Financial Analysis. Advances in computational management science (9). Springer Berlin / Heidelberg, Berlin, Germany, pp. 93-108. ISBN 9783540366256

Ornelas, Emanuel and Tovar, Patricia (2021) Intra-bloc tariffs and preferential margins in trade agreements. CEP Discussion Papers (1791). Centre for Economic Performance, LSE, London, UK.

Ornelas, Emanuel ORCID: 0000-0001-8330-8745, Turner, John L. and Bickwit, Grant (2021) Preferential trade agreements and global sourcing. Journal of International Economics, 128. ISSN 0022-1996

Orsi, Roberto (2017) The European Union at a crossroads. Euro Crisis in the Press (20 Feb 2017). Blog Entry.

Orsi, Roberto (2013) Lessons and warnings from Cyprus. Euro Crisis in the Press (27 Mar 2013). Website.

Orsi, Roberto (2014) Why Italy will not make it. Euro Crisis in the Press (01 Oct 2014). Website.

Orsi, Roberto (2013) The quiet collapse of the Italian economy. Euro Crisis in the Press (23 Apr 2013). Website.

Ortalo-Magné, François and Rady, Sven (1998) Boom in, bust out: young households and the housing price cycle. Financial Markets Group Discussion Papers (310). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ortalo-Magné, François and Rady, Sven (1998) Housing market fluctuations in a life-cycle economy with credit constraints. Financial Markets Group Discussion Papers (296). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ortells, R., Egozcue, J. J., Ortego, M. I. and Garola, A. (2016) Relationship between the popularity of key words in the Google browser and the evolution of worldwide financial indices. In: Martín-Fernández, Josep Antoni and Thió-Henestrosa, Santiago, (eds.) Compositional Data Analysis. Springer Proceedings in Mathematics & Statistics (187). Springer International (Firm), Cham, Switzerland, pp. 145-165. ISBN 9783319448107

Ortu, F., Tamoni, Andrea and Tebaldi, C. (2013) Long-run risk and the persistence of consumption shocks. Review of Financial Studies, 26 (11). pp. 2876-2915. ISSN 0893-9454

Osotimehin, Sophie (2017) The 'cleansing effect' of recessions: Inefficient firms fail, average productivity goes up. LSE Business Review (05 Sep 2017). Website.

Ostaszewski, Adam and Gietzmann, Miles B. (2008) Value creation with Dye’s disclosure option: optimal risk-shielding with an upper tailed disclosure strategy. Review of Quantitative Finance and Accounting, 31 (1). pp. 1-27. ISSN 0924-865X

Ostergaard, Charlotte (2000) External financing costs and banks' loan supply: does the structure of the bank sector matter. Financial Markets Group Discussion Papers (357). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ostergaard, Charlotte (1998) Permanent income, consumption and aggregate constraints: evidence from the US. Financial Markets Group Discussion Papers (287). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Otero-Iglesias, Miguel (2013) Book review: Europe in crisis: bolt from the blue? LSE Review of Books (24 May 2013). Website.

Otsuka, Michael (2017) How to guard against the risk of living too long: the case for collective pensions. In: Sobel, David, Vallentyne, Peter and Wall, Steven, (eds.) Oxford Studies in Political Philosophy. Oxford University Press, Oxford, UK, pp. 229-251. ISBN 9780198801221

Oulton, Nicholas (1981) Aggregate investment and Tobin's Q: the evidence from Britain. Oxford Economic Papers, 33 (2). pp. 177-202. ISSN 0030-7653

Oulton, Nicholas (1995) Do UK price indexes overstate inflation? National Institute Economic Review, 152 (1). pp. 60-75. ISSN 0027-9501

Oulton, Nicholas (1978) Explaining aggregate investment in Britain: the importance of Tobin's Q. Economics Letters, 1 (3). pp. 253-257. ISSN 0165-1765

Oulton, Nicholas (1998) Investment, capital and foreign ownership in UK manufacturing. NIESR Discussion Papers (141). The National Institute of Economic and Social Research (NIESR), London, UK.

Oulton, Nicholas (2013) Medium and long run prospects for UK growth in the aftermath of the financial crisis. CEP Occasional Papers (CEPOP37). The London School of Economics and Political Science, Center of Economic Performance, London, UK.

Oulton, Nicholas (2013) Medium and long run prospects for UK growth in the aftermathof the financial crisis. CFM discussion paper series (CFM-DP2013-7). Centre For Macroeconomics, London, UK.

Oulton, Nicholas (1973) Tariffs, taxes and trade: the effective protection approach. Government Economic Service Occasional Papers (6). Stationery Office, London, UK.

Oulton, Nicholas and Wallis, Gavin (2016) Capital stocks and capital services: integrated and consistent estimates for the United Kingdom, 1950–2013. Economic Modelling, 54. pp. 117-125. ISSN 0264-9993

Oulton, Nicholas ORCID: 0000-0002-1595-7732 and Young, Garry (1996) How high is the social rate of return to investment? Oxford Review of Economic Policy, 12 (2). pp. 48-69. ISSN 0266-903X

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2013) Budget: housing and Heseltine. Spatial Economics Research Centre Blog (21 Mar 2013). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) Can cheap credit explain the housing boom? Spatial Economics Research Centre Blog (31 May 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2010) Cuts, cuts, cuts. Spatial Economics Research Centre Blog (17 May 2010). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2012) Government grants to small firms. Spatial Economics Research Centre Blog (02 Feb 2012). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2010) Housing and the budget. Spatial Economics Research Centre Blog (25 Jun 2010). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) How did London get away with it? Spatial Economics Research Centre Blog (20 Jan 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) Local government finance and the Glencore IPO. Spatial Economics Research Centre Blog (08 Dec 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) Planning hypocrisy. Spatial Economics Research Centre Blog (12 Sep 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) Protectionism and the high street. Spatial Economics Research Centre Blog (27 May 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2012) Regional growth fund (round III). Spatial Economics Research Centre Blog (19 Oct 2012). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2010) Resilience rankings. Spatial Economics Research Centre Blog (10 Sep 2010). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) Silicon roundabout. Spatial Economics Research Centre Blog (26 May 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2012) Skyscrapers and financial crashes. Spatial Economics Research Centre Blog (11 Jan 2012). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2009) Taxing bank bonuses. Spatial Economics Research Centre Blog (10 Dec 2009). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2010) Who benefits from HS2. Spatial Economics Research Centre Blog (04 Oct 2010). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) The bank of Mum and Dad. Spatial Economics Research Centre Blog (21 Jun 2011). Website.

Overman, Henry G. ORCID: 0000-0002-3525-7629 (2011) The road to recovery - what can government do? Spatial Economics Research Centre Blog (14 Sep 2011). Website.

Owens, Emily and Lovenheim, Michael (2014) Eligibility for federal financial aid strongly impacts potential students’ decisions about going to college. LSE American Politics and Policy (13 Mar 2014). Website.

Ozdenoren, Emre and Yuan, Kathy (2017) Contractual externalities and systemic risk. Review of Economic Studies, 84 (4). 1789 - 1817. ISSN 0034-6527

Ozdenoren, Emre and Yuan, Kathy (2015) Endogenous contractual externalities. Financial Markets Group Discussion Papers (746). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ozdenoren, Emre and Yuan, Kathy (2008) Feedback effects and asset prices. Journal of Finance, 63 (4). pp. 1939-1975. ISSN 0022-1082

Ozdenoren, Emre and Yuan, Kathy (2012) Stock market tournaments. Financial Markets Group Discussion Papers (706). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ozdenoren, Emre, Yuan, Kathy and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2022) Dynamic asset-backed security design. Financial Markets Group Discussion Papers (856). Financial Markets Group, The London School of Economics and Political Science, London, UK.

P

Paddrick, Mark, Rajan, Sriram and Young, H. Peyton (2020) Contagion in derivatives markets. Management Science, 66 (8). 3603 - 3616. ISSN 0025-1909

Paddrick, Mark and Young, H. Peyton (2021) How safe are central counterparties in credit default swap markets? Mathematics and Financial Economics, 15 (1). 41 - 57. ISSN 1862-9679

Paech, Philipp (2014) Close-out netting, insolvency law and conflict-of-laws. Journal of Corporate Law Studies, 14 (2). pp. 419-452. ISSN 1473-5970

Paech, Philipp (2013) Market needs as paradigm: breaking up the thinking on EU securities law. In: Conac, Pierre-Henri, Segna, Ulrich and Thévenoz, Luc, (eds.) Intermediated Securities: the Impact of the Geneva Securities Convention and the Future European Legislation. Cambridge University Press, Cambridge, UK, pp. 22-64. ISBN 9781107023475

Paech, Philipp (2010) Netting, Finanzmarktstabilität und Bankenrestrukturierung: Die Notwendigkeit eines internationalen zivilrechtlichen Standards zum Netting. Wm Zeitschrift Für Wirtschafts- und Bankrecht, 42. pp. 1965-1970. ISSN 0342-6971

Paech, Philipp (2011) Preliminary draft report on: the need for an international instrument on the enforceability of close-out netting in general and in the context of bank resolution. UNIDROIT study group on principles and rules on the netting of financial instruments (Study 78C - Doc. 2). UNIDROIT, Rome, Italy.

Paech, Philipp (2017) Repo and derivatives portfolios between insolvency law and regulation. LSE Law, Society and Economy Working Papers (13/2017). Department of Law, London School of Economics and Political Science, London, UK.

Paech, Philipp (2016) Securities, intermediation and the blockchain: an inevitable choice between liquidity and legal certainty? Uniform Law Review, 21 (4). 612 - 639. ISSN 1124-3694

Paech, Philipp (2011) A first tentative structure for principles regarding the enforceability of netting agreements. UNIDROIT study group on principles and rules on the netting of financial instruments (Study LXXVIII C – Doc. 3). UNIDROIT, Rome, Italy.

Paech, Philipp (2017) The governance of blockchain financial networks. Modern Law Review, 80 (6). 1073 - 1110. ISSN 0026-7961

Paech, Philipp (2016) The governance of blockchain financial networks. LSE Law, Society and Economy Working Papers (16/2017). Department of Law, London School of Economics and Political Science, London, UK.

Paech, Philipp (2015) The value of insolvency safe harbours. LSE Law, Society and Economy Working Paper Series, 9. London School of Economics and Political Science, London, UK.

Pagano, Marco and Röell, Ailsa (1991) Auction and dealership markets: what is the difference? Financial Markets Group Discussion Papers (125). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Pagasiou, Adonis (2013) Dealing with the financial crisis in light of developments in Cyprus: Europeanisation or Germanisation? LSE Greece@LSE (19 Mar 2013). Website.

Page, Frank (2016) On K-Class discounted stochastic games. Systemic Risk Centre Discussion Papers (61). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Page, Frank (2015) Stationary Markov equilibria for K-class discounted stochastic games. Systemic Risk Centre Discussion Papers (44). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Page, Frank (2016) Stationary Markov equilibria for approximable discounted stochastic games. Systemic Risk Centre Discussion Papers (60). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Pagratis, Spyros (2004) Co-ordination failure and the role of banks in the resolution of financial distress. Financial Markets Group Discussion Papers (420). Financial Markets Group, The London School of Economics and Political Science, London, UK. (Submitted)

Paipais, Vassilios (2013) Cypriot Press: ire and disenchantment over bail-out plan. Euro Crisis in the Press (17 Mar 2013). Website.

Paipais, Vassilios (2013) ‘Greek’ Expectations: broaching the case for a European Exclusive Economic Zone. Euro Crisis in the Press (14 Mar 2013). Website.

Paipais, Vassilis (2015) Greek elections 2015: a short overview. Euro Crisis in the Press (26 Jan 2015). Website.

Paipais, Vassilis (2015) So this is how it all ends…. Euro Crisis in the Press (05 Jul 2015). Website.

Paipais, Vassilis and Orsi, Roberto (2013) ‘Europe has no divine right to prosperity’ – Interview with Nick Malkoutzis. Euro Crisis in the Press (18 Jul 2013). Website.

Paipais, Vassilis and Orsi, Roberto (2013) Interview with Nikos Chrysoloras: “Europe needs to find its ambition again!”. Euro Crisis in the Press (08 Jul 2013). Website.

Pak, Lauren (2019) Can financial investments "do well" and "do good"? Blended impact:: understanding the implications of impact investing for local economic development. In: LSE Research Festival 2019: New World (Dis)Orders, 2019-02-25 - 2019-03-02, London School of Economics, London, United Kingdom.

Palermo, Tommaso (2014) Accountability and expertise in public sector risk management: a case study. Financial Accountability and Management, 30 (3). pp. 322-341. ISSN 0267-4424

Palermo, Tommaso (2015) Risk culture in financial organisations. LSE Research Festival 2015, The London School of Economics and Political Science.

Palermo, Tommaso (2016) The risk culture in financial institutions needs fixing, but how? LSE Business Review (19 Dec 2016). Website.

Palermo, Tommaso, Power, Michael ORCID: 0000-0001-8148-3953 and Ashby, Simon (2017) Navigating institutional complexity: the production of risk culture in the financial sector. Journal of Management Studies, 54 (2). 154 - 181. ISSN 0022-2380

Palermo, Tommaso and Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2011) Scenario budgeting: integrating risk and performance. Finance and Management, 184. pp. 10-13. ISSN 1471-1818

Palomino, Frédéric and Prat, Andrea (1999) Risk taking and optimal contracts for money managers. . Centre for Economic Policy Research (Great Britain), London, UK.

Pamuk, Sevket (2013) Finance in the Ottoman Empire, 1453–1854. In: Caprio, Gerard, (ed.) Handbook of Key Global Financial Markets, Institutions, and Infrastructure. Elsevier, London, pp. 197-206. ISBN 9780123978738

Panageas, Stavros (2010) Bailouts, the incentive to manage risk, and financial crises. Journal of Financial Economics, 95 (3). pp. 296-311. ISSN 0304-405X

Panageas, Stavros and Westerfield, Mark M. (2009) High-water marks: high risk appetites? convex compensation, long horizons, and portfolio choice. Journal of Finance, 64 (1). pp. 1-36. ISSN 0022-1082

Panagiotarea, Eleni (2016) The political economy of NPLs resolution: ownership and conditionality. LSE Greece@LSE (13 Oct 2016). Website.

Panagiotidis, Theodore and Printzis, Panagiotis (2019) What is the investment loss due to uncertainty? GreeSE Papers (138). London School of Economics and Political Science.

Panayi, Efstathios, Peters, Gareth W., Danielsson, Jon and Zigrandd, Jean-Pierre (2018) Designating market maker behaviour in limit order book markets. Econometrics and Statistics, 5. pp. 20-44. ISSN 2452-3062

Pandya, Param (2018) Public Sector Banks in India: revisiting regulatory and corporate governance in the light of the PNB scam. South Asia @ LSE (30 May 2018). Website.

Pang, Raymond Ka-Kay and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2023) Assessing and mitigating fire sales risk under partial information. Journal of Banking and Finance, 155. ISSN 0378-4266

Pang, Raymond Ka-kay, Granados, Oscar M., Chhajer, Harsh and Legara, Erika Fille T. (2021) An analysis of network filtering methods to sovereign bond yields during COVID-19. Physica A: Statistical Mechanics and Its Applications, 574. ISSN 0378-4371

Pani, Erica and Holman, Nancy (2014) A fetish and fiction of finance: unraveling the subprime crisis. Economic Geography, 9 (2). 213 - 235. ISSN 0013-0095

Panizza, Francisco (2014) "Everybody out," "we are fantastic:" the politics of financial crises in Argentina and Uruguay 2001-2003. In: Panizza, Francisco and Philip, George, (eds.) Moments of Truth: the Politics of Financial Crises in Comparative Perspective. Conceptualising comparative politics. Routledge, London, UK, pp. 27-46. ISBN 9780415834117

Panman, Alexandra, Madison, Ian, Kimacha, Nyambiri Nanai and Falisse, Jean Benoît (2021) Saving up for a rainy day? Savings groups and resilience to flooding in Dar es Salaam, Tanzania. Urban Forum, 33 (1). 13 - 33. ISSN 1015-3802

Panourgias, Nikiforos S. and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2002) JIWAY: a case study of IT-enabled straight-through-processing innovation in the financial markets. The Moving Markets Research Project. Information Systems Group, London School of Economics and Political Science. (Submitted)

Panthaki, Freyan (2005) Exchange rate volatility and central bank interventions. Discussion paper (550). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Papadimitriou, Dimitris and Featherstone, Kevin (2007) Between Europeanization and a Greek variety of capitalism: public policy making and structural reform in modern Greece. In: Modern Greek Studies Association Symposium @ 20, 2007-10-18 - 2007-10-21, New Haven, United States. (Submitted)

Papadimitriou, Dimitris, Tokis, Konstantinos, Vichos, Georgios and Mourdoukoutas, Panos (2023) Managing other people's money: an agency theory in financial management industry. Journal of Financial Research. ISSN 0270-2592

Pape, Fabian and Petry, Johannes (2023) East Asia and the politics of global finance: a developmental challenge to the neoliberal consensus? Review of International Political Economy. ISSN 0969-2290

Papp, Gábor, Caccioli, Fabio and Kondor, Imre (2019) Bias-variance trade-off in portfolio optimization under expected shortfall with ℓ 2 regularization. Journal of Statistical Mechanics: Theory and Experiment, 2019 (1). ISSN 1742-5468

Papp, Gábor, Kondor, Imre and Caccioli, Fabio (2021) Optimizing expected shortfall under an ℓ1 constraint—an analytic approach. Entropy, 23 (5). ISSN 1099-4300

Pappa, Evi (2004) Do the ECB and the Fed really need to cooperate? Optimal monetary policy in a two-country world. Journal of Monetary Economics, 51 (4). pp. 753-779. ISSN 0304-3932

Paprocki, Kasia ORCID: 0000-0001-5202-351X (2017) Moral and other economies: Nijera Kori and its alternatives to Microcredit. In: Bateman, Milford and MacLean, Kate, (eds.) Seduced and Betrayed: Exposing the Contemporary Microfinance Phenomenon. School for Advanced Research Advanced Seminar Series. University of New Mexico Press, New Mexico, USA. ISBN 9780826357960

Paravisini, Daniel (2008) Local bank financial constraints and firm access to external finance. Journal of Finance, 63 (5). pp. 2161-2193. ISSN 0022-1082

Paravisini, Daniel, Rappoport, Veronica and Ravina, Enrichetta (2010) Risk aversion and wealth: evidence from person-to-person lending portfolios. NBER working paper (16063). National Bureau of Economic Research, Massachusetts, USA.

Paravisini, Daniel, Rappoport, Veronica and Ravina, Enrichetta (2017) Risk aversion and wealth: evidence from person-to-person lending portfolios. Management Science, 63 (2). pp. 279-297. ISSN 0025-1909

Paravisini, Daniel, Rappoport, Veronica and Schnabl, Philipp (2017) Specialization in bank lending: evidence from exporting firms. CEP Discussion Papers (CEPDP1492). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Paravisini, Daniel, Rappoport, Veronica and Schnabl, Philipp (2023) Specialization in bank lending: evidence from exporting firms. Journal of Finance, 78 (4). 2049 - 2085. ISSN 0022-1082

Paravisini, Daniel, Rappoport, Veronica, Schnabl, Philipp and Wolfenzon, Daniel (2011) Dissecting the effect of credit supply on trade: evidence from matched credit-export data. NBER working paper (16975). National Bureau of Economic Research, Massachusetts, USA.

Paravisini, Daniel, Rappoport, Veronica, Schnabl, Philipp and Wolfenzon, Daniel (2015) Dissecting the effect of credit supply on trade: evidence from matched credit-export data. Review of Economic Studies, 82 (1). 333 - 359. ISSN 0034-6527

Pardo-Guerra, Juan Pablo (2010) Creating flows of interpersonal bits: the automation of the London Stock Exchange, c. 1955-90. Economy and Society, 39 (1). pp. 84-109. ISSN 1469-5766

Pardo-Guerra, Juan Pablo (2012) Financial automation, past, present and future. In: Knorr-Cetina, Karin and Preda, Alex, (eds.) Oxford Handbook of the Sociology of Finance. Oxford handbooks in business and management. Oxford University Press, Oxford, UK. ISBN 9780199590162

Pardo-Guerra, Juan Pablo (2010) The automated house: the digitalization of the London Stock Exchange, 1955-1990. In: Batiz-Lazo, Bernardo, Maixé-Altés, J. Carles and Thomes, Paul, (eds.) Technological Innovation in Retail Finance: International Historical Perspectives. Routledge international studies in business history. Routledge, London, UK, pp. 197-220. ISBN 9780415880671

Pardo-Guerra, Juan Pablo, Beunza, Daniel, Millo, Yuval and MacKenzie, Donald (2010) Impersonal efficiency and the dangers of a fully automated securities exchange. Foresight driver review (DR11). Foresight, London, UK.

Park, Sujin and Linton, Oliver (2012) Estimating the quadratic covariation matrix for an asynchronously observed continuous time signal masked by additive noise. Financial Markets Group Discussion Papers (703). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Parker, Jonathan A and Julliard, Christian (2005) Consumption risk and the cross-section of expected returns. Journal of Political Economy, 113 (1). pp. 185-222. ISSN 0022-3808

Parry, Jonathan (1989) On the moral perils of exchange. In: Parry, Jonathan and Bloch, Maurice, (eds.) Money and the Morality of Exchange. Cambridge University Press, Cambridge, UK, 64 - 93. ISBN 9780521367745

Parry, Jonathan and Bloch, Maurice (1989) Introduction: money and the morality of exchange. In: Parry, Jonathan and Bloch, Maurice, (eds.) Money and the Morality of Exchange. Cambridge University Press, Cambridge, UK, 1 - 32. ISBN 9780521367745

Partridge, Matthew (2011) Book review: the legacy of the crash: how the financial crisis changed America and Britain. British Politics and Policy at LSE (09 Oct 2011). Website.

Pascali, Luigi (2017) Great Divergence: The steamship gives us clues on the impacts of globalisation. LSE Business Review (24 May 2017). Website.

Patel, U. and Srivastava, P. (1997) The real exchange rate in India: determinants and targeting. CEPDP (323). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 075301095X

Paterson, Sarah (2014) Bargaining in financial restructuring: market norms, legal rights and regulatory standards. Journal of Corporate Law Studies, 14 (2). pp. 333-365. ISSN 1473-5970

Paterson, Sarah (2012) COMI: the elephant in the room. Corporate Rescue and Insolvency, 5 (4). ISSN 1756-2465

Paterson, Sarah (2020) Corporate reorganization law and forces of change. Oxford University Press, Oxford, UK. ISBN 9780198860365

Paterson, Sarah (2015) Insolvency law, restructuring law and modern financial markets. LSE Law Policy Briefing Series (8). London School of Economics and Political Science, London.

Paterson, Sarah (2013) Lodging a proof of debt and submission to jurisdiction. Corporate Rescue and Insolvency, 6 (3). ISSN 1756-2465

Paterson, Sarah (2009) LyondellBasell: the longer arm of chapter 11. Corporate Rescue and Insolvency, 2 (4). ISSN 1756-2465

Paterson, Sarah (2016) Rethinking corporate bankruptcy theory in the twenty-first century. Oxford Journal of Legal Studies, 36 (4). 697 - 723. ISSN 0143-6503

Paterson, Sarah (2015) The adaptive capacity of markets and convergence in law: UK high yield issuers, US investors and insolvency law. Modern Law Review, 78 (3). 431 - 460. ISSN 0026-7961

Paterson, Sarah (2021) The analytical boundary between corporate reorganisation and sale in corporate bankruptcy theory. In: Omar, Paul J. and Gant, Jennifer L.L., (eds.) Research Handbook on Corporate Restructuring. Research Handbooks in Private and Commercial Law. Elgar, Cheltenham, UK, 525 - 538. ISBN 9781786437464

Paterson, Sarah (2016) The paradox of alignment: agency problems and debt restructuring. European Business Organization Law Review, 17 (4). pp. 497-521. ISSN 1566-7529

Paterson, Sarah (2019) The rise of covenant-lite lending and implications for the UK’s corporate insolvency law toolbox. Oxford Journal of Legal Studies, 39 (3). 654 - 680. ISSN 0143-6503

Patnaik, Ila, Shah, Ajay and Singh, Nirvikar (2013) Foreign investors under stress: evidence from India. International Growth Centre Blog (19 Jul 2013). Website.

Patton, Andrew J. (2004) Are "market neutral" hedge funds really market neutral? Financial Markets Group Discussion Papers (522). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Patton, Andrew J. (2002) On the out-of-sample importance of skewness and asymetric dependence for asset allocation. Financial Markets Group Discussion Papers (431). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Patton, Andrew J. (2004) On the out-of-sample importance of skewness and asymmetric dependence for asset allocation. Journal of Financial Econometrics, 2 (1). pp. 130-168. ISSN 1479-8409

Patton, Andrew J. and Verardo, Michela (2012) Does beta move with news?: firm-specific information flows and learning about profitability. Review of Financial Studies, 25 (9). pp. 2789-2839. ISSN 0893-9454

Paudyn, Bartholomew (2009) The Euro at 10: europeanization, power, and convergence edited by Kenneth Dyson Oxford University Press, Oxford, 2008, 470 pp., £50, ISBN 978-0-19-920886-9 (hbk). West European Politics, 32 (6). pp. 1284-1285. ISSN 0140-2382

Paudyn, Bartholomew ORCID: 0000-0001-8587-3799 (2023) Financially engineering a “self-generative” political economy of creditworthiness: expertocratic exemption problems for sustainable debt and democracy. Competition and Change, 27 (2). 354 - 379. ISSN 1024-5294

Paudyn, Bartholomew (2009) A particular rationalisation of money and risk: the asymmetric application of the stability and growth pact. In: Rao, Katuri Nageswara, (ed.) The First Decade of Euro: Issues and Challenges. ICFAI University Press, Dehradun, India. ISBN 9788131418949

Payne, Jennifer and Howell, Elizabeth ORCID: 0000-0003-0788-9431 (2019) Financial sanctions for breach of shareholders' duties. In: Birkmose, Hanne S. and Sergakis, Konstantinos, (eds.) Enforcing Shareholders’ Duties. Elgar Financial Law. Edward Edgar, Cheltenham, UK, 170 - 191. ISBN 9781788114868

Payne, Richard (1996) Announcement effects and seasonality in the intra-day foreign exchange market. Financial Markets Group Discussion Papers (238). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Payne, Richard and Vitale, Paolo (2003) A transaction level study of the effects of central bank intervention on exchange rates. Journal of International Economics, 61 (2). pp. 331-352. ISSN 0022-1996

Pažický, Martin and Falath, Juraj (2022) The big risk now for the US is not hyperinflation, but long-term elevated inflation rates. USApp – American Politics and Policy Blog (07 Jan 2022). Blog Entry.

Pearce, Jone L. and Huang, Laura (2016) Gut feeling plays an important role in early-stage investors’ decisions. LSE Business Review (11 May 2016). Website.

Peasnell, K. V., Pope, Peter and Young, S. (2000) Detecting earnings management using cross-sectional abnormal accruals models. Accounting and Business Research, 30 (4). pp. 313-326. ISSN 0001-4788

Peasnell, K. V., Pope, Peter and Young, S. (2001) The characteristics of firms subject to adverse rulings by the Financial Reporting Review Panel. Accounting and Business Research, 31 (4). pp. 291-311. ISSN 0001-4788

Peasnell, K.V., Pope, Peter and Young, S. (2000) Accrual management to meet earnings targets: did Cadbury make a difference. British Accounting Review, 32 (4). pp. 415-445. ISSN 0890-8389

Peasnell, K.V., Pope, Peter and Young, S. (2005) Board monitoring and earnings management: do outside directors influence abnormal accruals? Journal of Business Finance and Accounting, 32 (7-8). pp. 1311-1346. ISSN 0306-686X

Peasnell, Kenneth V., Pope, Peter and Young, Steven (2003) Managerial equity ownership and the demand for outside directors. European Financial Management, 9 (2). pp. 231-250. ISSN 1354-7798

Pegasiou, Adonis (2012) Blame game persists as Cyprus’s quest for a bailout has turned into a saga. LSE Greece@LSE (21 Sep 2012). Website.

Pelletier, Adeline (2018) Internal capital market practices of multinational banks evidence from South Africa. Journal of Banking and Finance, 90. pp. 131-145. ISSN 0378-4266

Pelletier, Adeline (2015) International transmission of shocks via internal capital markets of multinational banks: evidence from South Africa. Africa at LSE (30 Nov 2015). Website.

Pelletier, Adeline (2018) Performance of foreign banks in developing countries: evidence from sub-Saharan African banking markets. Journal of Banking and Finance, 88. pp. 292-311. ISSN 0378-4266

Pelletier, Adeline, Khavul, Susanna and Estrin, Saul ORCID: 0000-0002-3447-8593 (2019) Innovations in emerging markets: the case of mobile money. Industrial and Corporate Change. ISSN 0960-6491

Penaranda, Francisco (2007) Portfolio choice beyond the traditional approach. Financial Markets Group Discussion Papers (587). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Peng, Cameron and Wang, Chen (2021) Factor demand and factor returns. Financial Markets Group Discussion Papers (829). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Peng, Cheng (2017) Investor behavior under the law of small numbers. . SSRN.

Peng, Cheng and Wang, Chen (2019) Positive feedback trading and stock prices: evidence from mutual funds. . SSRN.

Pepper, Alexander ORCID: 0000-0003-4927-809X (2012) Senior executive reward: key models and practices. Gower Publishing Company, Farnham, Surrey, UK. ISBN 9781409458975

Pepper, Alexander ORCID: 0000-0003-4927-809X (2013) Written evidence given by Professor Alexander Pepper of the London School of Economics and Political Science to the UK Parliamentary Commission on banking standards. . Department of Management, London School of Economics and Political Science. (Submitted)

Pepper, Alexander ORCID: 0000-0003-4927-809X (2011) The labour institutions of the London financial markets before and after 27th October 1986. In: British Academy of Management Human Resource Management Special Interest Group Research Workshop, 2011-05-05 - 2011-05-06, Royal Holloway University of London, London, United Kingdom. (Submitted)

Pepper, Alexander ORCID: 0000-0003-4927-809X and Gore, Julie (2011) Towards a behavioral agency theory: new micro-foundations for theorising about executive reward. In: 3rd European Reward Management Conference (RMC 2011): Reward Management in Turbulent Times, 2011-12-01 - 2011-12-02, Brussels, Belgium. (Submitted)

Pepper, Alexander ORCID: 0000-0003-4927-809X and Gore, Julie (2012) Towards a behavioral agency theory: new micro-foundations for theorising about executive reward. In: SABE Conference 2012 (Society for the Advancement of Behavorial Economics), 2012-07-12 - 2012-07-15, Universidad de Granada, Spain. (Submitted)

Pepper, Alexander ORCID: 0000-0003-4927-809X, Gosling, T. and Gore, Julie (2013) Fairness as a precondition for profit-seeking: the limits of incentives. In: Behavioral economics: at Trento-based Fondazione Bruno Kessler, a two day event on Science, Philosophy and Policy-making, 2013-10-17 - 2013-10-18, University of Trento, Italy. (Submitted)

Pepper, Alexander ORCID: 0000-0003-4927-809X, Gosling, T. and Gore, Julie (2013) Fairness as a precondition for profit-seeking: the limits of incentives. In: 4th European Reward Management Conference (RMC 2013): Managing rewards: what can we learn from a comparative approach?, 2013-12-02 - 2013-12-03, Brussels, Belgium. (Submitted)

Perez, Beatrice, Machado, Sara ORCID: 0000-0002-9287-8165, Andrews, Jerone and Kourtellis, Nicolas (2022) I call BS: fraud detection in crowdfunding campaigns. In: WebSci 2022 - Proceedings of the 14th ACM Web Science Conference. ACM International Conference Proceeding Series. Association for Computing Machinery, New York, NY, pp. 1-11. ISBN 9781450391917

Perez Villar, Lucia, Seric, Adnan and Krieger-Boden, Christiane (2016) Does South-South FDI Pay? International Growth Centre Blog (31 May 2016). Website.

Perez-Quiros, Gabriel and Timmermann, Allan (2000) Business cycle asymmetries in stock returns: evidence from higher order moments and conditional densities. Financial Markets Group Discussion Papers (360). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Perez-Quiros, Gabriel and Timmermann, Allan (1999) Firm size and cyclical variations in stock returns. Financial Markets Group Discussion Papers (335). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Perla Diógenes de Aquino, Jania (2019) Pioneers: the PCC and specialization in the market of major robberies. Journal of Illicit Economies and Development, 1 (2). 193–203. ISSN 2516-7227

Perna, Pierpaolo (2012) Book review: Financial crisis and institutional change in East Asia. LSE Review of Books (06 Nov 2012). Website.

Perrone, Nicolás Marcelo (2010) 2009, A crisis year: Foreign investment in Latin America. International Affairs at LSE (07 Jul 2010). Website.

Perrons, Diane (2012) 'Global' financial crisis, earnings inequalities and gender: towards a more sustainable model of development. Comparative Sociology, 11 (2). pp. 202-226. ISSN 1569-1322

Pesaran, M. and Timmermann, Allan (1999) A recursive modelling approach to predicting UK stock returns. Financial Markets Group Discussion Papers (322). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Pesaran, M. Hashem and Timmermann, Allan (2002) Market timing and return prediction under model instability. Financial Markets Group Discussion Papers (412). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Pesendorfer, Martin (2003) Horizontal mergers in the paper industry. RAND Journal of Economics, 34 (1). pp. 495-515. ISSN 0741-6261

Pesendorfer, Martin (2005) Mergers under entry. RAND Journal of Economics, 36 (3). pp. 661-679. ISSN 0741-6261

Pesendorfer, Martin (2002) Retail sales: a study of pricing behavior in supermarkets. Journal of Business, 75 (1). pp. 33-66. ISSN 0740-9168

Peterman, Amber, Palermo, Tia M. and Ferrari, Giulia ORCID: 0000-0002-1670-4905 (2018) Still a leap of faith: microfinance initiatives for reduction of violence against women and children in low-income and middle-income countries. BMJ Global Health, 3 (6). ISSN 2059-7908

Petter, James (2018) Data in the age of increasing nationalism and trade disruption. LSE Business Review (29 Jan 2018). Website.

Peñaranda, Francisco (2003) Evaluation of joint density forecasts of stock and bond returns: predictability and parameter uncertainty. Financial Markets Group Discussion Papers (458). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Peñaranda, Francisco and Micola, Augusto (2011) On the drivers of commodity co-movement: evidence from biofuels. Financial Markets Group Discussion Papers (695). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Phelan, C. E., Marazzina, D. and Germano, G. (2020) Pricing methods for α-quantile and perpetual early exercise options based on Spitzer identities. Quantitative Finance, 20 (6). 899 - 918. ISSN 1469-7688

Phillips, Lawrence D. (2009) Moving away from traditional budgeting. In: Qfinance: The Ultimate Resource. Bloomsbury (Firm), London. ISBN 9781849300001

Phillips, Lawrence D. and Bana e Costa, Carlos A. (2005) Transparent prioritisation, budgeting and resource allocation with multi-criteria decision analysis and decision conferencing. Operational Research working papers (LSEOR 05.75). Department of Operational Research, London School of Economics and Political Science, London, UK. ISBN 0753016974

Piaskowski, Henry (2015) Book review: monetary policy operations and the financial system by Ulrich Bindseil. LSE Review of Books (23 Jan 2015). Website.

Piccione, Michele and Spiegler, Ran (2014) Manipulating market sentiment. Economics Letters, 122 (2). pp. 370-373. ISSN 0165-1765

Pickard, Linda, Comas-Herrera, Adelina ORCID: 0000-0002-9860-9062, Costa-i-Font, Joan ORCID: 0000-0001-7174-7919, Gori, Cristiano, di Maio, Alessandra, Patxot, Concepció, Pozzi, Alessandro, Rothgang, Heinz and Wittenberg, Raphael ORCID: 0000-0003-3096-2721 (2007) Modelling an entitlement to long-term care services for older people in Europe: projection for long-term care expenditure to 2050. Journal of European Social Policy, 17 (1). pp. 33-48. ISSN 0958-9287

Pickup, Francine and Uno, Tomoyuki (2016) Social finance: a new frontier for development in Indonesia. LSE Business Review (07 Dec 2016). Website.

Pieczara, Kamila (2012) Equality through the crisis, in Europe as in Asia. International Affairs at LSE (25 May 2012). Website.

Pieczara, Kamila (2012) How to spend it: Dividing the fruits of development in Asia. International Affairs at LSE (09 Feb 2012). Website.

Pieczara, Kamila (2014) A new development bank, an old dream coming true. International Affairs at LSE (25 Jul 2014). Website.

Pigounidès, Vassily (2013) Revenue management. In: LSE Research Festival 2013: Exploring Research Stories Through Visual Images, 2013-03-01, London, United Kingdom. (Submitted)

Piketty, Thomas (1992) Imperfect capital markets and persistence of initial wealth inequalities. TE (255). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Pinzur, David (2021) Infrastructure, ontology and meaning: the endogenous development of economic ideas. Social Studies of Science, 51 (6). 914 - 937. ISSN 0306-3127

Pinzur, David (2016) Making the grade: infrastructural semiotics and derivative market outcomes on the Chicago Board of Trade and New Orleans Cotton Exchange, 1856–1909. Economy and Society, 45 (3-4). 431 - 453. ISSN 0308-5147

Pissarides, Christopher (1980) Book review: E. Fama, foundations of finance: portfolio decisions and security prices. Economica, 47 (188). pp. 484-485. ISSN 0013-0427

Pissarides, Christopher (1980) Book review: J.Niehans, the theory of money. Economica, 47 (188). pp. 485-487. ISSN 0013-0427

Pissarides, Christopher (1980) Book review: K.Nagatani, monetary theory. Economica, 47 (188). pp. 485-487. ISSN 0013-0427

Pissarides, Christopher (1990) Comments on S. Holden and A. Rodseth, “Wage formation in Norway”. In: Wage Formation and Macroeconomic Policy in the Nordic Countries. Oxford University Press, Stockholm, Sweden, pp. 281-283. ISBN 9789171503688

Pissarides, Christopher (2000) Monetary and fiscal policy with and without the Euro. Ekonomia, 4 (1). pp. 1-18. ISSN 1025-5508

Pissarides, Christopher ORCID: 0000-0002-0695-058X, Meghir, Costas, Vayanos, Dimitri and Vettas, Nikolaos (2023) A growth strategy for the Greek economy. CEPR Press, Paris, FR. ISBN 9781912179817

Pistor, Katharina, Keinan, Yoram, Kleinheisterkamp, Jan ORCID: 0000-0003-4037-8860 and West, Mark D. (2002) The evolution of corporate law: a cross-country comparison. University of Pennsylvania Journal of International Economic Law, 23 (4). pp. 791-871. ISSN 1086-7872

Pistor, Katharina and Xu, Cheng-Gang (2002) Law enforcement under incomplete law: theory and evidence from financial market regulation. . Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Pitroda, Sam and Campion, Mukti Jain (2016) “We need a new world economic order. The old systems do not serve the needs of the information society” – Sam Pitroda. South Asia @ LSE (23 Mar 2016). Website.

Plantin, Guillaume (2003) Does reinsurance need reinsurers? Financial Markets Group Discussion Papers (447). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Plantin, Guillaume (2003) Self-fulfilling liquidity and the coordination premium. Financial Markets Group Discussion Papers (448). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Plantin, Guillaume (2003) Tranching. Financial Markets Group Discussion Papers (449). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Plantin, Guillaume and Song Shin, Hyun (2014) Destabilizing carry trades. Systemic Risk Centre Discussion Papers (17). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Plato-Shinar, Ruth (2013) Israeli banks bear conduct costs as well. Conduct Costs Blog (25 Nov 2013). Website.

Plomien, Ania ORCID: 0000-0001-5883-2297 (2021) For business’ sake: gender equality policies and the UK banking and finance sector. In: Schenger, Simone, Abramowski, Ruth, Dingeldey, Irene, Hokema, Anna and Schäfer, Andrea, (eds.) Geschlechterungleichheiten in Arbeit, Wohlfahrtsstaat und Familie: Gender inequalities in work, the welfare state and the family. Campus Verlag, Frankfurt, Germany, pp. 221-247. ISBN 9783593448022

Plümper, Thomas and Neumayer, Eric ORCID: 0000-0003-2719-7563 (2008) Exchange rate regime choice with multiple key currencies. PSPE working papers (05-2008). Department of Government, London School of Economics and Political Science, London, UK.

Plümper, Thomas and Neumayer, Eric ORCID: 0000-0003-2719-7563 (2011) Fear of floating and de facto exchange rate pegs with multiple key currencies. International Studies Quarterly, 55 (4). pp. 1121-1142. ISSN 0020-8833

Poblete Lavanchy, Joaquin J. (2012) Financial contracts and the size of start-ups. Journal of Economics and Management Strategy. ISSN 1058-6407 (Submitted)

Poblete Lavanchy, Joaquin J. and Spulber, Daniel F. (2012) The form of incentive contracts: agency with moral hazard, risk neutrality and limited liability. RAND Journal of Economics, 43 (2). pp. 215-234. ISSN 0741-6261

Poledna, Sebastian, Martínez-Jaramillo, Serafín, Caccioli, Fabio and Thurner, Stefan (2021) Quantification of systemic risk from overlapping portfolios in the financial system. Journal of Financial Stability, 52. ISSN 1572-3089

Polk, Christopher and Campbell, John Y. (2013) Nobel 2013 economics: predicting asset prices. Nature, 504 (7478). p. 97. ISSN 0028-0836

Polk, Christopher and Sapienza, Paola (2009) The stock market and corporate investment: a test of catering theory. Review of Financial Studies, 22 (1). pp. 187-217. ISSN 0893-9454

Polk, Christopher, Thompson, Samuel and Vuolteenaho, T (2006) Cross-sectional forecasts of the equity premium. Journal of Financial Economics, 81 (1). pp. 101-141. ISSN 0304-405X

Polner, Gergely and Ryan, John (2015) Capital Markets Union: a work in progress quick and high impact measures for the Capital Markets Union. European Policy Briefs (37). Egmont Institute, Brussels, Belgium.

Pon, Bruce (2016) Blockchain will usher in the era of decentralised computing. LSE Business Review (14 Apr 2016). Website.

Pontes de Arruda, Bruno and Valls Pereira, Pedro L. (2013) Analysis of the volatility's dependency structure during the subprime crisis. Applied Economics, 45 (36). pp. 5031-5045. ISSN 0003-6846

Pool, Veronika K., Yonker, Scott E. and Stoffman, Noah (2016) Socially connected fund managers share investment ideas. LSE Business Review (27 Jan 2016). Website.

Poon, Martha (2014) Review essay: can anthropology save finance? Journal of Cultural Economy, 7 (1). pp. 121-126. ISSN 1753-0350

Poon, Ser-Huang and Pope, Peter (2000) Trading volatility spreads: a test of index option market efficiency. European Financial Management, 6 (2). pp. 235-260. ISSN 1354-7798

Pope, Peter (2010) Bridging the gap between accounting and finance. British Accounting Review, 42 (2). pp. 88-102. ISSN 0890-8389

Pope, Peter (2003) Discussion of disclosure practices, enforcement of accounting standards, and analysts' forecast accuracy: an international study. Journal of Accounting Research, 41 (2). pp. 273-283. ISSN 0021-8456

Pope, Peter (2001) Discussion of the relation between incremental subsidiary earnings and future stock returns in Japan. Journal of Business Finance and Accounting, 28 (9-10). pp. 1109-1113. ISSN 0306-686X

Pope, Peter (2005) Discussion—accruals, accounting-based valuation models, and the prediction of equity values. Journal of Accounting, Auditing and Finance, 20 (4). pp. 347-354. ISSN 0148-558X

Pope, Peter and Florou, Annita (2008) Are boards and institutional investors active monitors? evidence from CEO dismissal. Managerial Auditing Journal, 9 (23). pp. 862-872. ISSN 0268-6902

Pope, Peter and McLeay, Stuart J. (2011) The European IFRS experiment: objectives, research challenges and some early evidence. Accounting and Business Research, 41 (3). pp. 233-266. ISSN 0001-4788

Pope, Peter and Walker, Martin (1999) International differences in the timeliness, conservatism, and classification of earnings. Journal of Accounting Research, 37 (Suppl.). pp. 53-87. ISSN 0021-8456

Pope, Peter and Wang, Pengguo (2003) Discussion of positive (zero) NPV projects and the behaviour of residual earnings. Journal of Business Finance and Accounting, 30 (1-2). pp. 17-24. ISSN 1468-5957

Pope, Peter and Wang, Pengguo (2005) Earnings components, accounting bias and equity valuation. Review of Accounting Studies, 10 (4). pp. 387-407. ISSN 1380-6653

Pope, Shawn and Bromley, Patricia (2022) Who is ‘Davos man’ today? LSE Business Review (10 May 2022). Blog Entry.

Portes, Jonathan and Wren-Lewis, Simon (2014) Issues in the design of fiscal policy rules. CFM discussion paper series (CFM-DP2014-12). Centre For Macroeconomics, London, UK.

Posen, Adam S. (2017) Adam Posen: ‘There are many echoes between Brexiteers and the Trump way of thinking’. LSE Business Review (02 Oct 2017). Blog Entry.

Postel-Vinay, Natacha (2017) Debt dilution in 1920s America: lighting the fuse of a mortgage crisis. Economic History Review, 70 (2). 559 - 585. ISSN 0013-0117

Postel-Vinay, Natacha (2011) From a “normal recession” to the “Great Depression”: finding the turning point in Chicago bank portfolios, 1923-1933. Economic History Working Papers (151/11). Department of Economic History, London School of Economics and Political Science, London, UK.

Postel-Vinay, Natacha (2016) Real estate bubbles leading to bank troubles — 2008? Not exactly. LSE Business Review (06 Jul 2016). Website.

Postel-Vinay, Natacha (2014) The experience of the U.S. Great Depression suggests parallels between 1920s mortgage lending and the recent financial crisis. LSE American Politics and Policy (18 Jul 2014). Website.

Postel-Vinay, Natacha and Collet, Stephanie (2023) Hot money inflows and bank risk-taking: Germany from the 1920s to the Great Depression. Economic History Review. ISSN 0013-0117

Poulsen, Lauge N. Skovgaard and Aisbett, Emma (2013) When the claim hits: bilateral investment treaties and bounded rational learning. World Politics, 65 (2). pp. 273-313. ISSN 0043-8871

Poulsen, Taudal and Ponte, Stefano (2015) Maritime shipping must come to grips with its CO2 emissions. LSE Business Review (27 Nov 2015). Website.

Powell, Matt (2013) Full Fibre Future: Broadband Stakeholders and Communities Investing where Government Plans Lacking. Media Policy Blog (07 Jun 2013). Website.

Power, Anne (1994) The audit explosion. Demos (Organization : London, England), London, UK. ISBN 1898309302

Power, Michael ORCID: 0000-0001-8148-3953 (2012) Accounting and finance. In: Knorr Cetina, Karin and Preda, Alex, (eds.) The Oxford Handbook of the Sociology of Finance. Oxford handbooks in business and management. Oxford University Press, Oxford, UK. ISBN 9780199590162

Power, Michael ORCID: 0000-0001-8148-3953 (2010) Fair value accounting, financial economics and the transformation of reliability. Accounting and Business Research, 40 (3, Sp.). pp. 197-210. ISSN 0001-4788

Power, Michael ORCID: 0000-0001-8148-3953 (2019) Infrastructures of traceability. In: Kornberger, Martin, Bowker, Geoffrey, Pollock, Neil, Miller, Peter, Mennicken, Andrea, Randa Nucho, Joanne and Elyachar, Julia, (eds.) Thinking Infrastructures. Research in the Sociology of Organizations. Emerald Group Publishing, Bingley, UK, pp. 115-130. ISBN 9781787695580

Power, Michael ORCID: 0000-0001-8148-3953 (2011) Preparing for financial surprise. Journal of Contingencies and Crisis Management, 19 (1). pp. 28-31. ISSN 0966-0879

Power, Sam (2016) The London Anti-Corruption Summit: one good day is not enough. LSE European Politics and Policy (EUROPP) Blog (13 May 2016). Website.

Pozo, Susan (2014) Women and men with international experience earn 5 and 2.5 percent more than their U.S.-born counterparts with none. LSE American Politics and Policy (Jul 2014). Website.

Pradhan, Manoj and Goodhart, C. A. E. (2021) Friedman vs Phillips: a historic divide. VoxEU.

Pradhan, Manoj, Goodhart, Charles and Drozdzik, Patryk (2016) Global issues: life after debt. . Morgan Stanley Research, New York, USA.

Prat, Andrea (2000) An economic analysis of campaign finance. World Economics, 1 (2). pp. 13-27. ISSN 1468-1838

Prat, Andrea (2009) A political economy view of financial regulation. Vox (09 Mar 2009). Website.

Prat, Andrea and Dasgupta, Amil ORCID: 0000-0001-8474-9470 (2005) Reputation and asset prices: a theory of information cascades and systematic mispricing. In: Workshop on Informational Herding Behavior, 2005-09-16 - 2005-09-18, Hillerød, Denmark. (Submitted)

Prata Castelo, Leonor (2015) The mirage of self-finance in UK higher education; or how to keep non-elites out. Researching Sociology (13 Nov 2015). Website.

Preis, Tobias, Bardoscia, Marco, Caccioli, Fabio, Perotti, Juan Ignacio, Vivaldo, Gianna and Caldarelli, Guido (2016) Distress propagation in complex networks: the case of non-linear DebtRank. PLOS ONE, 11 (10). e0163825. ISSN 1932-6203

Prigent, Jean-Luc, Renault, Olivier and Scaillet, Olivier (2000) An auto-regressive conditional binomial option pricing model. Financial Markets Group Discussion Papers (364). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Prigent, Jean-Luc, Renault, Olivier and Scaillet, Olivier (2001) An empirical investigation into credit spread indices. Journal of Risk, 3 (3). pp. 27-56. ISSN 1465-1211

Putzel, James and Wade, Robert Hunter (2015) ID Professors speak out on Greek exit. International Development (19 Jun 2015). Website.

Q

Qian, Yingyi, Roland, Gerard and Xu, Cheng-Gang (2001) Attribute coordination in organizations. Annals of Economics and Finance, 2 (2). pp. 487-518. ISSN 1529-7373

Qin, Fei, Mickiewicz, Tomasz and Estrin, Saul ORCID: 0000-0002-3447-8593 (2022) Homophily and peer influence in early-stage new venture informal investment. Small Business Economics, 59 (1). 93 - 116. ISSN 0921-898X

Quah, Danny (1993) Exploiting cross section variation for unit root inference in dynamic data. Financial Markets Group Discussion Papers (171). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Quah, Danny (2016) Is China’s Collapse Finally at Hand? Danny Quah. International Development (28 Jan 2016). Website.

Quah, Danny (2011) The global economy’s shifting centre of gravity. Global Policy, 2 (1). 3 - 9. ISSN 1758-5880

Quinlan, Tara Lai (2014) Insights on inequality: Danny Dorling’s lecture on ‘inequality and the 1%: what goes wrong when the rich become too rich?’. Researching Sociology (14 Nov 2014). Website.

R

Rabin, Matthew and Vayanos, Dimitri (2010) The gambler's and hot-hand fallacies: theory and applications. Review of Economic Studies, 77 (2). pp. 730-778. ISSN 0034-6527

Rady, Sven (1995) Option pricing with a quadratic diffusion term. Financial Markets Group Discussion Papers (226). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rady, Sven (1994) State prices implicit in valuation formulae for derivative securities: a martingale approach. Financial Markets Group Discussion Papers (181). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Raghunandan, Aneesh ORCID: 0000-0003-0443-4984 (2018) Misreporting, Regulatory Disclosure, and the Revolving Door. .

Raghunandan, Aneesh ORCID: 0000-0003-0443-4984 and Rajgopal, Shiva (2022) Do ESG funds make stakeholder-friendly investments? Review of Accounting Studies, 27 (3). 822 - 863. ISSN 1380-6653

Rahi, Rohit ORCID: 0000-0001-6887-9160 (2019) Information acquisition with heterogeneous valuations. Financial Markets Group Discussion Papers (787). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Gottardi, Piero (2012) Risk-sharing and retrading in incomplete markets. .

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2006) Arbitrage networks. In: Decentralization Conference, 2006-04-06 - 2006-04-08, Paris, France. (Submitted)

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2008) Arbitrage networks. . Rohit Rahi and Jean-Pierre Zigrand, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2009) Endogenous liquidity and contagion. Financial Markets Group Discussion Papers (637). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2018) Information acquisition, price informativeness and welfare. Systemic Risk Centre Discussion Papers (77). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2018) Information acquisition, price informativeness, and welfare. Journal of Economic Theory, 177. pp. 558-593. ISSN 1095-7235

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2020) Market fragmentation and contagion. Systemic Risk Centre Discussion Papers (102). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2013) Market quality and contagion in fragmented markets. Systemic Risk Centre Discussion Papers (2). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2009) Strategic financial innovation in segmented markets. Review of Financial Studies, 22 (8). pp. 2941-2971. ISSN 0893-9454

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2004) Strategic financial innovation in segmented markets. . Centre for Economic Policy Research (Great Britain), London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2007) Strategic financial innovation in segmented markets. Financial Markets Group Discussion Papers (595). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2004) Strategic financial innovation in segmented markets. Financial Markets Group Discussion Papers (520). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2014) Walrasian foundations for equilibria in segmented markets. Mathematics and Financial Economics, 8 (3). 249 - 264. ISSN 1862-9679

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2013) Walrasian foundations for equilibria in segmented markets. Systemic Risk Centre Discussion Papers (6). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Rahi, Rohit ORCID: 0000-0001-6887-9160 and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2007) A theory of strategic intermediation and endogenous liquidity. . Rohit Rahi and Jean-Pierre Zigrand, London, UK.

Rahwan, Zoe, Yoeli, Erez and Fasolo, Barbara ORCID: 0000-0002-4643-5689 (2019) Heterogeneity in banker culture and its influence on dishonesty. Nature, 575 (7782). 345 - 349. ISSN 0028-0836

Raik, Kristi (2013) Finland turns humble as its economic outlook worsens. Euro Crisis in the Press (19 Aug 2013). Website.

Ramadiah, Amanah, Caccioli, Fabio and Fricke, Daniel (2019) Reconstructing and stress testing credit networks. Systemic Risk Centre Discussion Papers (89). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Raman, Kartik, Shivakumar, Lakshmanan and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2013) Target’s earnings quality and bidders’ takeover decisions. Review of Accounting Studies, 18 (4). pp. 1050-1087. ISSN 1380-6653

Ramella, Marcelo (2016) Untied to economic fluctuations, insurers are less likely to generate systemic risks. LSE Business Review (08 Sep 2016). Website.

Ranger, Nicola, Surminski, Swenja and Silver, Nick (2011) Open questions about how to address ‘loss and damage’ from climate change in the most vulnerable countries: a response to the Cancún Adaptation Framework. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment policy papers. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Rappoport, Veronica (2009) Persistence of dollarization after price stabilization. Journal of Monetary Economics, 56 (7). pp. 979-989. ISSN 0304-3932

Raskin, Max and Yermack, David (2016) Central banks of developing nations should issue digital currency. LSE Business Review (22 Nov 2016). Website.

Ray, Walker, Droste, Michael and Gorodnichenko, Yuriy (2023) Unbundling quantitative easing: taking a cue from treasury auctions. Journal of Political Economy. ISSN 0022-3808 (In Press)

Razzano, Matthew J. (2020) How the federal government can learn from green bank innovation in the states. USApp-American Politics and Policy Blog (20 Apr 2020). Blog Entry.

Read, Daniel, Airoldi, Mara and Loewe, G (2005) Intertemporal tradeoffs priced in interest rates and amounts: a study of method variance. Operational Research working papers (LSEOR 05.77). Department of Operational Research, London School of Economics and Political Science, London, UK. ISBN 0753016990

Redding, Stephen (2007) Discussion ['Tax and public input competition' by Agnes Benassy-Quere, Nicolas Gobalraja and Alain Trannoy]. Economic Policy, 22 (50). pp. 420-422. ISSN 0266-4658

Redert, Bas (2016) Big money buys influence in Brussels. Or does it? Democratic Audit UK (06 Dec 2016). Website.

Redford, Kate (2015) UN FORUM SERIES – rhetoric of corporate responsibility is not enough: corporations must walk the walk, not just talk the talk. Measuring Business and Human Rights (30 Nov 2015). Website.

Reeder, Neil, Jones, Gemma Rocyn, Loder, John and Colantonio, Andrea (2014) Measuring impact: preliminary insights from interviews with impact investors. . LSE Cities, London, UK.

Reeder, Neil, Mulgan, Geoff, Aylott, Mhairi and Bo’sher, Luke (2012) Social impact investment: the opportunity and challenge of social impact bonds. . The Young Foundation, London, UK.

Regan, Aidan (2012) Cutting taxes is a largely ineffective strategy for attracting foreign investment. European Politics and Policy at LSE (19 Dec 2012). Website.

Reinhart, Carmen M., Végh, Carlos A. and Velasco, Andres ORCID: 0000-0003-0441-5062 (2008) Money, crises, and transition: essays in honor of Guillermo A. Calvo. MIT Press, Cambridge, MA. ISBN 9780262182669

Reinsberg, Bernhard, Kern, Andreas and Rau-Göhring, Matthias (2021) When central bank independence becomes a condition for International Monetary Fund loans. LSE Business Review (30 Sep 2021). Blog Entry.

Reis, Ricardo (2017) Can the central bank alleviate fiscal burdens? . Centre for Macroeconomics, The London School of Economics and Political Science, London, UK.

Reis, Ricardo (2018) Can the central bank alleviate fiscal burdens? In: Mayers, David G., Siklos, Pierre L. and Sturm, Jan-Egbert, (eds.) The Oxford Handbook of the Economics of Central Banking. Oxford University Press, Oxford, UK, 131 - 170. ISBN 9780190626198

Reis, Ricardo (2018) Central banks going long. CFM Discussion Paper Series (CFMDP2018-10). Centre for Macroeconomics, The London School of Economics and Political Science, London, UK.

Reis, Ricardo (2018) Comment on “Inflation Expectations – a Policy Tool?” by Olivier Coibion, Yuriy Gorodnicheko, Saten Kumar and Mathieu Pedemonte. In: Price and wage-setting in advanced economies. European Central Bank, Frankfurt am Main, Germany, pp. 152-163.

Reis, Ricardo (2015) Comment on: “when does a central bank’s balance sheet require fiscal support?” by Marco Del Negro and Christopher A. Sims. Journal of Monetary Economics, 73. pp. 20-25. ISSN 0304-3932

Reis, Ricardo (2018) Discussion of "sovereign default and monetary policy tradeoffs" by Huixin Bi, Eric Leeper, and Campbell Leith. International Journal of Central Banking. ISSN 1815-4654

Reis, Ricardo (2016) Funding quantitative easing to target inflation. CFM discussion paper series (CFM-DP2016-26). Centre For Macroeconomics, London, UK.

Reis, Ricardo (2016) Funding quantitative easing to target inflation. Discussion papers (DP11505). Centre for Economic Policy Research (Great Britain), London, UK.

Reis, Ricardo (2016) Funding quantitative easing to target inflation. In: Designing Resilient Monetary Policy Frameworks for the Future, 2016-08-25 - 2016-08-27, Jackson Hole, United States.

Reis, Ricardo (2015) Looking for a success: the euro crisis adjustment programs. Brookings Papers on Economic Activity, Fall. pp. 443-458. ISSN 0007-2303

Reis, Ricardo (2018) Preferencia de los bancos centrales por el largo plazo. Journal Economía Chilena, 21 (2). pp. 46-81.

Reis, Ricardo (2016) QE in the future: the central bank's balancesheet in a fiscal crisis. CFM discussion paper series (CFM-DP2016-20). Centre For Macroeconomics, London, UK.

Reis, Ricardo (2017) QE in the future: the central bank’s balance sheet in a fiscal crisis. IMF Economic Review, 65 (1). 71 - 112. ISSN 2041-4161

Reis, Ricardo (2020) The anchoring of long-run inflation expectations today. In: Inflation dynamics in Asia and the Pacific. BIS Papers (111). Bank for International Settlements, Basel, Switzerland, pp. 11-20.

Reis, Ricardo (2021) The constraint on public debt when r < g but g < m. BIS Working Papers (939). Bank for International Settlements, Basel, CH.

Reis, Ricardo (2021) The fiscal footprint of macroprudential policy. In: Pastén, Ernesto and Reis, Ricardo, (eds.) Independence, Credibility, and Communication of Central Banking. Series on Central Banking, Analysis, and Economic Policies (28). Central Bank of Chile, Santiago, CL, 145 - 184. ISBN 9789567421695

Reis, Ricardo (2019) The second decade of the euro: old challenges in new clothes. In: 20 years of economic and monetary union. European Central Bank, Frankfurt am Main, Germany, pp. 132-141.

Reis, Ricardo (2019) A solution to sudden stops. Finance and Development. ISSN 0145-1707

Rendahl, Pontus (2014) Fiscal policy in an unemployment crisis. CFM discussion paper series (CFM-DP2014-5). Centre For Macroeconomics, London, UK.

Repullo, Rafael (2013) Cyclical adjustment of capital requirements: a simple framework. Systemic Risk Centre Discussion Papers (3). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Rey, H. (1997) International trade and currency exchange. CEPDP (322). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Rheinlander, Thorsten (2005) An entropy approach to the Stein and Stein model with correlation. Finance and Stochastics, 9 (3). pp. 399-413. ISSN 0949-2984

Rheinlander, Thorsten and Osterrieder, Jörg R (2006) Arbitrage opportunities in diverse markets via a non-equivalent measure change. Annals of Finance, 2 (3). pp. 287-301. ISSN 1614-2446

Riani, Marco, Corbellini, Aldo and Atkinson, Anthony C. (2018) The use of prior information in very robust regression for fraud detection. International Statistical Review, 86 (2). pp. 205-218. ISSN 0306-7734

Rickard, Stephanie ORCID: 0000-0001-7886-9513 (2012) British public opinion favours bailouts for countries that have strong economic ties to the UK. British Politics and Policy at LSE (11 Oct 2012). Website.

Rickard, Stephanie ORCID: 0000-0001-7886-9513 (2012) British public opinion favours bailouts for countries that havestrong economic ties to the UK. LSE European Politics and Policy (EUROPP) Blog (11 Oct 2012). Website.

Rickard, Stephanie ORCID: 0000-0001-7886-9513 (2006) The costs of risk: examining the missing link between globalization and social spending. Discussion Paper (185). Institute for International Integration Studies, Trinity College Dublin, Dublin, Republic of Ireland.

Rickard, Stephanie J. ORCID: 0000-0001-7886-9513 and Caraway, Teri L. (2019) International demands for austerity: examining the impact of the IMF on the public sector. Review of International Organizations, 14 (1). pp. 35-57. ISSN 1559-7431

Riello, Giorgio and O'Brien, Patrick (2004) Reconstructing the Industrial Revolution: analyses, perceptions and conceptions of Britain’s precocious transition to Europe’s first industrial society. Economic History Working Papers (84/04). Department of Economic History, London School of Economics and Political Science, London, UK.

Riley, Rebecca, Rosazza Bondibene, Chiara and Young, Garry (2014) Productivity dynamics in the Great Stagnation: evidence from British businesses. CFM discussion paper series (CFM-DP2014-7). Centre For Macroeconomics, London, UK.

Rin, Marco and Hellman, Thomas (2000) Banks as catalysts for industrialization. Financial Markets Group Discussion Papers (343). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Ritschl, Albrecht (2023) Krieg, Verteilungskonflikt, Reparationen: die deutsche Inflation von 1920 bis 1923. Wirtschaftsdienst, 103 (2). 90 - 93. ISSN 0043-6275

Ritschl, Albrecht (2012) War 2008 das neue 1929? Richtige und falsche Vergleiche zwischen der Grossen Depression der 1930er Jahre und der Grossen Rezession von 2008. Perspektiven der Wirtschaftspolitik, 13 (S1). 36 - 57. ISSN 1465-6493

Ritschl, Albrecht (2009) War 2008 das neue 1931? Aus Politik und Zeitgeschichte, 69 (20). pp. 27-32. ISSN 0479-611X

Ritschl, Albrecht and Salferaz, Samad (2010) Crisis?: What crisis?: currency vs. banking in the financial crisis of 1931. CEP Discussion Paper (977). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Ritschl, Albrecht and Sarferaz, Samad (2014) Currency versus banking in the financial crisis of 1931. International Economic Review, 55 (2). 349 - 373. ISSN 0020-6598

Robertson, Charles (2013) African wealth will double every decade for generations to come. Africa at LSE (05 Dec 2013). Website.

Robertson, D. and Symons, J. (1993) Five weeks in the life of the pound: interest rates. CEP discussion paper (133). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Robertson, Donald and Symons, James (1991) Output, inflation and the ERM. CEP discussion paper (43). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Robertson, Scott and Xing, Hao (2015) Large time behavior of solutions to semi-linear equations with quadratic growth in the gradient. SIAM Journal on Control and Optimization, 53 (1). pp. 185-212. ISSN 0363-0129

Robins, Nick (2022) The $468 trillion climate question: how the financial system is starting to shift. LSE Business Review (14 Nov 2022). Blog Entry.

Robins, Nick (2021) Financing net-zero: mobilising the money for action on the ground. LSE Business Review (21 Jan 2021). Blog Entry.

Robins, Nick (2023) Sustainable central banking: clear green water between the Fed and the ECB? LSE Business Review (18 Jan 2023). Blog Entry.

Robins, Nick and Muller, Sabrina (2022) Where are the people in transition finance? LSE Business Review (22 Mar 2022). Blog Entry.

Robinson, Karina (2022) Inclusion, cryptocurrency, and inspiration: a view from the Financial Conduct Authority. LSE Business Review (12 May 2022). Blog Entry.

Robotti, Paola (2006) Hedge funds and financial stability: explaining the debate at the financial stability forum. Financial Markets Group Discussion Papers (560). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Robson, Arthur J. and Szentes, Balázs (2014) A biological theory of social discounting. American Economic Review, 104 (11). pp. 3481-3497. ISSN 0002-8282

Robson, Keith, Young, Joni and Power, Michael ORCID: 0000-0001-8148-3953 (2017) Themed section on financial accounting as social and organizational practice: exploring the work of financial reporting. Accounting, Organizations and Society, 56. pp. 35-37. ISSN 0361-3682

Roch, Francisco and Roldán, Francisco (2021) GDP-linked bonds: why so few, and why so expensive? LSE Business Review (23 Apr 2021). Blog Entry.

Rochet, Jean-Charles and Triole, Jean (2002) Platform competition in two sided markets. Financial Markets Group Discussion Papers (409). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rochet, Jean-Charles and Vives, Xavier (2002) Coordination failures and the lender of last resort: was Bagehot right after all? Financial Markets Group Discussion Papers (408). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Rodell, Jessica B., Booth, Jonathan E. ORCID: 0000-0002-8563-4613, Lynch, John W. and Zipay, Kate P. (2017) Corporate volunteering climate: mobilizing employee passion for societal causes and inspiring future charitable action. Academy of Management Journal, 60 (5). pp. 1662-1681. ISSN 0001-4273

Rodosthenous, Neofytos and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2017) Watermark options. Finance and Stochastics, 21 (1). pp. 157-186. ISSN 0949-2984

Rodríguez-Chiffelle, Cristián and Vanham, Peter (2020) Covid-19 is bad news for foreign direct investment, but there may be a silver lining. LSE Business Review (20 Apr 2020). Blog Entry.

Rodríguez-Clare, Andrés, Ulate, Mauricio and Vasquez Carvajal, Jose (2020) New-Keynesian trade: understanding the employment and welfare effects of trade shocks. NBER Working Paper Series (27905). National Bureau of Economic Research, Cambridge, MA.

Rodríguez-Clare, Andrés, Ulate, Mauricio and Vasquez Carvajal, Jose (2020) New-Keynesian trade: understanding the employment and welfare effects of trade shocks. Federal Reserve Bank of San Francisco Working Paper Series (2020-32). Federal Reserve Bank of San Francisco, San Francisco, CA.

Rodríguez-Clare, Andrés, Ulate, Mauricio and Vasquez Carvajal, Jose (2020) New-Keynesian trade: understanding the employment and welfare effects of trade shocks. Working Papers (265). Princeton University, Princeton, NJ.

Rodríguez-Pose, Andrés ORCID: 0000-0002-8041-0856 and Cols, Gilles (2017) The determinants of foreign direct investment in sub-Saharan Africa: what role for governance? Regional Science Policy & Practice, 9 (2). pp. 63-81. ISSN 1757-7802

Rodríguez-Pose, Andrés ORCID: 0000-0002-8041-0856, Ganau, Roberto, Maslauskaite, Kristina and Brezzi, Monica (2020) Credit constraints, labor productivity and the role of regional institutions: evidence for manufacturing firms in Europe. Geography and Environment Discussion Paper Series (17). Department of Geography and Environment, LSE, London, UK.

Rodríguez-Pose, Andrés ORCID: 0000-0002-8041-0856 and Vidal-Bover, Miquel (2022) Unfunded mandates and the economic impact of decentralisation. When finance does not follow function. Political Studies. ISSN 2041-9066

Rogers, Chris and Clarke, Chris (2017) ‘Socially useful’ finance and the regulation of peer-to-peerlending in the United Kingdom. British Politics and Policy at LSE (19 Jan 2017). Website.

Rogers, L.C.G. and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2013) Faliure and rescue in an interbank network. Management Science, 59 (4). pp. 882-898. ISSN 0025-1909

Rohac, Dalibor (2016) For free-market Leavers the UK’s exit will be a disappointment. LSE Brexit (01 Jul 2016). Website.

Roman-Urrestarazu, Andres, Yang, Justin C., Ettelt, Stefanie, Thalmann, Inna, Seguel Ravest, Valeska and Brayne, Carol (2018) Private health insurance in Germany and Chile: two stories of co-existence, segmentation and conflict. International Journal for Equity in Health, 17 (112). ISSN 1475-9276

Romani, Mattia, Stern, Nicholas and Zenghelis, Dimitri (2011) The basic economics of low-carbon growth in the UK. Policy Brief. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Romano, Alessandro (2016) A proposal to help make credit ratings as accurate as possible. LSE Business Review (17 Oct 2016). Website.

Romelli, Davide (2022) The political economy of central bank independence. LSE Business Review (06 Jan 2022). Blog Entry.

Ronzoni, Miriam and Valentini, Laura (2015) Microfinance, poverty relief, and political justice. In: Sorell, Tom and Cabrera, Luis, (eds.) Microfinance, Rights and Global Justice. Cambridge University Press, Cambridge, UK., pp. 84-104. ISBN 9781107110977

Roquen, Jeff (2015) Book review: Asian imperial banking history. LSE Review of Books (21 May 2015). Website.

Rosa, Carlo (2008) Talking less and moving the market more: is this the recipe for monetary policy effectiveness?: evidence from the ECB and the Fed. CEPDP (855). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853282501

Rosa, Carlo and Verga, Giovanni (2005) Is ECB communication effective? CEPDP (682). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753018217

Rosa, Carlo and Verga, Giovanni (2006) The impact of central bank announcements on asset prices in real time: testing the efficiency of the Euribor futures market. CEPDP (764). Centre of Economic Performance, London School of Economics and Political Science, London, UK. ISBN 075302070X

Rosa, Carlo and Verga, Giovanni (2005) The importance of the wording of the ECB. CEPDP (694). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753018756

Roscoe, Philip and Willman, Paul (2021) Flaunt the imperfections: information, entanglements and the regulation of London’s Alternative Investment Market. Economy and Society, 50 (4). 565 - 589. ISSN 0308-5147

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

Rostowski, J. (1993) Creating stable monetary systems in post-communist economies. CEP discussion paper (141). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Rostowski, J. (1994) The Yugoslav hyperinflation and stabilization of 1992-4. CEPDP (213). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Rostowski, J. (1992) A proposal on how to introduce a currency board based monetary system in the republic of Latvia. CEPDP (83). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Rostowski, J. and Shapiro, J. (1992) Secondary currencies in the Russian hyperinflation and stabilization of 1921-24. CEP discussion paper (59). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Rothkopf, Ilana (2013) Book review: banking on democracy: financial markets and elections in emerging countries. LSE Review of Books (29 Nov 2013). Website.

Rothstein, Henry (2002) Neglected risk regulation: the institutional attenuation phenomenon. CARR Discussion Papers (DP 7). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Rothstein, Henry (2003) Precautionary bans or sacrificial lambs? Participative risk regulation and the reform of the UK food safety regime. CARR Discussion Papers (DP 15). ESRC Centre for Analysis of Risk and Regulation, London, UK.

Rothstein, Richard (2015) If the achievement gap is to be closed, policymakers must firstre-learn the history of state sponsored racial segregation in U.S.metropolitan areas. USApp– American Politics and Policy Blog (17 Apr 2015). Website.

Roxan, Ian (2005) Inflation. In: Essers, Peter and Rijkers, Arie, (eds.) The Notion of Income From Capital. EATLP international tax series. IBFD Publications, pp. 249-262. ISBN 9789076078816

Roy, Tirthankar (1993) Money supply and asset choice in inter-war India. Indian Economic and Social History Review, 30 (2). pp. 163-180. ISSN 0019-4646

Roy, Tirthankar (1995) Price movements in twentieth-century India. Economic History Review, 48 (1). pp. 118-133. ISSN 0013-0117

Roy, Tirthankar (2016) The monsoon and the market for money in late-colonial India. Enterprise and Society, 17 (02). pp. 324-357. ISSN 1467-2227

Roy, Tirthankar and Sen, K. (1994) Real and financial flows in the Indian economy, 1970 to 1990. International Journal of Development Banking, 12 (1). ISSN 0970-1044

Ruf, Johannes ORCID: 0000-0003-3616-2194 and Xie, Kangjianan (2019) Generalised Lyapunov functions and functionally generated trading strategies. Applied Mathematical Finance, 26 (4). 293 - 327. ISSN 1350-486X

Ruf, Johannes ORCID: 0000-0003-3616-2194 and Xie, Kangjianan (2020) Impact of proportional transaction costs on systematically generated portfolios. SIAM Journal on Financial Mathematics, 11 (3). 881–896. ISSN 1945-497X

Ruser, Alexander (2015) Saving the Euro at all costs could lead to an eventual hollowing out of European democracy. Democratic Audit UK (14 Aug 2015). Website.

Rutterford, Janette and Sotiropoulos, Dimitris (2017) What Victorian households can teach us about financial decision-making. LSE Business Review (10 May 2017). Website.

Ryan, John (2011) After a Greek default - restructuring by 2012 for the Irish economy? Stiftung Wissenschaft und Politik (SWP) Working paper (2). Research Division EU Integration, German Institute for International and Security Affairs, Berlin, Germany.

Ryan, John (2014) Alan Greenspan and the decline of the Federal Reserve’s dollar policy. In: Ryan, John, (ed.) The global currencies conundrum. Verlag Peter Lang, Bern. ISBN 9783034317672

Ryan, John (2014) China and the emergence of a multipolar currency regime. Madariaga Paper, 7 (10). pp. 2-7. ISSN 2033-7574

Ryan, John (2014) China and the global role of currencies. In: Ryan, John, (ed.) The global currencies conundrum. Verlag Peter Lang, Bern. ISBN 9783034317672

Ryan, John (2015) Credit rating agencies and their credibility problem. Policy Review (10 Feb 2015). Website.

Ryan, John (2013) Credit rating agencies: are they credible? International Journal of Public Policy, 9 (1/2). pp. 4-22. ISSN 1740-0600

Ryan, John (2014) Debt restructuring in Ireland is unavoidable next step. Policy Review (08 May 2014). Website.

Ryan, John (2012) Do we need credit rating agencies. Social Europe. ISSN 2046-9810

Ryan, John (2014) The ECB’s troubling future policy conundrum. Social Europe. ISSN 2046-9810

Ryan, John (2012) EU nust restructure debt to solve the eurozone crisis. World Politics Review.

Ryan, John (2014) Eurozone crisis causes Swiss policy conundrum. Social Europe. ISSN 2046-9810

Ryan, John (2014) Eurozone crisis causes Swiss vulnerability and dependence. Policy Review (13 Jan 2014). Website.

Ryan, John (2014) Eurozone sovereign debt restructuring is unavoidable. Madariaga Paper, 7 (5). pp. 2-7. ISSN 2033-7574

Ryan, John (2014) The German economic model and the Eurozone crisis. Policy Review (16 Jun 2014). Website.

Ryan, John (2016) The Greek Euro tragedy. Strategic Update (16.4). LSE IDEAS, London School of Economics and Political Science, London, UK.

Ryan, John (2015) Greek debt restructuring is preferable to continued austerity or default. Policy Review (09 Jan 2015). Website.

Ryan, John (2012) Greenspan and Bernanke the chief architects of dollar destruction. LAP Lambert Academic Publishing, Saarbrücken, Germany. ISBN 9783846582619

Ryan, John (2012) How credible are the credit rating agencies? Public Service Europe.

Ryan, John (2018) Passporting remains the best option for UK financial services industry post-Brexit - or New York may have the last laugh. LSE Brexit (09 Jan 2018). Website.

Ryan, John (2011) Power shifts between Europe, nations and regions. LAP Lambert Academic Publishing, Saarbrücken, Germany. ISBN 9783845470276

Ryan, John (2014) Sovereign debt restructuring: the ECB’s troubling policy conundrum. Policy Review (28 Apr 2014). Website.

Ryan, John (2015) Swiss franc policy conundrum solved. Policy Review (26 Jan 2015). Website.

Ryan, John (2012) Why we need comprehensive debt restructuring in Europe. Social Europe. ISSN 2046-9810

Ryan, John (2015) The emergence of a multipolar currency regime. In: The emergence of a multipolar currency regime: KAS and LSE Ideas experts workshop, 2015-10-28, London, United Kingdom. (Submitted)

Ryan, John (2015) The future of the Eurozone. In: The Future of the Eurozone, 2015-10-19, Cambridge, United Kingdom. (Submitted)

Ryan, John (2012) The negative impact of credit rating agencies and proposals for better regulation. Stiftung Wissenschaft und Politik (SWP) Working paper (1). Research Division EU Integration, German Institute for International and Security Affairs, Berlin, Germany.

Rzayev, Khaladdin and Ibikunle, Gbenga (2021) Order aggressiveness and flash crashes. International Journal of Finance and Economics, 26 (2). 2647 - 2673. ISSN 1076-9307

Rzayev, Khaladdin, Ibikunle, Gbenga and Steffen, Tom (2023) The market quality implications of speed in cross-platform trading: evidence from Frankfurt-London microwave. Journal of Financial Markets, 66. ISSN 1386-4181

S

Sabbatini, Michael and Linton, Oliver (2004) A GARCH model of the implied volatility of the Swiss Market Index from options prices. Financial Markets Group Discussion Papers (516). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sachdeva, Paras, Ahmad, Wasim and Bhanumurthy, N. R. (2023) Uncovering time variation in public expenditure multipliers: new evidence. Indian Economic Review, 58. 445 - 483. ISSN 0019-4670

Saeri, Alexander K., Slattery, Peter, Lee, Joannie, Houlden, Thomas, Farr, Neil, Gelber, Romy L., Stone, Jake, Huuskes, Lee, Timmons, Shane, Windle, Kai, Spajic, Luke, Freeman, Luke, Moss, David, Behar, Jon, Schubert, Stefan, Grundy, Emily A.C. ORCID: 0000-0002-9633-1116 and Zorker, Michael (2022) What works to increase charitable donations? A meta-review with meta-meta-analysis. Voluntas. ISSN 0957-8765

Saguato, Paolo (2013) OTC derivatives and credit default swaps: taxonomy and regulation pre and post the 2008 financial crisis. Doctoral thesis, University of Genoa.

Saguato, Paolo (2011) Private regulation in the credit default swaps market: ISDA matters: the role of ISDA in the new regulatory scenario ofCDSs. In: Rethinking Financial Institutions and their Regulation - Public and Private Approaches to Risk and Instability in a Post-Crisis World, 2011-04-15 - 2011-04-16, Florence, Italy.

Saguato, Paolo (2013) Private regulation in the credit default swaps market: the role of ISDA in the new regulatory scenario of CDSs. In: Miller, Geoffrey P. and Cafaggi, Fabrizio, (eds.) The Governance And Regulation Of International Finance. Private regulation series. Elgar, Cheltenham, UK, pp. 32-72. ISBN 9780857939470

Saguato, Paolo (2013) Reforming derivatives markets after the financial crisis: systemic risk and transaction costs analysis. In: Yale Law School, 2013 Doctoral Scholarship Conference, 2013-12-06 - 2013-12-07, CT, United States.

Saguato, Paolo (2016) Repos: the missing piece in financial market reform. LSE Business Review (12 Jul 2016). Website.

Saguato, Paolo (2015) The liquidity dilemma and the repo market: a two-step policy option to address the regulatory void. LSE Law, Society and Economy Working Papers. London School of Economics and Political Science, London, UK.

Saguato, Paolo (2013) A new approach to global financial market regulation: the shadow banking system. In: New York University School of Law Global Fellows Forum 2013, 2013-10-08, New York, United States.

Saini, Seema, Ahmad, Wasim and Bekiros, Stelios (2021) Understanding the credit cycle and business cycle dynamics in India. International Review of Economics and Finance, 76. 988 - 1006. ISSN 1059-0560

Saka, Orkun (2018) Domestic banks as lightning rods? Home bias and information during Eurozone crisis. Systemic Risk Centre Discussion Papers (84). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Saka, Orkun (2020) There is a 'good' reason for EU banks to hold their own country's sovereign debt. LSE Business Review (10 Jan 2020), pp. 1-5. Blog Entry.

Saka, Orkun, Campos, Nauro, De Grauwe, Paul, Ji, Yuemei and Martelli, Angelo (2019) Financial crises and liberalization: progress or reversals? Systemic Risk Centre Discussion Papers (90). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Saka, Orkun, Campos, Nauro F., De Grauwe, Paul, Ji, Yuemei and Martelli, Angelo (2020) Financial crises and liberalization: progress or reversals? In: Campos, Nauro F., De Grauwe, Paul and Ji, Yuemei, (eds.) Economic Growth and Structural Reforms in Europe. Cambridge University Press, Cambridge, UK, 177 - 213. ISBN 9781108479110

Saka, Orkun, Eichengreen, Barry and Aksoy, Cevat (2022) Epidemic exposure, financial technology, and the digital divide. Journal of Money, Credit and Banking, 54 (7). 1913 - 1940. ISSN 0022-2879

Saka, Orkun, Eichengreen, Barry and Aksoy, Cevat (2022) Epidemic exposure, financial technology, and the digital divide. Systemic Risk Centre Discussion Papers (112). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Saka, Orkun, Eichengreen, Barry and Aksoy, Cevat (2021) Fintech adoption during epidemics depends on pre-existing inequalities. LSE Business Review (15 Jul 2021). Blog Entry.

Saka, Orkun, Eichengreen, Barry and Aksoy, Cevat (2021) Fintech adoption during epidemics depends on pre-existing inequalities. LSE COVID-19 Blog (16 Jul 2021). Blog Entry.

Saka, Orkun, Eichengreen, Barry and Aksoy, Cevat (2021) Fintech adoption during epidemics depends on pre-existing inequalities. LSE European Politics and Policy (EUROPP) blog (09 Aug 2021). Blog Entry.

Saka, Orkun, Ji, Yuemei and De Grauwe, Paul (2020) Financial policymaking after crises: public vs. private interests. Systemic Risk Centre Discussion Papers (105). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Saka, Orkun, Martelli, Angelo, Ganslmeier, Michael, Ji, Yuemei, Campos, Nauro F. and De Grauwe, Paul (2020) Structural reforms in Europe: lessons from early experiences. In: Campos, Nauro F., De Grauwe, Paul and Ji, Yuemei, (eds.) Economic Growth and Structural Reforms in Europe. Cambridge University Press, Cambridge, UK, 317 - 341. ISBN 9781108479110

Salas-Rojo, Pedro and Rodríguez, Juan Gabriel (2021) The distribution of wealth in Spain and the USA: the role of socioeconomic factors. SERIEs, 12 (3). pp. 389-421. ISSN 1869-4187

Salem, Sarah Mamdouh Ibrahim ORCID: 0000-0002-7872-5613 and Malak, Karim (2017) How far does neoliberalism go in Egypt?: Gender, citizenship and the making of the 'rural' woman. Review of African Political Economy, 44 (154). pp. 541-558. ISSN 0305-6244

Salia, Samuel and Bempong Nyantakyi, Eugene (2022) Diaspora bonds can help fill climate finance gaps in developing economies. Africa at LSE (18 Jan 2022). Blog Entry.

Salomao, Juliana and Varela, Liliana (2018) Exchange rate exposure and firm dynamics. Discussion Papers (12654). Centre for Economic Policy Research (Great Britain), London, UK.

Salomao, Juliana and Varela, Liliana (2022) Exchange rate exposure and firm dynamics. Review of Economic Studies, 89 (1). 481 - 514. ISSN 0034-6527

Salomao, Juliana and Varela, Liliana (2020) Exchange rate exposure and firm dynamics. Financial Markets Group Discussion Papers (801). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sanchez Juanino, Patricia, Macchiarelli, Corrado and Naisbitt, Barry (2021) The US may be stuck with higher inflation in 2022, and potentially beyond. USApp – American Politics and Policy Blog (25 Nov 2021). Blog Entry.

Sanders, Jamie (2017) Apolitical? A defence of the Bank of England. LSE Undergraduate Political Review (16 Jan 2017). Website.

Sandmann, G. and Koopman, Siem (1996) Maximum likelihood estimation of stochastic volatility models. Financial Markets Group Discussion Papers (248). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Santana-Turégano, Manuel A. (2020) Book review: taking the floor: models, morals and management in a Wall Street trading room. British Politics and Policy at LSE (19 Jan 2020), 1 - 3. Blog Entry.

Santos Silva, J. M. C. and Tenreyro, S. ORCID: 0000-0002-9816-7452 (2013) Currency unions. In: Caprio, Gerard, (ed.) The Evidence and Impact of Financial Globalization. Elsevier, London, pp. 451-461. ISBN 9780123978745

Sariev, Eduard and Germano, Guido (2020) Bayesian regularized artificial neural networks for the estimation of the probability of default. Quantitative Finance, 20 (2). pp. 311-328. ISSN 1469-7688

Sartori, Laura and Dini, Paolo (2016) From complementary currency to institution: a micro-macro study of the Sardex mutual credit system. Stato e Mercato, 107. pp. 273-304. ISSN 0392-9701

Sassen, Saskia (2001) The global city: New York, London, Tokyo. Princeton University Press, New Jersey, USA. ISBN 9780691070636

Sassen, Saskia, Brown, Stuart A. and Gilson, Christopher (2013) Five minutes with Saskia Sassen: “The issue right now is not the lack of discipline in Eurozone economies; it’s the financialisation of everything”. LSE European Politics and Policy (EUROPP) Blog (07 May 2013). Website.

Sato, Misato ORCID: 0000-0002-9978-9595 and Dechezlepretre, Antoine (2015) Asymmetric industrial energy prices and international trade. CEP discussion paper (1337). Centre for Economic Performance, LSE, London, UK.

Satterthwaite, Mark, Williams, Steven R. and Zachariadis, Konstantinos (2011) Optimality versus practicality in market design: a comparison of two double auctions. .

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

Satterthwaite, Mark, Williams, Steven R. and Zachariadis, Konstantinos (2012) Price discovery. .

Sattler, Thomas (2013) Do markets punish left governments? Journal of Politics, 75 (2). pp. 343-356. ISSN 0022-3816

Scanlon, Kath ORCID: 0000-0001-9957-4853, Whitehead, Christine M E and Lunde, Jens (2014) The impact of the financial crisis on European housing systems: a review. SIEPS Reports. Svenska institutet för europapolitiska studier, Stockholm, Sweden. ISBN 9789186107468

Scanlon, Kathleen ORCID: 0000-0001-9957-4853 (2010) The UK mortgage market before and after the credit crunch. In: Housing: the next 20 years, 2010-09-01, Cambridge, United Kingdom.

Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Adamczuk, K. (2016) Milestones in housing finance in England. In: Whitehead, Christine M E and Lunde, Jens, (eds.) Milestones in European housing finance. Wiley-Blackwell, Oxford. ISBN 9781118929452

Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Fernández Arrigoitia, Melissa (2012) The formation of a senior co-housing community in London. In: ENHR 2012: Housing: local welfare and local markets in a globalised world, 2012-06-24 - 2012-06-27, Lillehammer, Norway.

Scanlon, Kathleen ORCID: 0000-0001-9957-4853, Lunde, Jens and Whitehead, Christine M E (2011) Comparing responses to the financial crisis. In: ENHR 2011: ‘Mixité’ : an urban and housing issue? Mixing people, housing and activities as the urban challenge of the future, 2011-07-05 - 2011-07-08, Toulouse, France.

Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Whitehead, Christine M E (2005) The profile and intentions of buy-to-let investors. . Council of Mortgage Lenders, London, UK. ISBN 1905257015

Scanlon, Kathleen ORCID: 0000-0001-9957-4853, Whitehead, Christine M E and Blanc, Fanny ORCID: 0000-0002-5835-6507 (2017) A taxing question: is Stamp Duty Land Tax suffocating the English housing market? . Family Building Society, London, UK.

Scanlon, Kathleen ORCID: 0000-0001-9957-4853, Whitehead, Christine M E, Blanc, Fanny ORCID: 0000-0002-5835-6507 and Moreno-Tabarez, Ulises (2017) The role of overseas investors in the London new-build residential market: final report for Homes for London. . London School of Economics and Political Science, London, UK.

Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Whitehead, Christine M. E. (2004) Housing tenure and mortgage systems: how the UK compares. Housing Finance (64). ISSN 0955-3800

Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Whitehead, Christine M. E. (2004) International trends in housing tenure and mortgage finance. Council of Mortgage Lenders, London. ISBN 0954457862

Scaramozzino, Roberta, Cerchiello, Paola and Aste, Tomaso (2021) Information theoretic causality detection between financial and sentiment data. Entropy, 23 (5). ISSN 1099-4300

Scarlata, Mariarosa and Alemany, Luisa (2010) Capital riesgo filantrópico: generación de deal-flow y selección de proyectos. Revista Española de Capital Riesgo, 4. ISSN 1887-2697

Scarlata, Mariarosa and Alemany, Luisa (2011) ¿Como añaden valor los inversores de capital riesgo filantropico a los emprendedores sociales? Revista Española Del Tercer Sector, 17. pp. 139-147. ISSN 1886-0419

Scarlata, Mariarosa and Alemany, Luisa (2010) Deal structuring in philanthropic venture capital investments. Working paper series. Social Science Research Network.

Scarlata, Mariarosa and Alemany, Luisa (2010) Deal structuring in philanthropic venture capital investments. In: Joint Special Issue Conference on Law, Ethics, and Finance, 2010-09-16 - 2010-09-18, Toronto, Canada. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2010) Deal structuring in philanthropic venture capital investments. In: ESADE Finance Seminar Series, 2010-07-01, ESADE Business School, Barcelona, Spain. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2010) Deal structuring in philanthropic venture capital investments: financing instrument, valuation, and covenants. Journal of Business Ethics, 95 (SUPP.2). pp. 121-145. ISSN 0167-4544

Scarlata, Mariarosa and Alemany, Luisa (2008) Financing social entrepreneurs: philanthropic venture capital vs. foundations. In: 2008 Babson College Entrepreneurship Research Conference, 2008-06-05 - 2008-06-07, Chapel Hill, United States. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2010) How do philanthropic venture capitalists choose their portfolio companies. Working paper series. Social Science Research Network.

Scarlata, Mariarosa and Alemany, Luisa (2010) How do philanthropic venture capitalists choose their portfolio companies? In: Academy of Management Annual Meeting: Dare to Care, 2010-08-06 - 2010-08-10, Montreal, Canada. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2009) How do philanthropic venture capitalists choose their portfolio companies? In: European Financial Management Association 2009 Annual Meeting, 2009-06-24 - 2009-06-27, Milan, Italy. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2009) How do philanthropic venture capitalists choose their portfolio companies? In: 2009 Babson College Entrepreneurship Research Conference, 2009-06-04 - 2009-06-06, Boston, United States. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2009) How do philanthropic venture capitalists choose their portfolio companies? In: ESADE Finance Seminar Series, 2009-04-01, ESADE Business School, Barcelona, Spain. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2010) Il modello di investimento della venture philanthropy. In: Seminar on Managerial Values and Social Entrepreneurship, 2010-03-01, Milan, Italy. (Submitted)

Scarlata, Mariarosa and Alemany, Luisa (2010) Le pratiche di social venture capital nel contesto attuale. In: Perrini, Francesco and Vurro, Clodia, (eds.) Social Venture Capital and Venture Philantropy: Modelli e Processi D'investimento Nell'innovazione Sociale. Cultura di impresa. Edizioni giuridiche, economiche, aziendali dell’Università Bocconi e Giuffrè editori, Milan, Italy. ISBN 9788823832886

Scarlata, Mariarosa and Alemany, Luisa (2012) Philanthropic venture capital from a global perspective: definition and investment strategy. In: Cumming, Douglas J., (ed.) The Oxford Handbook of Entrepreneurial Finance. Oxford University Press, Oxford, UK. ISBN 9780195391244

Scarlata, Mariarosa and Alemany, Luisa (2008) Philanthropic venture capital: can the key elements of venture capital be applied successfully to social enterprises. Working paper series. Social Science Research Network.

Scarlata, Mariarosa and Alemany, Luisa (2008) Philanthropic venture capital: can the key elements of venture capital be applied successfully to the financing of social enterprises? In: ESADE Finance Seminar Series, 2008-06-01, ESADE Business School, Barcelona, Spain. (Submitted)

Scarlata, Mariarosa, Zacharakis, A. and Dewalske, J. (2011) Venture capitalists’ vs. philanthropic venture capitalists’ human capital: an exploratory study. In: 2011 Babson College Entrepreneurship Research Conference, 2011-06-08 - 2011-06-11, Syracuse, United States. (Submitted)

Schankerman, Mark (1991) Revisions and investment plans and the stock market rate of return. . National Bureau of Economic Research, Cambridge, MA., USA.

Scharpf, Fritz W. (2011) Monetary union, fiscal crisis and the preemption of democracy. LSE 'Europe in Question' discussion paper series (36/2011). London School of Economics and Political Science, London.

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2015) Book review: the power of inaction: bank bailouts in comparison by Cornelia Woll. Perspectives on Politics, 13 (4). pp. 1199-1201. ISSN 1537-5927

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2015) The City and the EU: too big to stay — or too big to go? LSE Brexit (01 Dec 2015). Website.

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2016) Financial centre and monetary outsider: how precarious is the UK's position in the EU? Political Quarterly, 87 (2). pp. 157-165. ISSN 0032-3179

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2021) Fiscal integration in an experimental union: how path-breaking was the EU’s response to the COVID-19 pandemic? Journal of Common Market Studies, 59 (S1). 44 - 55. ISSN 0021-9886

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2017) Hamilton's paradox revisited: alternative lessons from US history. CEPS working document (2017/10). Centre for European Policy Studies, Brussels, Belgium. ISBN 9789461386373

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2012) In the spotlight of crisis: how social policies create, correct, and compensate financial markets. Politics & Society, 40 (1). pp. 3-8. ISSN 0032-3292

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2017) Listening to the experts on European monetary integration: comment on Noah Carl. Political Quarterly, 88 (4). pp. 684-688. ISSN 0032-3179

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2013) Monetary integration in crisis: how well do existing theories explain the predicament of EMU? Transfer: European Review of Labour and Research, 19 (1). pp. 37-48. ISSN 1024-2589

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2001) Monetäre Integration: Bestandsaufnahme und Weiterentwicklung der Neueren Theorie. Wirtschaftswissenschaftliche Beiträge. Physica-Verlag Heidelberg, Heidelberg, Germany. ISBN 9783790813593

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2012) A crisis of what? mortgage credit markets and the social policy of promoting homeownership in the United States and in Europe. Politics & Society, 40 (1). pp. 59-80. ISSN 0032-3292

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2013) The political economy of regulating longevity insurance in the EU. In: Neergaard, Ulla, Szyszczak, Erika, van de Gronden, Johann Willem and Krajewski, Markus, (eds.) Social Services of General Interest in the Eu. Legal issues of services of general interest. T.M.C. Asser Instituut Press, The Hague, The Netherlands, pp. 433-459. ISBN 9789067048750

Schelkle, Waltraud ORCID: 0000-0003-4127-107X (2011) A tale of two crises: the Euro area in 2008/09 and in 2010. European Political Science, 10 (3). pp. 375-383. ISSN 1680-4333

Schelkle, Waltraud ORCID: 0000-0003-4127-107X and Bohle, Dorothee (2020) European political economy of finance and financialization. Review of International Political Economy. ISSN 0969-2290

Schellekens, Phillip and Chadha, Jagjit (1998) Utility functions for central bankers: the not so drastic quadratic. Financial Markets Group Discussion Papers (308). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Scherf, Alexandra A. (2024) How do online conflict disclosures support enforcement? Evidence from personal financial disclosures and public corruption. Accounting Review. pp. 1-33. ISSN 0001-4826

Schilling, Martin S. and Mulford, Matthew (2007) In search of value-for-money in collective bargaining: an analytic-interactive mediation process. Operational Research working papers (LSEOR 07.101). Operational Research Group, Department of Management, London School of Economics and Political Science, London, UK. ISBN 9780853280576

Schilling, Martin S. and Schulze-Cleven, Paul J. (2007) Beyond matrices and black-box algorithms: setting marketing priorities with marketing strategy conferences. Operational Research working papers (LSEOR 07.100). Operational Research Group, Department of Management, London School of Economics and Political Science, London, UK. ISBN 9780853280569

Schleicher, Thomas, Tahoun, Ahmed and Walker, Martin (2010) IFRS adoption in Europe and investment-cash flow sensitivity: outsider versus insider economies. International Journal of Accounting, 45 (2). pp. 143-168. ISSN 0020-7063

Schmidt, Jessica, Esplugues Mota, Carlos and Arenas, Rafael (2016) International arbitration and vis attractiva concursus. In: Schmidt, J., Esplugues Mota, C. and Arenas, R., (eds.) EU Law after the Financial Crisis. Intersentia (Firm), Cambridge, UK, pp. 237-252. ISBN 9781780683423

Schmidt, Nikolaj (2008) Foreign bank entry: the stability implications of Greenfield entry vs. acquisition. Financial Markets Group Discussion Papers (623). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Schmidt, Nikolaj (2009) The credit crisis and the dynamics of asset backed commercial paper programs. Financial Markets Group Discussion Papers (625). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Schoenleitner, Guenther (2013) Comment on Brett, International Inequality and the Global Crisis. [Part 1]. International Development (26 Nov 2013). Website.

Schoenleitner, Guenther (2013) Comment on Brett, International Inequality and the Global Crisis. [Part 2]. International Development (27 Nov 2013). Website.

Schoenmaker, Dirk and Schramade, William (2019) How to change the paradigm in finance to incorporate a changing environment. LSE Business Review (02 Dec 2019), pp. 1-3. Blog Entry.

Schonbucher, Philipp (1997) Term structure modelling of defaultable bonds. Financial Markets Group Discussion Papers (272). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Schonhardt-Bailey, Cheryl (2013) Deliberating American monetary policy: a textual analysis. MIT Press, London, UK. ISBN 9780262019576

Schroeder, Anna Louise and Fryzlewicz, Piotr ORCID: 0000-0002-9676-902X (2013) Adaptive trend estimation in financial time series via multiscale change-point-induced basis recovery. Statistics and Its Interface, 6 (4). pp. 449-461. ISSN 1938-7997

Schuster, Caroline and Kar, Sohini ORCID: 0000-0002-9029-5214 (2021) Subprime empire: on the in-betweenness of finance. Current Anthropology, 62 (4). 389 - 411. ISSN 0011-3204

Schuster, Josef Anton (2003) IPOs: insights from seven European countries. Financial Markets Group Discussion Papers (461). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Schuster, Josef Anton (2003) The cross-section of European IPO returns. Financial Markets Group Discussion Papers (460). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Schuster, Josef Anton and Luo, Jinhui (2003) Management behaviour and market response. Financial Markets Group Discussion Papers (462). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Schwandt, Hannes (2014) Wealth shocks and health outcomes: evidence from stock market fluctuations. CEP Discussion Papers (CEPDP1281). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Schäfer, David (2016) A banking union of ideas? The impact of ordoliberalism and the vicious circle on the EU banking union. Journal of Common Market Studies, 54 (4). pp. 961-980. ISSN 0021-9886

Schüler, Yves, Hiebert, Paul and Peltonen, Tuomas (2016) New evidence shows the characteristics of financial cycles. LSE Business Review (26 Aug 2016). Website.

Scott, A. and Uhlig, Harald (1999) Fickle investors: an impediment to growth. CEPDP (415). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 (2003) Moving markets: report on IT-enabled strategic developments in clearing and settlement. The Moving Markets Research Project. Information Systems Group, London School of Economics and Political Science. (Submitted)

Scott, Susan V. ORCID: 0000-0002-8775-9364 (2010) Understanding the characteristics of techno-innovation in an era of self-regulated financial services. In: Kyrtsis, Alexandros-Andreas, (ed.) Financial Markets and Organizational Technologies: System Architectures, Practices and Risks in the Era of Deregulation. Palgrave Macmillan studies in banking and financial institutions. Palgrave Macmillan, Basingstoke, UK, pp. 166-188. ISBN 9780230234055

Scott, Susan V. ORCID: 0000-0002-8775-9364 (2010) Understanding the characteristics of techno-innovation in an era of self-regulated financial services. Working paper series (180). Information Systems and Innovation Group, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Barrett, Michael I. (2002) The development of electronic trading in the futures industry: strategic risk positioning in a globalising age. Working paper series (113). Department of Information Systems, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Paris, Carolyn (2009) Transactionalizing technologies versus performing contracts: from ERP to credit default swaps at AIG. Early stage papers (no.176). Information Systems and Innovation Group, London School of Economics, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Perry, Nicholas (2006) The enactment of risk categories: organizing and re-organizing risk management practices in the energy industry. Working paper series (148). Information Systems Group, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Perry, Nicholas (2012) The enactment of risk categories: the role of information systems in organizing and re-organizing risk management practices in the energy industry. Information Systems Frontiers, 14 (2). pp. 125-141. ISSN 1387-3326

Scott, Susan V. ORCID: 0000-0002-8775-9364, Van Reenen, John ORCID: 0000-0001-9153-2907 and Zachariadis, M. (2008) The impact on bank performance of the diffusion of a financial innovation: and analysis of SWIFT adoption. In: Workshop on Information Systems and Economics, 2008-12-14, Paris, France.

Scott, Susan V. ORCID: 0000-0002-8775-9364, Van Reenen, John ORCID: 0000-0001-9153-2907 and Zachariadis, Markos (2017) The long-term effect of digital innovation on bank performance: An empirical study of SWIFT adoption in financial services. CEP Discussion Papers (CEPDP0992). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364, Van Reenen, John ORCID: 0000-0001-9153-2907 and Zachariadis, Markos (2017) The long-term effect of digital innovation on bank performance: an empirical study of SWIFT adoption in financial services. Research Policy, 46 (5). pp. 984-1004. ISSN 0048-7333

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Walsham, Geoff (2002) Banking on trust: managing reputation risk in financial service organizations. LSE Working paper series (117). Department of Information Systems, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Walsham, Geoff (1999) Shifting boundaries and new technologies: A case study in the UK banking sector. Working paper series (91). Department of Information Systems, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Walsham, Geoff (1998) Shifting boundaries and new technologies: a case study in the UK banking sector. In: Proceedings of the International Conference on Information Systems, 1998-12-13 - 1998-12-16, Helsinki, Finland.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Walsham, Geoff (2004) The broadening spectrum of reputation risk in organizations: banking on risk and trust relationships. Working paper series (130). Department of Information Systems, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Zachariadis, M. (2010) Origins and development of SWIFT, 1973-2009. In: Association of Business Historians Conference, 2010-07-16 - 2010-07-17, York, United Kingdom.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Zachariadis, M. (2003) "Strategy sort of died around April last year for a lot of us": CIO perceptions on ICT value and strategy in the UK financial sector. Working paper series (123). Department of Information Systems, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Zachariadis, M. (2010) A historical analysis of core financial services infrastructure: Society for Worldwide Interbank Financial Telecommunications (SWIFT). Working paper series (182). Information Systems and Innovation Group, London School of Economics and Political Science, London, UK.

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Zachariadis, Markos (2012) Origins and development of SWIFT, 1973–2009. Business History, 54 (3). pp. 462-482. ISSN 0007-6791

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Zachariadis, Markos (2014) The Society for Worldwide Interbank Financial Telecommunication (SWIFT): cooperative governance for network innovation, standards, and community. Routledge, London, UK. ISBN 9780415631648

Scott, Susan V. ORCID: 0000-0002-8775-9364 and Zachariadis, Markos (2010) The impact of the diffusion of a financial innovation on company performance: an analysis of SWIFT adoption. CEP Discussion Papers (CEPDP0992). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Seabrook, Isobel, Barucca, Paolo and Caccioli, Fabio (2022) Structural importance and evolution: an application to financial transaction networks. Physica A, 607. ISSN 0378-4371

Seabrook, Isobel, Caccioli, Fabio and Aste, Tomaso (2022) Quantifying impact and response in markets using information filtering networks. Journal of Physics: Complexity, 3 (2). ISSN 2632-072X

Seabrook, Isobel E., Barucca, Paolo and Caccioli, Fabio (2021) Evaluating structural edge importance in temporal networks. EPJ Data Science, 10 (1). ISSN 2193-1127

Segoviano, Miguel and Espinoza, Raphael (2017) Consistent measures of systemic risk. Systemic Risk Centre Discussion Papers (74). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Segoviano, Miguel A. (2006) Conditional probability of default methodology. Financial Markets Group Discussion Papers (558). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Segoviano, Miguel A. (2006) Consistent information multivariate density optimizing methodology. Financial Markets Group Discussion Papers (557). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Segoviano, Miguel A. and Goodhart, Charles (2009) Banking stability measures. Financial Markets Group Discussion Papers (627). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Segoviano, Miguel A. and Lowe, Philip (2002) Internal ratings, the business cycle and capital requirements: some evidence from an emerging market economy. Financial Markets Group Discussion Papers (428). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sejko, Gent (2021) How Albania’s central bank dealt successfully with the COVID crisis. LSE COVID-19 Blog (15 Oct 2021). Blog Entry.

Semenova, Valentina and Winkler, Julian (2021) Reddit’s self-organised bull runs. USApp – American Politics and Policy Blog (22 May 2021). Blog Entry.

Sen, Kunal, Roy, Tirthankar and Krishnan, R. (1996) A flow of funds model for India and its implications. Journal of Policy Modeling, 18 (5). pp. 469-494. ISSN 0161-8938

Senarath, Shanuka (2017) The Dodd-Frank Act doesn’t solve the principal-agent problem in asset securitisation. LSE Business Review (21 Apr 2017). Website.

Senni, Chiara Colesanti, Pagliari, Maria Sole and van 't Klooster, Jens (2023) The CO2 content of the TLTRO III scheme and its greening. Grantham Research Institute on Climate Change and the Environment Working Paper (398). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Sentana, Enrique (1999) Least squares predictions and mean-variance analysis. Financial Markets Group Discussion Papers (312). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sentana, Enrique (2001) Mean-variance portfolio allocation with a value at risk constraint. Financial Markets Group Discussion Papers (380). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sentana, Enrique (1995) Risk and return in the Spanish stock market. Financial Markets Group Discussion Papers (212). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sequeira, Sandra and Djankov, Simeon (2010) An empirical study of corruption in ports. MPRA Paper. Munich Personal RePEc Archive.

Servaes, Henri and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2014) Doing well by doing good. Business Strategy Review, 25 (1). p. 6. ISSN 1467-8616

Servaes, Henri and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2017) The role of social capital in corporations: a review. Oxford Review of Economic Policy, 33 (2). pp. 201-220. ISSN 0266-903X

Sette, Enrico (2007) Competition and opportunistic advice of financial analysts: theory and evidence. Financial Markets Group Discussion Papers (592). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Shadlen, Kenneth C. ORCID: 0000-0003-4010-4835 (2005) Debt, finance and the IMF: three decades of debt crises in Latin America. In: South America, Central America and the Caribbean 2004. Regional surveys of the world (12th). Routledge, London, UK, pp. 8-12. ISBN 9781857431889

Shanken, Jay and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2012) Payout yield, risk, and mispricing: A Bayesian analysis. Journal of Financial Economics, 105 (1). pp. 131-152. ISSN 0304-405X

Shapland, Greg (2023) Climate change and the GCC: economic and environmental impact. In: GCC Hydrocarbon Economies and COVID: Old Trends, New Realities. Springer Nature (Firm), 173 - 200. ISBN 9789811954610

Sheedy, Kevin D. ORCID: 0000-0002-0247-6323 (2017) Conventional and unconventional monetary policy rules. Journal of Macroeconomics, 54 (A). pp. 127-147. ISSN 0164-0704

Sheedy, Kevin D. ORCID: 0000-0002-0247-6323 (2013) Debt and incomplete financial markets: a case for nominal GDP targeting. CEP Discussion Papers (CEPDP1209). Centre for Economic Performance, The London School of Economics and Political Science, London, UK.

Sheedy, Kevin D. ORCID: 0000-0002-0247-6323 (2014) Debt and incomplete financial markets: a case for nominal GDP targeting. Brookings Papers on Economic Activity, 2014 (Spring). 301 - 373. ISSN 0007-2303

Shen, Dennis (2016) Central banks are facing a crisis of confidence – it’s time to reinvent global monetary policy. LSE European Politics and Policy (EUROPP) Blog (06 Oct 2016). Website.

Shen, Dennis and Kraemer, Moritz (2022) How rating agencies could support African governments in overcoming debt crises. Africa at LSE (04 Jul 2022). Blog Entry.

Shen, Huangnan and Liu, Xiaojie (2017) A theoretical framework for demystifying the causes of dysfunction and disorder in the Chinese market economy: a Weberian perspective. Fudan Journal of the Humanities and Social Sciences. ISSN 1674-0750

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

Shin, Hyun Song (2003) Disclosures and asset returns. Econometrica, 71 (1). pp. 105-133. ISSN 0012-9682

Shin, Hyun Song (2001) Disclosures and asset returns. Financial Markets Group Discussion Papers (371). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Shipp, Jonny (2016) Latin American countries join the US and UK amongst the highest performers in a new ‘Index on Digital Life’. Media Policy Blog (23 Jun 2016). Website.

Shiryaev, Albert N., Zhitlukhin, M. V. and Ziemba, William T. (2013) When to sell Apple and the NASDAQ? Trading bubbles with a stochastic disorder model. Systemic Risk Centre Discussion Papers (5). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Shiryaev, Albert N., Zhitlukhin, Mikhail N. and Ziemba, William T. (2014) Land and stock bubbles, crashes and exit strategies in Japan circa 1990 and in 2013. Systemic Risk Centre Discussion Papers (20). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Shleifer, Andrei, Panunzi, Fausto and Burkart, Mike ORCID: 0000-0002-0954-4499 (2002) Family firms. Financial Markets Group Discussion Papers (406). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Shortland, Anja and Stasavage, David (2004) What determines monetary policy in the Franc zone? : estimating a reaction function for the BCEAO. Journal of African Economies, 13 (4). pp. 518-535. ISSN 1464-3723

Shreedhar, Ganga ORCID: 0000-0003-2517-2485 (2018) Seeing red but acting green. In: LSE Research Festival 2018, 2018-02-19 - 2018-02-24, London School of Economics, London, United Kingdom.

Shu, Pian and Steinwender, Claudia (2020) How free trade changes domestic firms’ ability to innovate. LSE Business Review (29 Jan 2020). Blog Entry.

Siddiqi, Lutfey (2018) Confronting the macroeconomic challenges of the fourth industrial revolution. LSE Business Review (17 Jan 2018). Website.

Siddiqi, Lutfey (2017) Three lessons from Singapore, with or without Brexit. LSE Business Review (11 Oct 2017). Website.

Sierra, Jazmin and Hochstetler, Kathryn ORCID: 0000-0003-2960-058X (2017) Transnational activist networks and rising powers: transparency and environmental concerns in the Brazilian National Development Bank. International Studies Quarterly, 61 (4). 760 - 773. ISSN 0020-8833

Sikander, Muneeb (2021) Printing money can be a hidden form of taxation in developing countries. LSE Business Review (25 Nov 2021). Blog Entry.

Sikander, Muneeb (2021) Printing money can be a hidden form of taxation in developing countries. USApp – American Politics and Policy Blog (18 Dec 2021). Blog Entry.

Silli, Bernhard, Cohen, Randolph B and Polk, Christopher (2008) Best ideas. Financial Markets Group Discussion Papers (624). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Silva, J.M.C. Santos and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2010) Currency unions in prospect and retrospect. CEP Discussion Paper (986). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Silva, J.M.C. Santos and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2010) Currency unions in prospect and retrospect. Annual Review of Economics, 2 (1). pp. 51-74. ISSN 1941-1383

Silver, Nick and Pant, Saurabh (2012) Regulation without reason: the deleterious effects of government regulation on private pension provision. Economic Affairs, 32 (3). pp. 50-57. ISSN 0265-0665

Simmons, Richard, Dini, Paolo, Culkin, Nigel and Littera, Giuseppe (2021) Crisis and the role of money in the real and financial economies: an innovative approach to monetary stimulus. Journal of Risk and Financial Management, 14 (3). ISSN 1911-8074

Simon, Jan, Millo, Yuval, Engel, Ofer and Kellard, Neil (2010) Close connections: hedge funds, brokers and the emergence of a consensus trade. . Department of Accounting, London School of Economics and Political Science, London, UK.

Simpson, Ana (2010) Discussion of the relevance of accounting information in a stock market bubble: Evidence from internet IPOs. Journal of Business Finance and Accounting, 37 (3-4). pp. 322-331. ISSN 1468-5957

Simpson, Ana (2013) Does investor sentiment affect earnings management? Journal of Business Finance and Accounting, 40 (7-8). pp. 869-900. ISSN 0306-686X

Singh, Ashni K., Gore, Pelham and Pope, Peter (2007) Earnings management and the distribution of earnings relative to targets: UK evidence. Accounting and Business Research, 37 (2). pp. 123-149. ISSN 0001-4788

Singh, Nirvikar (2014) The GST: light at the end of the tunnel? International Growth Centre Blog (06 Oct 2014). Website.

Sissoko, Carolyn and Ishizu, Mina (2021) How the West India trade fostered last resort lending by the Bank of England. Economic History Working Papers (318). London School of Economics and Political Science, London, UK.

Sivabalan, Prabhu (2018) Book review: the politics of financial risk, audit and regulation: a case study of HBOS by Atul K. Shah. LSE Review of Books (05 Jun 2018). Website.

Sjoquist, David and Winters, John (2013) State merit-based financial aid programs increase the likelihood that college graduates will remain in their home state. LSE American Politics and Policy (06 Dec 2013). Website.

Skiba, Paige Marta (2015) Americans with payday loans spent or saved their tax rebates,rather than using it to pay off debt. USApp– American Politics and Policy Blog (15 Apr 2015). Website.

Smedley, Stuart (2019) A missed opportunity? Revisiting the euro referendum that never was from a historical perspective. LSE Brexit (01 Dec 2019). Blog Entry.

Smith, Leonard A. (2000) Feeding frenzy is short of juice. Times Higher Education (18 Aug 2000). Website.

Smith, Leonard A. (2000) Rough survey of how ticks all add up. Times Higher Education (26 May 2000). Website.

Smith, Sarah (2005) Can the retirement-consumption puzzle be resolved?: evidence from the British Household Panel Survey. Financial Markets Group Discussion Papers (528). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Smith, Sarah (2004) Stopping short?: evidence on contributions to long-term savings from aggregate and micro data. Financial Markets Group Discussion Papers (485). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Snell, Andy and Tonks, Ian (1996) Using time series methods to assess information and inventory effects in a dealer market in Il-liquid stocks. Financial Markets Group Discussion Papers (242). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Snell, Andy and Tonks, Ian (2000) The profitability of block trades in auction and dealer markets. Financial Markets Group Discussion Papers (340). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Snell, Andy, Tonks, Ian and Bulkley, George (1996) Excessive stock price dispersion: a regression test of cross-sectional volatility. Financial Markets Group Discussion Papers (246). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Snyder, Francis (2011) Introduction: special issue: financial market regulation and economic governance. European Law Journal, 18 (1). pp. 1-5. ISSN 1351-5993

Soane, Emma ORCID: 0000-0001-6090-1212 and Nicholson, Nigel (2000) Are traders rational? Foreign Exchange and Money Markets, 7 (3). pp. 17-19. ISSN 1351-5195

Soner, H. Mete, Cetin, Umut ORCID: 0000-0001-8905-853X and Touzi, Nizar (2010) Option hedging for small investors under liquidity costs. Finance and Stochastics, 14 (3). pp. 317-341. ISSN 0949-2984

Song, Na, Siu, Tak Kuen, Ching, Wa-Ki, Tong, Howell and Yang, Hailiang (2011) Asset allocation under threshold autoregressive models. Applied Stochastic Models in Business and Industry, 28 (1). pp. 60-72. ISSN 1524-1904

Soonawalla, Kazbi and Ireland, Jennifer C. (2010) The pooling of interests to end the pooling method in IFRS. International Journal of Accounting, Auditing and Performance Evaluation, 6 (2/3). pp. 129-157. ISSN 1740-8008

Soskice, David (2022) Rethinking varieties of capitalism and growth theory in the ICT era. Review of Keynesian Economics, 10 (2). 222 - 241. ISSN 2049-5323

Soudias, Dimitris ORCID: 0000-0002-0568-2560 (2021) Neoliberalisation and the social and solidarity economy in Greece. LSE Greece@LSE (15 Dec 2021). Blog Entry.

Sousa, Ricardo M. (2010) Collateralizable wealth, asset returns, and systemic risk: international evidence. In: Jawadi, Fredj and Barnett, William A., (eds.) Nonlinear Modeling of Economic and Financial Time-Series. International Symposia in Economic Theory and Econometrics (20). Emerald Group Publishing, Bingley, UK, pp. 1-27. ISBN 9780857244895

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

South Asia, LSE (2012) Debt and entrepreneurship: microfinance in India. South Asia @ LSE (06 Jul 2012). Website.

Spackman, Michael (2021) Social discounting and the cost of public funding in practice. Grantham Research Institute on Climate Change and the Environment Working Paper (359). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Spanou, Calliope (2019) Competing frames, domestic discretion and uneven outcomes: administrative reform in greece under the crisis. GreeSE Papers (139). Hellenic Observatory, European Institute, London, UK.

Sparks, Eimear (2018) Homeless and cash-free: how will transitioning to a cashless economy affect Britain’s homeless? In: LSE Research Festival 2018, 2018-02-19 - 2018-02-24, London School of Economics, London, United Kingdom.

Spatareanu, Mariana, Manole, Vlad and Kabiri, Ali (2019) Do bank liquidity shocks hamper firms’ innovation? International Journal of Industrial Organization, 67. ISSN 0167-7187

Spatareanu, Mariana, Manole, Vlad and Kabiri, Ali (2018) Exports and bank shocks: evidence from matched firm-bank data. Structural Change and Economic Dynamics. ISSN 0954-349X

Spatareanu, Mariana, Manole, Vlad and Kabiri, Ali (2022) The real effects of banks nationalization–evidence from the UK. Applied Economics Letters, 29 (7). 579 - 583. ISSN 1350-4851

Spatareanu, Mariana, Manole, Vlad, Kabiri, Ali and Roland, Isabelle (2023) Bank default risk propagation along supply chains: evidence from the U.K. International Review of Economics and Finance, 84. 813 - 831. ISSN 1059-0560

Spiegel, Peter (2014) Systems were simply not in place to handle a crisis of this magnitude in the euro area – Interview with Peter Spiegel. Euro Crisis in the Press (10 Feb 2014). Website.

Spielberger, Lukas and Voss, Dustin ORCID: 0000-0001-5329-2682 (2022) Financial adjustment as a driver of growth model change: a balance-sheet approach to comparative political economy. Comparative European Politics. ISSN 1472-4790

Spinnewijn, Johannes (2013) Insurance and perceptions: how to screen optimists and pessimists. The Economic Journal, 123 (569). pp. 606-633. ISSN 0013-0133

Spooner, Joseph (2024) Bankruptcy, housing, ‘have nots’, and the limits of legal landmarks: Places for People Homes Ltd v Sharples. In: Gardner, Jodi and Ramsay, Iain, (eds.) Landmark Cases in Consumer Law. Bloomsbury Academic, 315 - 331. ISBN 9781509952298

Spooner, Joseph (2016) Book review: comparative perspectives of consumer over-indebtedness - a view from the UK, Germany, Greece, and Italy, editor: Federico Feretti. International Insolvency Review, 25 (3). pp. 241-244. ISSN 1099-1107

Spooner, Joseph (2017) Seeking shelter in personal insolvency law: recession, eviction and bankruptcy’s social safety net. Journal of Law and Society, 44 (3). 374 - 405. ISSN 0263-323X

Spooner, Joseph (2021) The local austere creditor. In: Schwartz, Saul, (ed.) Oppressed by Debt: Government and the Justice System as a Creditor of the Poor. Routledge Studies in Crime and Society. Routledge, New York, NY, 42 - 68. ISBN 9780367417734

Srnicek, Nick (2017) LSE Lit Fest 2017: platform capitalism by Nick Srnicek. LSE Review of Books (24 Feb 2017). Website.

Stanley, Liam (2012) Dead, non-dead, or walking dead?: the global financial crisis and neo-liberalism. British Politics and Policy at LSE (27 Dec 2012). Website.

Stark, David and Beunza, Daniel (2003) Outils de marché: socio-technologie de l’arbitrage dans une salle de marché à Wall Street. Reseaux, 2 (122). pp. 63-109. ISSN 0751-7971

Stasavage, David (2000) Private investment and political uncertainty. DEDPS (25). Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Stears, Christopher (2013) Strategic reporting of conduct costs. Conduct Costs Blog (21 Nov 2013). Website.

Stears, Christopher (2013) The right and proper financial consequences to (mis)conduct. Conduct Costs Blog (02 Nov 2013). Website.

Steele, David and Cylus, Jonathan ORCID: 0000-0001-8269-1578 (2012) United Kingdom (Scotland): health system review. Health Systems in Transition, 14 (9). pp. 1-150. ISSN 1817-6119

Steinberg, Richard ORCID: 0000-0001-9636-472X (2012) Auction pricing. In: Özer, Özalp and Phillips, Robert, (eds.) Oxford Handbook of Pricing Management. Oxford handbooks in finance. Oxford University Press, Oxford, UK, pp. 679-712. ISBN 9780199543175

Stephens, Richard (2013) In times of recession, a population that is worried and uninformed on economic matters may help to prolong the financial misery. LSE American Politics and Policy (04 Nov 2013). Website.

Sterk, Vincent and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2013) The transmission of monetary policy operations through redistributions and durable purchases. CFM discussion paper series (CFM-DP2013-5). Centre For Macroeconomics, London, UK.

Sterk, Vincent and Tenreyro, Silvana ORCID: 0000-0002-9816-7452 (2018) The transmission of monetary policy through redistributions and durable purchases. Journal of Monetary Economics. ISSN 0304-3932

Stern, Jon (2017) Brexit, competition and markets: there’s a need to spread the benefits of growth. LSE Brexit (21 Apr 2017). Website.

Stern, Nicholas (2003) Investment climate: lessons and challenges. . The Egyptian Center for Economic Studies, Cairo, Egypt.

Stern, Nicholas (1991) Project appraisal and development policy. Rivista di diritto Finanziario e Scienza Delle Finanze, 50 (4). pp. 645-656. ISSN 0035-6131

Stern, Nicholas and Ferreira, Francisco (1997) The World Bank as "intellectual actor". In: Kapur, Devesh, Lewis, J.P. and Webb, Richard, (eds.) The World Bank: Its First Half Century. Volume 2: Perspectives. Brookings Institution, Washington D.C., USA, pp. 523-609. ISBN 0815752369

Steuer, Max (2012) A view from the sharp end: The future of finance; The LSE Report by Adair Turner et.al. Economica, 79 (314). pp. 411-417. ISSN 0013-0427

Stevens, Matthew Frank (2017) How a shortage of coins precipitated a depression in 15th century England. LSE Business Review (16 Jan 2017). Website.

Stirling, Alfie (2017) UK finance needs radical reform to upgrade the post-Brexit economy. LSE Brexit (14 Sep 2017). Blog Entry.

Stirton, Lindsay and Lodge, Martin ORCID: 0000-0002-4273-6118 (2002) Embedding regulatory autonomy: the reform of Jamaican telecommunications regulation 1988-2001. CARR Discussion Papers (DP 5). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753019310

Stock, Stephanie, Schmidt, Harald, Gerber, Andreas, Buescher, Guido, Drabik, Anna, Graf, Christian, Luengen, Markus and Stollenwerk, Bjoern (2010) Financial incentives in the German statutory health insurance: new findings, new questions. Health Policy, 96 (1). pp. 51-56. ISSN 0168-8510

Stone, Diane and Wright, Christopher (2006) From 'safeguards' to 'sustainability': The evolution of environmental discourse inside the International Finance Corporation. In: Stone, Diane and Wright, Christopher, (eds.) The World Bank and Governance: a Decade of Reform and Reaction. Routledge/Warwick studies in globalisation. Routledge, Abingdon, UK, pp. 67-87. ISBN 978-0-415-41282-7

Storper, Michael ORCID: 0000-0002-8354-792X (2014) Commentary on 2013 Roepke lecture financial literacy in context. Economic Geography, 90 (1). pp. 25-27. ISSN 0013-0095

Stroikos, Dimitrios ORCID: 0000-0002-1588-1969 and Mikelis, Kyriakos (2017) Hierarchies, civilization, and the Eurozone crisis: the Greek financial crisis. In: Marangos, John, (ed.) The Internal Impact and External Influence of the Greek Financial Crisis. Palgrave Macmillan, Cham, Switzerland, pp. 125-142. ISBN 9783319602004

Stuart, Forrest (2014) Recent “homeless diversion programs” may actually exacerbate chronic homelessness. LSE American Politics and Policy (24 Jun 2014). Website.

Subedi, Mukti and Chalise, Bishal K (2018) Do more with less: managing public investment in federal Nepal. South Asia @ LSE (22 Feb 2018). Website.

Suh, Ellie ORCID: 0000-0001-5677-9648 (2022) Can't save or won't save: financial resilience and discretionary retirement saving among British adults in their thirties and forties. Ageing and Society, 42 (12). 2940 - 2967. ISSN 0144-686X

Sullivan, David (2015) UN FORUM SERIES – competition, collaboration, and corporate accountability rankings. Measuring Business and Human Rights (01 Dec 2015). Website.

Sullivan, Esther and Olmedo, Carlos (2014) Away from cities, informal developments provide affordable housing for those on low incomes, but conditions are often poor. LSE American Politics and Policy (15 Jul 2014). Website.

Sullivan, Ryan, Timmermann, Allan and White, Halbert (1998) Data snooping, technical trading, rule performance, and the bootstrap. Financial Markets Group Discussion Papers (303). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sullivan, Ryan, Timmermann, Allan and White, Halbert (1998) The dangers of data-driven inference: the case of calender effects in stock returns. Financial Markets Group Discussion Papers (304). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sunirand, Pojanart (2002) The role of bank capital and the transmission mechanism of monetary policy. Financial Markets Group Discussion Papers (433). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Sunirand, Pojanart (2003) The role of money in the transmission mechanism of monetary policy: evidence from Thailand. Financial Markets Group Discussion Papers (451). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Surminski, Swenja (2010) Adapting to the extreme weather impacts of climate change: how can the insurance industry help? . ClimateWise, London, UK.

Surminski, Swenja (2012) Les apports du « SREX » à l’assurance (2/2). la Lettre D’information de la Mission Risques Naturels, 19. pp. 9-10.

Surminski, Swenja and Oramas-Dorta, Delioma (2011) Building effective and sustainable risk transfer initiatives in low- and middle-income economies: what can we learn from existing insurance schemes? Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment policy papers. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Suss, Joel (2013) Book review: The US financial crisis: analysis andinterpretation: lessons for China. LSE Review of Books (19 Mar 2013). Website.

Sutton, John (2002) Market structure and performance. In: Smelser, Neil J and Baltes, Paul B, (eds.) International Encyclopedia of the Social and Behavioral Sciences. UNSPECIFIED, Amsterdam: Elsevier Science. ISBN 0-08043076-7

Sutton, John (2013) Sub-Saharan Africa on cusp of major global economic boom. Africa at LSE (25 Sep 2013). Website.

Svensson, Roger and Persson, Lars (2016) The advantage of selling an invention instead of turning it into a business. LSE Business Review (06 Jul 2016). Website.

Swales, Kirby (2018) Have we overestimated the relationship between income and financial well-being? British Politics and Policy at LSE (16 May 2018). Website.

Swan, Melanie (2016) Blockchains may replace the institutions that safeguard commercial activities. LSE Business Review (31 Mar 2016). Website.

Swan, Sean (2016) The concept of class is absent from political debate, even as inequality in Britain reaches new heights. Democratic Audit UK (11 Feb 2016). Website.

Szumilo, Nikodem and Vanino, Enrico ORCID: 0000-0002-4740-1501 (2021) Are government and bank loans substitutes or complements? Evidence from spatial discontinuity in equity loans. Real Estate Economics, 49 (3). 968 - 996. ISSN 1080-8620

T

Tagliapietra, Simone (2013) Financing the EU Energy infrastructure after the Euro Crisis. Euro Crisis in the Press (27 Oct 2013). Website.

Tahbaz-Salehi, Alireza, Vedolin, Andrea and Mueller, Philippe (2016) Some currency trading positions yield increased returns around Fed announcements. LSE Business Review (18 Feb 2016). Website.

Tambini, Damian (2010) Beyond the great crash of 2008: questioning journalists’ legal and ethical frameworks. Ethical Space: the International Journal of Communication Ethics, 7 (3). ISSN 1742-0105

Tambini, Damian (2013) Should journalists write about companies they own shares in? In Hong Kong they do. (New publication). POLIS: journalism and society at the LSE (18 Feb 2013). Website.

Tambini, Damian (2010) What are financial journalists for? Journalism Studies, 11 (2). pp. 158-174. ISSN 1461-670X

Tammas-Hastings, Dan (2020) Artificial intelligence will play an increasing role in wealth management. LSE Business Review (03 Apr 2020). Blog Entry.

Tammas-Hastings, Dan (2018) The Financial Conduct Authority asks robo-advisors for more. LSE Business Review (25 May 2018). Website.

Tammas-Hastings, Dan (2018) ICOs: raising money by issuing cryptocurrency, with less regulation. LSE Business Review (07 Aug 2018). Website.

Tammas-Hastings, Dan (2017) ‘WealthTech’: The challenges facing the wealth management industry. LSE Business Review (16 Jun 2017). Website.

Tammas-Hastings, Dan (2017) The exploding popularity of RegTech. LSE Business Review (07 Jul 2017). Blog Entry.

Tammas-Hastings, Dan (2018) The rise of the regulator may lead to trouble for the blockchain. LSE Business Review (10 Apr 2018). Website.

Tammas-Hastings, Daniel (2022) Embedded wealth: how fintechs can radically alter the way we invest. LSE Business Review (14 Feb 2022). Blog Entry.

Tan, Veltrice (2018) The art of deterrence: Singapore’s anti-money laundering regimes. Journal of Financial Crime, 25 (2). pp. 467-498. ISSN 1359-0790

Tasca, Paolo and Battiston, Stefano (2014) Diversification and financial stability. Systemic Risk Centre Discussion Papers (10). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Taschini, Luca ORCID: 0000-0001-5355-1736, Chesney, Marc and Wang, Mei (2014) Experimental comparison between markets on dynamic permit trading and investment in irreversible abatement with and without non-regulated companies. Journal of Regulatory Economics, 46 (1). pp. 23-50. ISSN 0922-680X

Tasselli, Stefano (2015) How does knowledge flow in organisations? LSE Business Review (03 Dec 2015). Website.

Taylor, Blake Edward (2015) Reconsidering the rise of ‘shareholder value’ in the United States, 1960-2000. Economic History working paper series (214/2015). London School of Economics and Political Science, London, UK.

Taylor, Helen and Kaehne, Axel (2016) Public consultations do not currently enable all stakeholders to effectively contribute to the legislative process. Democratic Audit UK (24 Mar 2016). Website.

Taylor, Nick (2011) Book review: casino capitalism: how the financial crisis came about and what needs to be done now. British Politics and Policy at LSE (20 Mar 2011). Website.

Tayo, Teniola (2021) Will Africa’s free trade area increase inequalities? Africa at LSE (18 Jun 2021). Blog Entry.

Teh, Tse-Ling (2017) Insurance design in the presence of safety nets. Journal of Public Economics, 149. pp. 47-58. ISSN 0047-2727

Tejani, Mairi (2014) 2014 LSE Africa Summit : African entrepreneurs and the struggle to gain financing. Africa at LSE (26 Feb 2014). Website.

Temin, Peter (2013) Currency crises from Andrew Jackson to Angela Merkel. In: Modern and comparative economic history seminar, 2013-01-24, London School of Economics and Political Science, London, United Kingdom. (Submitted)

Tenreyro, Silvana ORCID: 0000-0002-9816-7452 and Barro, Robert J. (2003) Economic effects of currency unions. . National Bureau of Economic Research, Cambridge, MA., USA.

Tenreyro, Silvana ORCID: 0000-0002-9816-7452 and Thwaites, Gregory (2013) Pushing on a string: US monetary policy is less powerful in recessions. CEP Discussion Papers (CEPDP1218). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Terborgh, Andrew G. (2003) The post-war rise of world trade: does the Bretton Woods System deserve credit? Economic History Working Papers (78/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Terracciano, Tammaro and Somoza, Luciano (2020) Central bank digital currency: the devil is in the details. LSE Business Review (26 May 2020). Blog Entry.

Thatcher, Mark and Vlandas, Tim (2016) Overseas state outsiders as new sources of patient capital: government policies to welcome sovereign wealth fund investment in France and Germany. Socio-Economic Review, 14 (4). pp. 647-668. ISSN 1475-1461

Thia, Jang Ping (2008) Why capital does not migrate to the south: a new economic geography perspective. CEP Discussion Paper (895). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853283287

Thimann, Christian (2014) How insurers differ from banks: a primer on systemic regulation. Special Papers (No 3). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Thimann, Christian (2016) Insurance and systemic risk: no easy conclusions. VoxEU.

Thomadakis, Apostolos (2021) UK financial services should shift their focus away from equivalence. LSE Brexit (29 Mar 2021). Blog Entry.

Thomadakis, Stavros, Gounopoulos, Dimitrios, Nounis, Christos and Riginos, Michalis (2014) Financial innovation and growth listings and IPOs from 1880 to World War II in the Athens Stock Exchange. GreeSE papers (86). London School of Economics and Political Science, London, UK.

Thomadakis, Stavros B. (2015) Growth, debt and sovereignty prolegomena to the Greek crisis. Hellenic Observatory Papers on Greece and Southeast Europe (GreeSE Paper No.91). European Institute London School of Economics and Political Science, London, UK.

Thomas, Carlos (2007) Search frictions, real rigidities and inflation dynamics. CEPDP (822). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 9780853280828

Thomas, Catherine ORCID: 0000-0002-7783-9758 and Bernard, Andrew (2021) Multinational firms' market entry and expansion, with evidence from Eastern Europe. In: Foley, C. Fritz, Hines, James and Wessel, David, (eds.) Global Goliaths: Multinational Corporations in the 21st Century Economy. Brookings Institution. Press, Washington, DC, 89 - 128. ISBN 9780815738558

Thomason, Nicholas (2013) Book review: hedge fund structure, regulation and performance around the world. LSE Review of Books (09 Oct 2013). Website.

Thomason, Nicholas (2015) Book review: masters of the universe, slaves of the market. LSE Review of Books (03 Aug 2015). Website.

Thomopoulos, Nikolaos and Grant-Muller, Susan (2013) Incorporating equity as part of the wider impacts in transport infrastructure assessment: an application of the SUMINI approach. Transportation, 40 (2). pp. 315-345. ISSN 0049-4488

Thomopoulos, Nikolas (2010) Results of an equity analysis within a TEN-T case study (presentation). In: 23rd European Regional Science Association (ERSA) Summer School 2010: Productivity and Financing of Regional Infrastructure, 2010-08-10 - 2010-08-19, Stockholm and Jönköping, Sweden.

Thomopoulos, Nikolas, Grant-Muller, S. and Tight, M.R. (2009) Incorporating equity considerations in transport infrastructure evaluation: current practice and a proposed methodology. Evaluation and Program Planning, 32 (4). pp. 351-359. ISSN 0149-7189

Thomopoulos, Nikolas, Grant-Muller, Susan and Tight, Miles R. (2007) Can equity be included in appraisal of large transport infrastructure projects? A review of past European practice and principles. In: Netwrok on European Communications and Transport Activities (NECTAR) Bi-Annual Conference 2007, 2007-05-01, Porto, Portugal. (Submitted)

Thomopoulos, Nikolas, Grant-Muller, Susan and Tight, Miles R. (2008) Evaluation of an MCA equity appraisal framework through a TEN-T case study. In: European Transport Conference 2008, 2008-10-06 - 2008-10-08, Leeuwenhorst, Netherlands.

Thomopoulos, Nikolas and Takama, Takeshi (2007) Issues in the implementation of road user charging in UK national parks: the case of Upper Derwent Valley in the Peak District National Park. In: 11th World Conference on Transport Research, 2007-06-24 - 2007-06-28, Berkeley CA, United States. (Submitted)

Thomopoulos, Nikolas and Takama, Takeshi (2010) Road user charging in rural areas: Upper Derwent valley, UK. Proceedings of the ICE - Transport, 163 (2). pp. 93-107. ISSN 0965-092X

Thomson, Sarah, Tamas, Evetovits and Cylus, Jonathan (2017) Financial protection in high-income countries: a comparison of the Czech Republic, Estonia and Latvia. Working Paper prepared by the WHO Regional Office for Europe (WHO/HIS/HGF/HFWorkingPaper/17.12). World Health Organization, Copenhagen, Denmark.

Thomä, Jakob, Murray, Clare, Jerosch-Herold, Vincent and Magdanz, Janina (2019) Do you manage what you measure? Investor views on the question of climate actions with empirical results from the Swiss pension fund and insurance sector. Journal of Sustainable Finance and Investment, 11 (1). pp. 47-61. ISSN 2043-0795

Thornton, Phil (2014) Assessing the economic effects of Ebola. International Growth Centre Blog (26 Sep 2014). Website.

Thornton, Phil (2014) Building the African cities of the future. International Growth Centre Blog (25 Sep 2014). Website.

Thornton, Phil (2014) Key lessons in management for developing countries. International Growth Centre Blog (26 Sep 2014). Website.

Thornton, Phil (2014) Pricing the real cost of energy. International Growth Centre Blog (26 Sep 2014). Website.

Thorpe, Caroline (2013) More chairs, please. Engenderings (31 Jul 2013). Website.

Timcke, Scott (2021) Book review: Africa’s last colonial currency: the CFA franc story by Fanny Pigeaud and Ndongo Samba Sylla. LSE Review of Books (02 Jul 2021). Blog Entry.

Timmermann, Allan (1999) Moments of Markov switching models. Financial Markets Group Discussion Papers (323). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Timmermann, Allan (1998) Structural breaks, incomplete information and stock prices. Financial Markets Group Discussion Papers (311). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Timmermann, Allan (2001) Structural breaks, incomplete information, and stock prices. Journal of Business and Economic Statistics, 19 (3). pp. 299-314. ISSN 0735-0015

Toczydlowska, Dorota and Peters, Gareth W. (2018) Financial big data solutions for state space panel regression in interest rate dynamics. Econometrics, 6 (3).

Todorov, Karamfil (2020) Quantify the quantitative easing: impact on bonds and corporate debt issuance. Journal of Financial Economics, 135 (2). 340 - 358. ISSN 0304-405X

Toffano, Priscilla and Yuan, Kathy (2019) E-shekels across borders: a distributed ledger system to settle payments between Israel and the West Bank. LSE Middle East Centre paper series (28). LSE Middle East Centre, London, UK.

Tomaney, John (2017) Book review: from boom to bubble: how finance built the new Chicago by Rachel Weber. LSE Review of Books (04 May 2017). Website.

Tomaskovic-Devey, Donald (2015) The rise of financialization has led to lower living standards and reduced growth in the U.S. USApp– American Politics and Policy Blog (12 Jun 2015). Website.

Tong, Howell (2000) A note on kernel estimation in integrated time series. In: Chan, K.S, Li, W.K and Tong, Howell, (eds.) Statistics and Finance: an Interface. Imperial College Press, London, UK, pp. 86-96. ISBN 9781860942372

Tong, Jian and Chenggang, Xu (2004) Financial institutions and the wealth of nations: tales of development. . Suntory and Toyota International Centres for Economics and Related Disciplines, London, UK.

Tonks, Ian (2002) Performance persistence of pension fund managers. Financial Markets Group Discussion Papers (43). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Torelli, Stefano M. (2016) The EU’s olive oil diplomacy: Italian fears and prospects for Tunisia. Euro Crisis in the Press (16 Mar 2016). Website.

Torry, Malcolm (2018) LSE festival Beveridge 2.0 preview: 'why we need a citizen's basic income: a new edition or a new book?' by Malcolm Torry. LSE Review of Books (12 Feb 2018). Website.

Toulan, Omar and Pisani, Niccolò (2018) German firms: ppen borders, closed boardrooms. LSE Business Review (17 Sep 2018). Website.

Towning, William and Goodhart, C. A. E. (2019) Fed's floor could be 'junked' if credit surges - Goodhart. Central Banking. ISSN 0960-6319

Trelstad, Brian (2017) The challenge for impact investing is management, not measurement. LSE Business Review (02 Mar 2017). Website.

Tse, Terence (2014) First step to solving the Eurozone crisis: Change our perceptions. Euro Crisis in the Press (07 Feb 2014). Website.

Tse, Terence and Esposito, Mark (2015) Germany, the giant with the feet of clay. Euro Crisis in the Press (12 Mar 2015). Website.

Tse, Terence and Maria Cosentino, Andrea (2022) Fintech: financial inclusion for the tough times ahead. LSE Business Review (04 Jul 2022). Blog Entry.

Tse, Terence and Maria Cosentino, Andrea (2022) Fintech: financial inclusion for the tough times ahead. USApp – American Politics and Policy Blog (09 Jul 2022). Blog Entry.

Tsionas, Mike G. and Michaelides, Panayotis G. (2017) Neglected chaos in international stock markets: Bayesian analysis of the joint return–volatility dynamical system. Physica A: Statistical Mechanics and Its Applications, 482. pp. 95-107. ISSN 0378-4371

Tsomocos, Dimitrios P. (2003) Equilibrium analysis, banking, contagion and financial fragility. Financial Markets Group Discussion Papers (450). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Tsomocos, Dimitrios P., Bhattacharya, Sudipto, Goodhart, Charles A. E. and Sunirand, Pojanart (2007) Banks, relative performance, and sequential contagion. Economic Theory, 32 (2). pp. 381-398. ISSN 0938-2259

Tsomocos, Dimitrios P. and Zicchino, Lea (2005) On modelling endogenous default. Financial Markets Group Discussion Papers (548). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Tsui, Josephine (2011) Does the World Bank need an expanded notion of institutions to take gender into account? Engenderings (20 Oct 2011). Website.

Tudela, Maria Mercedes (2001) Explaining currency crises: a duration model approach. CEPDP (487). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0753014467

Tully, Stephen (2004) Access to justice within the sustainable self-governance model. CARR Discussion Papers (DP 21). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753017431

Tully, Stephen (2004) Corporate-NGO partnerships as a form of civil regulation: lessons from the energy biodiversity initiative. CARR Discussion Papers (DP 22). ESRC Centre for Analysis of Risk and Regulation, London, UK. ISBN 0753017717

Tungsong, S., Caccioli, F. and Aste, T. (2018) Relation between regional uncertainty spillovers in the global banking system. Journal of Network Theory in Finance, 4 (2). pp. 1-23. ISSN 2055-7795

Turiel, Jeremy, Fernandez-Reyes, Delmiro and Aste, Tomaso (2020) Wisdom of crowds detects COVID-19 severity ahead of officially available data. Financial Markets Group Discussion Papers (808). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Turiel, Jeremy D. and Aste, Tomaso (2022) Heterogeneous criticality in high frequency finance: a phase transition in flash crashes. Entropy, 24 (2). ISSN 1099-4300

Turner, Adair (2015) We need to address the role private debt and real estate play in our economies. LSE Business Review (09 Nov 2015). Website.

Tuytens, Pieter (2019) Countering financial interests for social purposes: what drives state intervention in pension markets in the context of financialisation? Journal of European Public Policy, 26 (4). pp. 560-578. ISSN 1350-1763

Tzougas, George and Frangos, Nicholas (2014) The design of an optimal Bonus-Malus System based on the Sichel distribution. In: Silvestrov, Dmitrii and Martin-Löf, Anders, (eds.) Modern Problems in Insurance Mathematics. EAA Series. Springer International (Firm), Cham, Switzerland. ISBN 9783319066523

Tzougas, George and Makariou, Despoina ORCID: 0000-0002-9001-2122 (2022) The multivariate Poisson-Generalized Inverse Gaussian claim count regression model with varying dispersion and shape parameters. Risk Management and Insurance Review, 25 (4). 401 - 417. ISSN 1098-1616

Tzougas, George, Yik, Woo Hee and Mustaqeem, Muhammad Waqar (2019) Insurance ratemaking using the Exponential-Lognormal regression model. Annals of Actuarial Science. 1 - 30. ISSN 1748-4995

U

Udry, Chris (2013) Can easier access to credit help lift Ghanaian farmers out of poverty? International Growth Centre Blog (06 Dec 2013). Website.

Ugarteche, Oscar (2020) Book review: managing currency risk: how Japanese firms choose invoicing currency by Takatoshi Ito, Satoshi Koibuchi, Kiyotaka Sato and Junko Shimizu. LSE Review of Books (13 Jul 2020). Blog Entry.

Ughetto, Elisa, Cowling, Marc and Lee, Neil ORCID: 0000-0002-4138-7163 (2019) Regional and spatial issues in the financing of small and medium-sized enterprises and new ventures. Regional Studies, 53 (5). pp. 617-619. ISSN 0034-3404

Uldam, Julie (2015) The electoral success of the Danish People’s party: Something rotten in the state of Denmark? Euro Crisis in the Press (29 Jun 2015). Website.

Ungeheuer, Michael and Hillert, Alexander (2016) The business value of appearing on The New York Times. LSE Business Review (20 Dec 2016). Website.

Uthemann, Andreas (2017) Competitive screening of customers with non-common priors. Systemic Risk Centre Discussion Papers (73). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Uzor, Eustace (2017) Enhancing Tax Collection Efficiency and Compliance in Nigeria: The role of behavioural economics. Africa at LSE (20 Mar 2017). Website.

V

Vaganay, Arnaud (2011) Book review: poor economics: a radical rethinking of the way to fight global poverty. British Politics and Policy at LSE (04 Sep 2011). Website.

Vaitilingam, Romesh (2021) The risks of prolonged higher inflation. LSE Business Review (26 Nov 2021). Blog Entry.

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

Valenzuela, Marcela, Zer, Ilknur, Fryzlewicz, Piotr ORCID: 0000-0002-9676-902X and Rheinlander, Thorsten (2015) Relative liquidity and future volatility. Journal of Financial Markets, 24. pp. 25-48. ISSN 1386-4181

Valero, Anna (2016) Autumn Statement does little to dampen fears for the economic health of the UK. LSE Business Review (24 Nov 2016). Website.

Valero, Anna (2015) A clear growth strategy would steer the UK away from short-term solutions to its productivity puzzle. LSE Business Review (23 Nov 2015). Website.

Van Overbeke, Toon ORCID: 0000-0002-0620-9943 (2022) (De)regulating automation: the rise of credit scoring and market-led banking in the UK and Germany. Comparative European Politics. ISSN 1472-4790

Van Reenen, John ORCID: 0000-0001-9153-2907 (2010) The 2010 Comprehensive Spending Review: the economics of the cuts agenda are neither justified nor just. British Politics and Policy at LSE (26 Oct 2010). Website.

Van Reenen, John ORCID: 0000-0001-9153-2907 (2012) Two cheers for Anglo-Saxon financial markets? British Politics and Policy at LSE (11 Jun 2012). Website.

Van Reenen, John ORCID: 0000-0001-9153-2907, Bloom, Nick and Bond, Steve (2007) Uncertainty and investment dynamics. Review of Economic Studies, 74 (April). pp. 391-415. ISSN 0034-6527

Van Reenen, John ORCID: 0000-0001-9153-2907, Bloom, Nick and Bond, Steve (2006) Uncertainty and investment dynamics. . London School of Economics and Political Science. Centre for Economic Performance, London, UK.

Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2016) Big data, bigger picture, financial management. Financial Management. pp. 40-43. ISSN 1471-9185

Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2013) Book review: discretion in managerial bonus pools. Accounting Review, 88 (1). pp. 351-356. ISSN 0001-4826

Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2011) Risk and governance reporting: challenges for effective disclosures. Cfo Aktuell, 5 (6). pp. 200-203. ISSN 1993-2960

Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2007) The pitfalls of pay-for-performance. Finance and Management, 150 (Dec.). ISSN 1471-1818

Van der Stede, Wim ORCID: 0000-0003-3005-2410 and Kruik, Dimitri (2013) Governance cultuur in de boardroom: uitdagingen voor bestuuren RvC bij toenemende regeldrukte over corporate governance. Management Control and Accounting (1). pp. 10-13. ISSN 1386-3452

Van der Stede, Wim ORCID: 0000-0003-3005-2410 and Kruik, Dimitri (2012) Scenariobudgettering. Cfo Magazine (May 2012). Website.

Vandezande, Niels (2014) Internet Income? IRS Decides Bitcoins are Taxable Property, not Money. Media Policy Blog (31 Mar 2014). Website.

Vandoros, Sotiris (2013) My five pounds are not as good as yours, so I will spend them. Experimental Economics, 16 (4). pp. 546-559. ISSN 1386-4157

Vandoros, Sotiris, Kavetsos, Georgios and Dolan, Paul (2014) Greasy roads: the impact of bad financial news on road traffic accidents. Risk Analysis, 34 (3). pp. 556-566. ISSN 0272-4332

Varela, Liliana (2020) Fuelling procompetitive growth with foreign credit. LSE Business Review (30 Jan 2020). Blog Entry.

Varela, Liliana (2018) Reallocation, competition, and productivity: evidence from a financial liberalization episode. Review of Economic Studies, 85 (2). pp. 1279-1313. ISSN 0034-6527

Varela, Liliana (2017) Sector heterogeneity and credit market imperfections in emerging markets. Journal of International Money and Finance, 70. pp. 433-451. ISSN 0261-5606

Varela, Liliana Veronica and Bisang, Roberto (2006) Biotechnology in Argentine agriculture faces world-wide concentration. Electronic Journal of Biotechnology, 9 (3). ISSN 0717-3458

Vargha, Zsuzsanna (2011) From long-term savings to instant mortgages: financial demonstration and the role of interaction in markets. Organization, 18 (2). pp. 215-235. ISSN 1350-5084

Vargha, Zsuzsanna (2010) Markets from interactions: the technology of mass personalization in consumer banking. . Columbia University, Columbia, USA.

Vargha, Zsuzsanna (2010) Technologies of persuasion: personal selling and the making of markets is consumer finance. Doctoral thesis, Columbia University.

Vayanos, Dimitri (2004) Flight to quality, flight to liquidity, and the pricing of risk. NBER Working Papers (10327). National Bureau of Economic Research, Inc, London, UK.

Vayanos, Dimitri (1999) Strategic trading and welfare in a dynamic market. Review of Economic Studies, 66 (2). pp. 219-254. ISSN 0034-6527

Vayanos, Dimitri (2001) Strategic trading in a dynamic noisy market. Journal of Finance, 56 (1). pp. 131-171. ISSN 1540-6261

Vayanos, Dimitri (2012) Theories of liquidity. Foundations and Trends in Finance, 6 (4). pp. 221-317. ISSN 1567-2395

Vayanos, Dimitri ORCID: 0000-0002-0944-4914 (1998) Transaction costs and asset prices : a dynamic equilibrium model. Review of Financial Studies, 11 (1). pp. 1-58. ISSN 0893-9454

Vayanos, Dimitri and Vila, Jean-Luc (2009) A preferred-habitat model of the term structure of interest rates. Financial Markets Group Discussion Papers (641). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vayanos, Dimitri ORCID: 0000-0002-0944-4914 and Vila, Jean-Luc (2021) A preferred-habitat model of the term structure of interest rates. Econometrica, 89 (1). 77 - 112. ISSN 0012-9682

Vayanos, Dimitri and Wang, Jiang (2009) Liquidity and asset prices: a united framework. Discussion paper (639). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vayanos, Dimitri ORCID: 0000-0002-0944-4914 and Wang, Jiang (2012) Liquidity and asset returns under asymmetric information and imperfect competition. Review of Financial Studies, 25 (5). pp. 1339-1365. ISSN 0893-9454

Vayanos, Dimitri and Wang, Jiang (2012) Liquidity and asset returns under asymmetric information and imperfect competition. Financial Markets Group Discussion Papers (708). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vayanos, Dimitri and Wang, Jiang (2012) Market liquidity - theory and empirical evidence. Financial Markets Group Discussion Papers (709). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vayanos, Dimitri and Wang, Jiang (2013) Market liquidity: theory and empirical evidence. In: Constantinides, George M., Harris, Milton and Stulz, Rene M., (eds.) Handbook of the Economics of Finance: Volume 2b: Financial Markets and Asset Pricing. Handbooks in economics. North-Holland, Oxford, UK. ISBN 9780444594068

Vayanos, Dimitri and Wang, Tan (2004) Search and endogenous concentration of liquidity in asset markets. . Econometric Society, London, UK.

Vayanos, Dimitri and Weill, Pierre-Olivier (2005) A search-based theory of the on-the-run phenomenon. . American Finance Association.

Vayanos, Dimitri ORCID: 0000-0002-0944-4914 and Weill, Pierre-Olivier (2008) A search-based theory of the on-the-run phenomenon. Journal of Finance, 63 (3). pp. 1361-1398. ISSN 0022-1082

Vayanos, Dimitri ORCID: 0000-0002-0944-4914 and Woolley, Paul (2023) Asset management as creator of market inefficiency. Atlantic Economic Journal, 51 (1). pp. 1-11. ISSN 0197-4254

Vayanos, Dimitri and Woolley, Paul (2016) Curse of the benchmarks. Financial Markets Group Discussion Papers (747). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vayanos, Dimitri and Woolley, Paul (2011) Fund flows and asset prices: a baseline model. Financial Markets Group Discussion Papers (667). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vayanos, Dimitri and Woolley, Paul (2013) An institutional theory of momentum and reversal. Review of Financial Studies, 26 (5). pp. 1087-1145. ISSN 0893-9454

Vedolin, Andrea (2012) Uncertainty and leveraged Lucas Trees: the cross section of equilibrium volatility risk premia. . Department of Finance, London School of Economics and Political Science, London, UK.

Velasco, Andres ORCID: 0000-0003-0441-5062 (2018) Decoding currency crises. Project Syndicate.

Velasco, Andres ORCID: 0000-0003-0441-5062 (2019) Dirty floating in emerging markets. Project Syndicate.

Velasco, Andres ORCID: 0000-0003-0441-5062 (2002) Revisiting the case for a populist central banker: a comment. European Economic Review, 46 (3). p. 613. ISSN 0014-2921

Velasco, Andres ORCID: 0000-0003-0441-5062 (2018) Taming capital flow volatility. Project Syndicate.

Velasco, Andres ORCID: 0000-0003-0441-5062 (2019) The challenge of monetary independence. Project Syndicate.

Velasco, Andres ORCID: 0000-0003-0441-5062 and Chang, Roberto (2019) Will Facebook’s Libra turn into a cancer? Project Syndicate.

Venmans, Frank ORCID: 0000-0002-4264-6606 (2021) The leverage anomaly in U.S. bank stock returns. Journal of International Financial Markets, Institutions and Money, 75. ISSN 1042-4431

Venugopal, Rajesh ORCID: 0000-0002-7498-7712 (2011) The politics of market reform at a time of civil war: military fiscalism in Sri Lanka. Economic and Political Weekly, 46 (49). pp. 67-75. ISSN 0012-9976

Veraart, Almut E. D. and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2012) Stochastic volatility and stochastic leverage. Annals of Finance, 8 (2-3). pp. 205-233. ISSN 1614-2446

Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2011) Optimal investment in the foreign exchange market with proportional transaction costs. Quantitative Finance, 11 (4). pp. 631-640. ISSN 1469-7688

Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2010) Optimal market making in the foreign exchange market. Applied Mathematical Finance, 17 (4). pp. 359-372. ISSN 1350-486X

Verardo, Michela (2009) Heterogenous beliefs and momentum profits. Journal of Financial and Quantitative Analysis, 44 (4). pp. 795-822. ISSN 0022-1090

Verardo, Michela and Patton, Andrew J. (2016) Company news affects the way in which a stock’s returns co-move with those of other firms. LSE Business Review (10 Mar 2016). Website.

Vergne, Clémence (2015) Ghana: what medium-term development model? Africa at LSE (30 Apr 2015). Website.

Verhoeven, Harry and Lippolis, Nicolas (2022) How the US-China rivalry is undermining efforts to address Africa’s debt. Africa at LSE (01 Aug 2022). Blog Entry.

Verkhivker, Alex (2016) Book review: The truth about inflation by Paul Donovan. LSE Review of Books (23 May 2016). Website.

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

Vermaelen, Theo and Xu, Moqi (2011) Acquisition finance, capital structure and market timing. . The China Centre for Financial Research, Tsinghua University, Beijing, China.

Vermeiren, Mattias (2015) The limits of German power: how ECB decisions have put constraints on Berlin’s management of the crisis. LSE European Politics and Policy (EUROPP) Blog (08 Sep 2015). Website.

Vernengo, Matías (2014) Despite assertions to the contrary, the New Deal’s fiscal policies were key to ending the Great Depression. LSE American Politics and Policy (02 Apr 2014). Website.

Vestergaard, Jakob and Wade, Robert H. (2015) Still in the woods: gridlock in the IMF and the World Bank puts multilateralism at risk. Global Policy, 6 (1). 1 - 12. ISSN 1758-5880

Vidal-Tomás, David, Briola, Antonio and Aste, Tomaso (2023) FTX's downfall and Binance's consolidation: the fragility of centralised digital finance. Physica A, 625. ISSN 0378-4371

Vieira, Helena (2017) Edward George: 'Banks are in danger of becoming utilities'. LSE Business Review (31 Oct 2017). Blog Entry.

Vieira, Helena (2017) Marc DaCosta: “Define your problem, then look at the data, not the other way around”. LSE Business Review (25 May 2017). Website.

Vieira, Helena (2017) William Murphy: ‘We need change management to help people with new technology’. LSE Business Review (16 May 2017). Website.

Vitale, Paolo (2001) Foreign exchange intervention and macroeconomic stability. Financial Markets Group Discussion Papers (317). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Vogel, David (2012) The past twenty years have seen global regulatory leadership shift from the United States to the European Union. LSE European Politics and Policy (EUROPP) Blog (04 Jun 2012). Website.

Volckart, Oliver (2017) Bimetallism and its discontents: cooperation and coordination failure in the empire’s monetary politics, 1549-59. Economic History working papers (271/2017). London School of Economics and Political Science, London, UK.

Volckart, Oliver (2018) Bimetallism and its discontents: cooperation and coordination failure in the empire’s monetary politics, 1549–59. Vierteljahresschrift fur Sozial und Wirtschaftsgeschichte, 105 (2). pp. 201-220. ISSN 0340-8728

Volckart, Oliver (2003) Bureau competition and economic policies in Nazi Germany, 1933-39. Economic History Working Papers (80/03). Department of Economic History, London School of Economics and Political Science, London, UK.

Volckart, Oliver (2002) Central Europe's way to a market economy, 1000–1800. European Review of Economic History, 6 (3). pp. 309-337. ISSN 1474-0044

Volckart, Oliver (2003) Early beginnings of the quantity theory of money and their context in Polish and Prussian monetary policies. Economic History Review, 50 (3). pp. 430-449. ISSN 0013-0117

Volckart, Oliver (2006) Estimating financial integration in the Middle Ages: what can we learn from a TAR Model? Journal of Economic History, 66 (1). pp. 122-139. ISSN 0022-0507

Volckart, Oliver (2017) Power politics and princely debts: why Germany's common currency failed, 1549-56. Economic History Review, 70 (3). pp. 758-778. ISSN 0013-0117

Volckart, Oliver (2017) Premodern debasement: a messy affair. Economic History working papers (270/2017). London School of Economics and Political Science, London, UK.

Volckart, Oliver (2018) Technologies of money in the Middle Ages: the 'Principles of Minting'. Economic History working papers (275/2018). London School of Economics and Political Science, London, UK.

Vollmer, Hendrik, Mennicken, Andrea ORCID: 0000-0002-5658-7678 and Preda, Alex (2009) Tracking the numbers: across accounting and finance, organizations and markets. Accounting, Organizations and Society, 34 (5). pp. 619-637. ISSN 0361-3682

Volta, Vittoria and Aste, Tomaso (2022) Causal coupling between European and UK markets triggered by announcements of monetary policy decisions. Royal Society Open Science, 9 (3). ISSN 2054-5703

Volz, Ulrich, Dikau, Simon, Almeida, Elena and Robins, Nick (2022) The role of central banks and supervisors in scaling up sustainable finance and investment in the Global South. In: Schoenmaker, Dirk and Volz, Ulrich, (eds.) Scaling Up Sustainable Finance and Investment in the Global South. Centre for Economic Policy Research (Great Britain), London, UK, 109 - 132. ISBN 9781912179664

van Geffen, Robert (2016) Would Brexit be the final straw for financial services in the UK? LSE Brexit (20 Jun 2016). Website.

van Vliet, Pim (2017) Debunking the investment myth that high risks yield high returns. LSE Business Review (17 Jan 2017). Website.

van der Graaf, Judy (2013) Risk regulation at transnational level: understanding the role of non-state actors. Researching Sociology (20 Dec 2013). Website.

von Berg, Maximilien (2016) Economic solutions are crucial to help solve Somalia’s political woes. Africa at LSE (02 Nov 2016). Website.

von Stumm, Sophie, Fenton O’Creevy, Mark and Furnham, Adrian (2013) Financial capability, money attitudes and socioeconomic status: risks for experiencing adverse financial events. Personality and Individual Differences, 54 (3). pp. 344-349. ISSN 0191-8869

W

Wade, Robert (2015) Fiscal compact treaty adds to chaos in Europe – Robert Wade. International Development (02 Oct 2015). Website.

Wade, Robert (2015) Get profit share to support a more equal income distribution – Robert Wade. International Development (21 Aug 2015). Website.

Wade, Robert (2015) Living where you don’t make the rules: Development in Palestine – one of the world’s last colonies. International Development (11 Aug 2015). Website.

Wade, Robert (2016) Neoliberalism and industrial policy in Georgia – Professor Robert Wade. International Development (12 May 2016). Website.

Wade, Robert (2015) Robert Wade takes umbrage at defence of corporate managers and short-termism in the Financial Times. International Development (13 Aug 2015). Website.

Wade, Robert (2016) ‘Scale-ups’ are the true engines of growth – Professor Robert Wade. International Development (20 Apr 2016). Website.

Wade, Robert H. (2016) Boulevard to broken dreams, part 2: implementation of the Polonoroeste road project in the Brazilian Amazon, and the World Bank's response to the gathering storm. Brazilian Journal of Political Economy, 36 (3). pp. 646-663. ISSN 1809-4538

Wade, Robert H. and Vestergaard, Jakob (2015) Why is the IMF at an impasse, and what can be done about it? Global Policy, 6 (3). pp. 290-296. ISSN 1758-5880

Wade, Robert Hunter (2016) Economists’ ethics in the build-up to the Great Recession. In: DeMartino, George F. and McCloskey, Deirdre N., (eds.) The Oxford Handbook of Professional Economic Ethics. Oxford Handbooks. Oxford University Press, Oxford, UK, pp. 268-296. ISBN 9780199766635

Wade, Robert Hunter (2011) Muddy waters: inside the World Bank as it struggled with the Narmada projects. Economic and Political Weekly, 46 (40). pp. 44-45. ISSN 0012-9976

Wade, Robert Hunter (2010) The market as means rather than master: the crisis of development and the future role of the state. In: Khan, Shahrukh Rafi and Christiansen, Jens, (eds.) Towards New Developmentalism: Market as Means Rather Than Master. Routledge studies in development economics. Routledge, Abingdon, UK, pp. 21-46. ISBN 9780415779845

Wade, Robert Hunter (2012) The politics behind World Bank statistics the case of China's income. Economic and Political Weekly, 47 (25). pp. 17-18. ISSN 0012-9976

Wade, Robert Hunter (2010) The state of the World Bank. Challenge, 53 (4). pp. 43-67. ISSN 0577-5132

Wade, Robert Hunter (2023) The world development report 2022: finance for an equitable recovery in the context of the international debt crisis. Development and Change, 54 (5). pp. 1354-1373. ISSN 0012-155X

Wade, Robert Hunter and Sigurgeirsdottir, Silla (2011) Iceland's meltdown: the rise and fall of international banking in the North Atlantic. Revista de Economia Politica, 31 (5). pp. 684-697. ISSN 0101-3157

Walker, Andrew (2016) The Budget will give clues as to how far English devolution marks a radical change for local government. Democratic Audit UK (15 Mar 2016). Website.

Walker, Martin (2017) Blockchain and bitcoin: In search of a critique. LSE Business Review (30 Oct 2017). Website.

Walker, Martin (2021) Book review: The pay off: how changing the way we pay changes everything by Gottfried Leibbrandt and Natasha de Terán. LSE European Politics and Policy (EUROPP) blog (18 Jul 2021). Blog Entry.

Walker, Martin (2021) Book review: The pay off: how changing the way we pay changes everything by Gottfried Leibbrandt and Natasha de Terán. LSE Review of Books (06 Jul 2021). Blog Entry.

Walker, Martin (2021) Book review: the pay off: how changing the way we pay changes everything by Gottfried Leibbrandt and Natasha de Terán. USApp – American Politics and Policy Blog (11 Jul 2021). Blog Entry.

Walker, Martin (2020) Central bank digital currency – nine key questions answered. LSE Business Review (15 Dec 2020). Blog Entry.

Walker, Martin (2021) Designed to avoid regulation – the real roots of bitcoin. LSE Business Review (28 Sep 2021). Blog Entry.

Walker, Martin (2021) How green is my bitcoin? LSE Business Review (25 May 2021). Blog Entry.

Walker, Martin (2017) ‘Ledger Nirvana’ in trade processing either doesn’t exist or is aeons away. LSE Business Review (26 May 2017). Website.

Walker, Martin (2017) Seven signs of over-hyped Fintech. LSE Business Review (04 Jul 2017). Blog Entry.

Walker, Martin (2021) Unnecessary complexity: the crypto industry’s continuing efforts to avoid regulation. LSE Business Review (13 Oct 2021). Blog Entry.

Walker, Thomas (2013) Community co-financing of local public goods: evidence from an experiment in Ghana. International Growth Centre Blog (09 Dec 2013). Website.

Wallis, Patrick ORCID: 0000-0003-1434-515X, Colson, Justin and Chilosi, David ORCID: 0000-0002-2251-0381 (2018) Structural change and economic growth in the British economy before the Industrial Revolution, 1500-1800. Journal of Economic History, 78 (3). 862 - 903. ISSN 0022-0507

Walter, Andrew (2000) British investment treaties in South Asia: current status and future trends. . International Development Center of Japan, Tokyo, Japan.

Walter, Andrew (2006) Domestic sources of international monetary leadership. In: Andrews, David M., (ed.) International Monetary Power. Cornell studies in money. Cornell University Press, Ithaca, USA, pp. 51-71. ISBN 9780801444562

Walter, Andrew (2002) Financial liberalization and prudential regulation in East Asia: still perverse. RSIS working papers (36). Institute of Defence and Strategic Studies, Singapore.

Walter, Andrew (2010) Global imbalances and currency politics: the US, EU, and China. In: Ross, Robert, Tunsjø, Øystein and Tuosheng, Zhang, (eds.) Us-China-Eu Relations: Managing the New World Order. Asian security studies. Routledge, Abingdon, UK. ISBN 9780415552332

Walter, Andrew (1991) World power and world money: the role of hegemony and international monetary order. Wheatsheaf, Hemel Hempstead, UK. ISBN 9780745009896

Walter, Andrew (1993) World power and world money: the role of hegemony and international monetary order. Wheatsheaf, New York, USA. ISBN 9780745014418

Walter, Andrew (2002) The political economy of FDI location: why don't political checks and balances and treaty constraints matter? RSIS working papers (38). Institute of Defence and Strategic Studies, Singapore.

Wang, Hong (2019) Pricing something out of nothing: the cryptocurrency volatility mystery. In: LSE Research Festival 2019: New World (Dis)Orders, 2019-02-25 - 2019-03-02, London School of Economics, London, United Kingdom.

Wang, Jiancheng and Li, Xiaoye (2023) From “super app” to “super VC”: the value-added effect of China's digital platforms. Finance Research Letters, 54. ISSN 1544-6123

Wang, Xiaonan and Wang, Yan (2022) Too cynical: why the stock market in China dimissed initial anticorruption signals. Journal of Chinese Political Science, 27 (4). 681 - 717. ISSN 1080-6954

Wansleben, Leon (2014) Consistent forecasting vs. anchoring of market stories: two cultures of modeling and model use in a bank. Science in Context, 27 (04). pp. 605-630. ISSN 0269-8897

Wansleben, Leon (2013) Cultures of expertise in global currency markets. Routledge International Studies in Money and Banking. Routledge. ISBN 9780415659246

Wansleben, Leon (2014) Die Beobachtung makroökonomischer Zahlen auf den Finanzmärkten (The observation of macroeconomic figures on financial markets). In: Cevolini, Alberto, (ed.) Die Ordnung des Kontingenten. Innovation und Gesellschaft. VS Verlag, Wiesbaden, Germany, pp. 301-318.

Wansleben, Leon (2013) Die Erfindung des Amateurspekulanten. Veränderungen von Publikumsadressierungen im US Aktienmarkt um 1930. In: Langenohl, Andreas and Wetzel, Dietmar J., (eds.) Finanzmarktpublika. Wirtschaft + Gesellschaft. VS Verlag, Wiesbaden, Germany, pp. 247-270. ISBN 9783531197067

Wansleben, Leon (2012) Heterarchien, codes und kalküle: beitrag zu einer soziologie des algo trading. (Heterarchies, codes and calculi. contribution to a sociology of algo trading). Soziale Systeme, 18 (1/2). pp. 225-259. ISSN 0948-423X

Wansleben, Leon (2018) How expectations became governable: institutional change and the performative power of central banks. Theory and Society. ISSN 0304-2421

Wansleben, Leon (2016) In der Korrekturschleife der Selbstkontrolle. Aufmerksamkeitstechniken in den elektronisierten Finanzmärkten (In the perpetual cycle of self-control: practices of attention on electronic financial markets). In: Kleiner, Stephanie, Lay Brander, Miriam and Wansleben, Leon, (eds.) Geteilte Gegenwarten. Kulturelle Praktiken von Aufmerksamkeit. Wilhelm Fink Verlag, Paderborn, Germany, pp. 171-187. ISBN 9783770559275

Warner, Neil, Pitts, Frederick Harry and Lombardozzi, Lorena (2017) Why Basic Income alone will not be a panacea to social insecurity. British Politics and Policy at LSE (05 Sep 2017). Blog Entry.

Washington, Adolphus (2016) Can Senegal withstand the resource curse? Africa at LSE (07 Mar 2016). Website.

Webb, David C. (2009) Asymmetric information, long-term care insurance, and annuities: the case for bundled contracts. Journal of Risk and Insurance, 76 (1). pp. 53-85. ISSN 0022-4367

Webb, David C. (2011) Book review: balancing the banks: global lessons from the financial crisis. Review 2. The Economic Journal, 121 (550). F111-F118. ISSN 0013-0133

Webb, David C. (2007) Pension plan funding, risk sharing and technology choice. Financial Markets Group Discussion Papers (527). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Webb, David C. (2011) Pension plan funding, technology choice, and the equity risk premium. Scandinavian Journal of Economics, 113 (3). pp. 493-524. ISSN 0347-0520

Webb, David C. (2004) Sponsoring company finance and investment and defined benefit pension scheme deficits. Financial Markets Group Discussion Papers (487). Financial Markets Group, The London School of Economics and Political Science, London, UK. (Submitted)

Webb, David C. (2000) The impact of liquidity constraints on bank lending policy. The Economic Journal, 110 (460). pp. 69-91. ISSN 0013-0133

Webb, David C., Caplong, V., Edwards, D. and Zhuang, J. (2004) Corporate governance and finance in the five affected. In: Clarke, T., (ed.) Critical Perspectives on Business and Management. Routledge.

Weber, Matthias, Duffy, John and Schram, Arthur (2018) Bond prices both reflect and influence the fundamentals. LSE Business Review (16 Jan 2018). Website.

Weber, Matthias and Schram, Arthur (2017) Economists used to think that it doesn’t matter whom you tax, but it does. LSE Business Review (15 Nov 2017). Blog Entry.

Wehner, Joachim ORCID: 0000-0002-1951-308X (2003) Principles and patterns of financial scrutiny: Public Accounts Committees in the Commonwealth. Commonwealth and Comparative Politics, 41 (3). pp. 21-36. ISSN 1466-2043

Weisbrod, Aaron (2015) Myanmar: a new breed of mobile money? International Growth Centre Blog (27 Mar 2015). Website.

Weller, Benedict and Bruno, Michelangelo (2021) Digitalisation, COVID-19 and the future of banking. LSE Business Review (07 Jan 2021). Blog Entry.

Weller, Benedict and Bruno, Michelangelo (2020) Green finance: investors need transparency. LSE Business Review (28 May 2020). Blog Entry.

Werker, Eric (2013) A market-based mechanism to improve capital expenditures. International Growth Centre Blog (10 Dec 2013). Website.

Werle, Nick (2015) A microeconomic model of opportunistic financial crimes: prosecutorial strategy when firms are too big to jail. Procedia Economics and Finance, 28. pp. 76-84. ISSN 2212-5671

Weru, Jane (2014) Transforming slums by using access to finance. International Growth Centre Blog (10 Dec 2014). Website.

West, Anne ORCID: 0000-0003-2932-7667 and Barham, Eleanor (2010) L'impact de la crise financière sur la politique d'éducation supérieure au Royaume-Uni. Economies et Sociétés, 43. pp. 627-644. ISSN 0013-0567

Whitehead, Christine M E, Markkanen, Sanna, Monk, Sarah, Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Tang, Connie (2012) The role of regulation in the private rented sector: a comparative study. In: ENHR 2012: Housing: local welfare and local markets in a globalised world, 2012-06-24 - 2012-06-27, Lillehammer, Norway.

Whitehead, Christine M E, Scanlon, Kathleen ORCID: 0000-0001-9957-4853 and Blanc, Fanny ORCID: 0000-0002-5835-6507 (2018) A tax too far: monitoring the impact of SDLT. . London School of Economics and Political Science, London, UK.

Whitehead, Christine M E and Williams, Peter (2017) Changes in the regulation and control of mortgage markets and access to owner-occupation among younger households. OECD Social, Employment and Migration Working Papers (196). Organisation for Economic Co-operation and Development, Paris, FR.

Whitehead, Christine M. E. (2009) Book review: borrowing to live: consumer and mortgage credit revisited. Housing Studies, 24 (6). pp. 843-844. ISSN 0267-3037

Whitehead, Christine M. E. and Scanlon, Kathleen ORCID: 0000-0001-9957-4853 (2002) Fiscal instruments for the provision of affordable housing. In: European Network for Housing Research conference, 2002-07-01 - 2002-07-05, Vienna, Austria.

Wigan, Henry (2004) The effects of the 1925 Portuguese Bank Note Crisis. Economic History Working Papers (82/04). Department of Economic History, London School of Economics and Political Science, London, UK.

Wilde, Luke (2015) UN FORUM SERIES – think before you measure! Measuring Business and Human Rights (23 Nov 2015). Website.

Wilkes, Giles (2016) Broadening the market is good. To believe otherwise is flat-earth delusional. LSE Brexit (02 May 2016). Website.

Wilkin, Joanna (2011) Beyond micro-credit: an evolving microfinance. Engenderings (29 Nov 2011). Website.

Wilkins, Anita, Love, Bill, Greig, Rob and Bowers, Helen (2012) Re-thinking dementia care: Day Care vs. Recreation. LSE Health and Social Care (20 Jul 2012). Website.

Wilkinson, Michael (2014) From Karlsruhe, with love? questioning the constitutionality of unconventional monetary policy. LSE Law Policy Briefing Series (6). London School of Economics and Political Science, London.

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 (2004) Eye of the market 1 - the London insurance market: modernisation or muddle? . Knowledge Capital Partners, London, UK.

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 (2005) Eye of the market 2 - social capital: the London insurance market's secret weapon? . Knowledge Capital Partners, London, UK.

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 (2007) Offshore, nearshore, bestshore - are you sure? Mutual Fund Technologies Focus, Winter (2007). pp. 54-56.

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 and Craig, Andrew (2020) Business automation in investment banking: fast forward…. or not? LSE Business Review (27 Jan 2020). Blog Entry.

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554, Gunkel, G. and Lacity, Mary (2017) Cognitive automation at Zurich Insurance. The Outsourcing Unit Working Research Paper Series. LSE Outsourcing Unit, London School of Economics and Political Science, London, UK.

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554, Lacity, Mary and Craig, Andrew (2017) Robotizing global financial shared services at Royal DSM. Paper Series in Financial Services (Automation #46). The Capco Institute, London, UK.

Willer, D. (1997) Corporate governance and shareholder rights in Russia. CEPDP (343). London School of Economics and Political Science. Centre for Economic Performance, London, UK. ISBN 0853282633

Williams, Shannon and Kliman, Andrew (2014) Falling profits, rather than increasing financial investment, led to decreasing rates of capital accumulation by American companies. LSE American Politics and Policy (09 Oct 2014). Website.

Williamson, Brian and Consulting, Plum (2013) The Economic Case for Net Neutrality. Media Policy Blog (17 Jun 2013). Website.

Willman, Paul, Fenton-O'Creevy, Mark, Nicholson, Nigel and Soane, Emma ORCID: 0000-0001-6090-1212 (2002) Traders, managers and loss aversion in investment banking: a field study. Accounting, Organizations and Society, 27 (1-2). pp. 85-98. ISSN 0361-3682

Willman, Paul, Fenton-O'Creevy, Mark P., Nicholson, Nigel and Soane, Emma ORCID: 0000-0001-6090-1212 (2001) Knowing the risks: theory and practice in financial market trading. Human Relations, 54 (7). pp. 887-910. ISSN 1741-282X

Willman, Paul, Fenton-O’Creevy, Mark, Nicholson, Nigel and Soane, Emma ORCID: 0000-0001-6090-1212 (2006) Noise trading and the management of operational risk; firms, traders and irrationality in financial markets. Journal of Management Studies, 43 (6). pp. 1357-1374. ISSN 0022-2380

Willman, Paul and Pepper, Alexander ORCID: 0000-0003-4927-809X (2019) The role played by large firms in generating income inequality: UK FTSE 100 pay practices in the late 20th and early 21st centuries. . International Inequalities Institute, London School of Economics and Political Science, London, UK.

Wills, Samuel (2014) Optimal monetary responses to oil discoveries. CFM discussion paper series (CFM-DP2014-8). Centre For Macroeconomics, London, UK.

Wilson, Leslie, Turkistani, Fatema, Tran, Dang M., Huang, Wei and Lin, Tracy Kuo (2019) Financial impact of alternative pricing benchmarks for physician-dispensed drugs in the California workers’ compensation system. Applied Health Economics and Health Policy, 17 (2). pp. 231-242. ISSN 1175-5652

Wilson, Rodney (2009) The development of Islamic finance in the GCC. Kuwait Programme on Development, Governance and Globalisation in the Gulf States. London School of Economics and Political Science, London, UK.

Winston, Clifford (2021) Markets helped us get through the pandemic — let them do their job. LSE COVID-19 Blog (04 Nov 2021). Blog Entry.

Wise, David W. (2021) The Fed’s addiction to cheap money benefits Wall Street while fueling inequality. USApp – American Politics and Policy Blog (28 Jan 2021). Blog Entry.

Wisman, Jon D. (2014) While soaring inequality set the stage for the 2008 financial crash, mainstream economists remained clueless. LSE American Politics and Policy (03 Feb 2014). Website.

Witney, Simon (2017) The Private Fund Limited Partnership: a new fund vehicle for the UK. Journal of Investment Compliance, 18 (3). pp. 75-78. ISSN 1528-5812

Wolf, Nikolaus and Ritschl, Albrecht O. (2011) Endogeneity of currency areas and trade blocs: evidence from a natural experiment. Kyklos, 64 (2). pp. 291-312. ISSN 0023-5962

Wolf, Sebastian (2015) How mobile money is revolutionising banking in Africa. International Growth Centre Blog (24 Feb 2015). Website.

Wollner, Gabriel (2013) Justice in finance: the normative case for an international financial transaction tax. Journal of Political Philosophy, 22 (4). pp. 458-485. ISSN 0963-8016

Wong, Shiu Fung, Tong, Howell, Siu, Tak Kuen and Lu, Zudi (2017) A new multivariate nonlinear time series model for portfolio risk measurement: the threshold copula-based TAR approach. Journal of Time Series Analysis, 38 (2). pp. 243-265. ISSN 0143-9782

Woodruff, David M. ORCID: 0000-0001-7503-8052 (2013) Monetary surrogates and money’s dual nature. In: Pixley, Jocelyn and Harcourt, G. C., (eds.) Financial Crises and the Nature of Capitalist Money: Mutual Developments From the Work of Geoffrey Ingham. Economics & finance collection 2013. Palgrave Macmillan, London, UK, pp. 101-123. ISBN 9781137302946

Woodruff, David M. ORCID: 0000-0001-7503-8052 (2019) To democratize finance, democratize central banking. Politics & Society, 47 (4). pp. 593-610. ISSN 0032-3292

Woodruff, David M. ORCID: 0000-0001-7503-8052 (2000) Too much of a good thing? High oil prices and Russian monetary policy. . PONARS, CSIS, Washington D.C., USA.

Woolcock, Stephen (2013) European policy on foreign investment: a missed opportunity? In: Cremona, Marise and Takács, Tamara, (eds.) Trade liberalisation and standardisation: new directions in the ‘low politics’ of EU foreign policy. CLEER Working Paper (2013/6). Centre for the Law of EU External Relations, TMV Asser Instituut inter-university research centre, The Hague, The Netherlands, pp. 125-143. ISBN 1878-9587

Woolcock, Stephen (2014) The pillars of the international trading system. In: Telò, Mario, (ed.) Globalisation, multilateralism, Europe: towards a better global governance? Globalisation, Europe, multilateralism series (2). Ashgate Dartmouth, Farnham, Surrey, UK, pp. 203-214. ISBN 9781409464488

Worthington, Sarah (2010) Insolvency deprivation, public policy and priority flip clauses. International Corporate Rescue, 7 (1). pp. 28-39. ISSN 1572-4638

Wren-Lewis, Simon (2013) The Eurozone crisis does not necessarily prove that a monetary union also requires fiscal/political union. LSE European Politics and Policy (EUROPP) Blog (04 Mar 2013). Website.

Wren-Lewis, Simon (2012) The UK needs monetary policy to be as expansionary as possible and this isn’t going to happen under the current system. British Politics and Policy at LSE (04 Dec 2012). Website.

Wright, Christopher (2005) Book review: 'the IMF and the politics of financial globalization: from the Asian crisis to a new international financial architecture? by Ben Thirkell-White'. Law, Social Justice and Global Development Journal (LGD), 9 (1). ISSN 1467-0437

Wright, Christopher (2009) O Banco Mundial em um mundo em mutação (The World Bank in a changing world). In: Wofmeister, W, (ed.) Cadernos Adenauer. Konrad Adenauer, Rio de Janeiro, Brazil, pp. 85-100.

Wright, Mike, Amess, Kevin, Bacon, Nick, Gilligan, John and Wilson, Nick (2017) Brexit is changing the scenario for private equity in the UK. LSE Business Review (10 Jan 2017). Website.

X

Xanthaki, Helen (2016) The Kessler case should be a starting point for reforming the EU’s anti-fraud office. LSE European Politics and Policy (EUROPP) Blog (04 Apr 2016). Website.

Xenakis, S. and Cheliotis, L. K. (2018) Crime and the crisis: the politics of insecurity in Greece. In: Placas, A. and Doxiadis, D., (eds.) The Financial Crisis in Greece: Causes and Consequences. Berghahn Books, New York, USA.

Xing, Hao (2017) Stability of the exponential utility maximization problem with respect to preferences. Mathematical Finance, 27 (1). pp. 38-67. ISSN 0960-1627

Xu, Jemma and Prud’homme, Dan (2020) China’s central bank has taken the lead in digital currencies. What does it mean for businesses? LSE Business Review (03 Aug 2020). Blog Entry.

Xu, Moqi (2011) The costs and benefits of long-term CEO contracts. .

Y

Yadav, Pradeep K. and Pope, Peter (1994) Stock index futures mispricing: profit opportunities or risk premia? Journal of Banking and Finance, 18 (5). pp. 921-953. ISSN 0378-4266

Yamada, Kazuo and Takahashi, Hidenori (2015) Lower restrictions for start-ups to list on stock exchanges have mixed results. LSE Business Review (26 Nov 2015). Website.

Yamada, Takumo (2015) Making business part of the solution: Private sector partnerships can support sustainable development. Africa at LSE (30 Oct 2015). Website.

Yao, Qiwei ORCID: 0000-0003-2065-8486 (2022) Counterparty credit risk management: estimating extreme quantiles for a bank. LSE Business Review (12 May 2022). Blog Entry.

You, Nanxi, Xuan, Ong Jing, Mahmood, Maimoonah and Krijestorac, Hana (2016) Brexit and its effect on the pound, the UK’s trading position and productivity. LSE Business Review (24 Nov 2016). Website.

Young, Kevin (2009) Book review: banking regulation and globalization. Western European Politics, 32 (6). pp. 1285-1286. ISSN 0140-2382

Young, Kevin (2009) Book review: central banking governance in the European Union: a comparative analysis. Governance, 22 (3). pp. 518-520. ISSN 0952-1895

Young, Kevin (2009) Encouraging signs of reform among world firefighters. Financial Times (19 Mar). ISSN 0307-1766

Young, Kevin (2009) Financial governance and the limits to transnational risk regulation. Risk & Regulation (Summer). pp. 13-14. ISSN 1473-6004

Young, Kevin (2006) Private generosity and public regulation: understanding the Canadian chartered banks' philanthropic efforts in historical context. Innovations: a Journal of Politics, 6. pp. 33-52. ISSN 1480-6347

Young, Kevin (2008) The bubble is a splendid example of markets working too well. Financial Times (23 Oct). ISSN 0307-1766

Young, Kevin and Pagliari, Stefano (2015) When the business community unites as a lobbying force. LSE Business Review (26 Nov 2015). Website.

Young, S. Mark, Gong, James J. and Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2012) Using real options to make decisions in the motion picture industry. Strategic Finance. pp. 53-59. ISSN 1524-833X

Young, S. Mark, Gong, James J. and Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2008) The business of making movies. Strategic Finance, 89 (8). pp. 26-32. ISSN 1524-833X

Young, S. Mark, Gong, James J., Van der Stede, Wim ORCID: 0000-0003-3005-2410, Sandino, Tatiana and Du, Fei (2008) The business of selling movies. Strategic Finance, 89 (9). pp. 35-41. ISSN 1524-833X

Yuan, Kathy (2005) Asymmetric price movements and borrowing constraints: a rational expectations equilibrium model of crises, contagion, and confusion. Journal of Finance, 60 (1). pp. 379-411. ISSN 0022-1082

Yuan, Kathy (2011) Learning and complementarities in speculative attacks. Review of Economic Studies, 78 (1). pp. 263-292. ISSN 0034-6527

Yuan, Kathy (2005) The liquidity service of benchmark securities. Journal of the European Economic Association, 3 (5). pp. 1156-1180. ISSN 1542-4774

Yuan, Kathy, Zheng, Liu and Zhu, Qiaoqiao (2006) Are investors moonstruck?: lunar phases and stock returns. Journal of Empirical Finance, 13 (1). pp. 1-23. ISSN 0927-5398

Z

Zachariadis, Konstantinos (2012) A baseline model of price formation in a sequential market. .

Zachariadis, Konstantinos and Olaru, Ioan F. (2012) The impact of security trading on corporate restructurings. .

Zachariadis, Konstantinos (Kostas) E. and Olaru, Ioan F. (2016) Hedge funds are heavily involved in the distressed debt market. LSE Business Review (08 Nov 2016). Blog Entry.

Zachariadis, M. and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2007) Diversity in IS research: developing a mixed methodology approach to understanding the business value of payment system innovation in financial services. In: International Conference on Information Systems, 2007-12-09 - 2007-12-12, Montreal, Canada.

Zachariadis, Markos, Hileman, Garrick and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2019) Governance and control in distributed ledgers: understanding the challenges facing blockchain technology in financial services. Information and Organization, 29 (2). pp. 105-117. ISSN 1471-7727

Zachariadis, Markos, Ozcan, Pinar and Dinçkol, Dize (2020) The Covid-19 impact on fintech: now is the time to boost investment. LSE Business Review (13 Apr 2020). Blog Entry.

Zagelmeyer, Stefan and Gollan, Paul J. (2012) Exploring terra incognita: preliminary reflections on the impact of the global financial crisis upon human resource management. International Journal of Human Resource Management, 23 (16). pp. 3287-3294. ISSN 0958-5192

Zalk, Nimrod (2021) Africa’s development banks: the urgent need for scale. LSE Business Review (17 Nov 2021). Blog Entry.

Ze Yu, Shirley (2021) Why substantial Chinese FDI is flowing into Africa. Africa at LSE (02 Apr 2021). Blog Entry.

Zeisberger, Claudia (2017) Success attracts new players to private equity. LSE Business Review (18 Oct 2017). Website.

Zenghelis, Dimitri (2010) Copenhagen discord: bottom-up investing in a globallandscape. Journal of Environmental Investing, 1 (1).

Zenghelis, Dimitri (2016) Negative interest rates are an opportunity for the UK to invest in sustainable infrastructure. LSE Business Review (14 Oct 2016). Website.

Zenghelis, Dimitri (2012) Restoring growth and confidence through green innovation. E!Sharp.

Zenghelis, Dimitri (2011) A macroeconomic plan for a green recovery. Policy Paper. London School of Economics and Political Science, London, UK.

Zenghelis, Dimitri, Fouquet, Roger and Hippe, Ralph (2019) Stranded assets: then and now. In: Caldecott, Ben, (ed.) Stranded Assets and the Environment: Risk, Resilience and Opportunity. Routledge explorations in environmental studies. Routledge, Abingdon, UK, pp. 23-54. ISBN 9781138120600

Zhang, Jing, Wong, Poh-Kam and Ho, Yuen-Ping (2017) The price Asian venture capitalists pay to work in Silicon Valley. LSE Business Review (27 Feb 2017). Website.

Zhang, Ning, Gong, Yujing and Xue, Xiaohan (2023) Less disagreement, better forecasts: adjusted risk measures in the energy futures market. Journal of Futures Markets, 43 (10). 1332 - 1372. ISSN 0270-7314

Zhang, Qi (2017) The Balassa–Samuelson relationship: services, manufacturing and product quality. Journal of International Economics, 106. pp. 55-82. ISSN 0022-1996

Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2018) Liquidity misallocation in an over-the-counter market. Journal of Economic Theory, 174. pp. 16-56. ISSN 0022-0531

Zhao, Hongbiao (2011) Portfolio credit risk of default and spread widening. . The Author. (Submitted)

Zhiguo, He and Kondor, Peter (2016) Inefficient investment waves. Econometrica, 84 (2). 735 - 780. ISSN 0012-9682

Zhivitskaya, Maria (2022) Book review: Trillions: how a band of Wall Street renegades invented the index fund and changed finance forever by Robin Wigglesworth. LSE Review of Books (11 May 2022). Blog Entry.

Zhivitskaya, Maria (2022) Book review: Trillions: how a band of Wall Street renegades invented the index fund and changed finance forever by Robin Wigglesworth. USApp – American Politics and Policy Blog (15 May 2022). Blog Entry.

Zhivitskaya, Maria (2014) Book review: managing risk and opportunity: the governance of strategic risk taking by Torben Juul Andersen et al. LSE Review of Books (27 Jun 2014). Website.

Zhivitskaya, Maria (2017) Book review: the fix: how bankers lied, cheated and colluded to rig the world’s most important number by Liam Vaughan and Gavin Finch. LSE Review of Books (21 Jun 2017). Website.

Zhivitskaya, Maria (2016) Book review: why aren’t they shouting? A banker’s tale of change, computers and perpetual crisis by Kevin Rodgers. LSE Review of Books (17 Oct 2016). Website.

Zhong, Hongda (2021) A dynamic model of optimal creditor dispersion. The Journal of Finance, 76 (1). 267 - 316. ISSN 0022-1082

Zhou, Ping (2007) Forecasting bankruptcy and physical default intensity. Financial Markets Group Discussion Papers (614). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Zhuang, Juzhong, Edwards, David, Webb, David C. and Capulong, Ma. Virginita (2000) Corporate governance and finance in East Asia: a study of Indonesia, Republic of Korea, Malaysia, Philippines, and Thailand. Corporate governance and finance in East Asia. , 1 Asian Development Bank, Manila, Philippines. ISBN 9715612954

Ziemba, Bill and Lleo, Sebastien (2014) How to lose money in derivatives: examples from hedge funds and bank trading departments. Special Papers (No 2). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ziemba, William (2020) Parimutuel betting markets: racetracks and lotteries revisited. Systemic Risk Centre Discussion Papers (103). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ziemba, William (2016) A response to Professor Paul A. Samuelson's objections to Kelly capital growth investing. Systemic Risk Centre Discussion Papers (52). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Ziemba, William T. (2023) Pari-mutuel betting markets: racetracks and lotteries revisited. Annual Review of Financial Economics, 15. 641 - 662. ISSN 1941-1367

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (1999) Arbitrage and endogenous market integration. Financial Markets Group Discussion Papers (319). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2000) Physics of finance. In: Greco, Mario, (ed.) Les Rencontres De Physique De la Vallèe D'aoste - Results and Perspectives in Particle Physics. Friscati physics series (17). INFN Laboratori Nazionali di Frascati, Rome, Italy. ISBN 9788886409230

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2002) Rational asset pricing implications from realistic trading frictions. Discussion paper (414). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2001) Rational limits to arbitrage. Financial Markets Group Discussion Papers (392). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2014) Systems and systemic risk in finance and economics. Special Papers (No 1). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 and Danielsson, Jon (2001) What happens when you regulate risk?: evidence from a simple equilibrium model. Financial Markets Group Discussion Papers (393). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Zoogah, David B. (2015) Multinational firms still have a lot to learn about doing business in Africa. LSE Business Review (06 Nov 2015). Website.

Zubek, Radoslaw (2008) Poland: from pacesetter to semi-permanent outsider? In: Dyson, Kenneth, (ed.) The Euro at 10: Europeanization, Power, and Convergence. Oxford University Press, Oxford, pp. 292-306. ISBN 9780199208869

Zubek, Radoslaw (2006) Poland: unbalanced domestic leadership in negotiating fit. In: Dyson, Kenneth, (ed.) Enlarging the Euro Area: External Empowerment and Domestic Transformation in East Central Europe. Oxford University Press, Oxford, UK; New York, USA, pp. 197-214. ISBN 9780199277674

Zubía Pinto, Verónica Aranzazu (2015) UN FORUM SERIES – measuring progress through national action plans and sustainability reports. Measuring Business and Human Rights (25 Nov 2015). Website.

Zucman, Gabriel (2013) La Richesse cachée des nations: enquête sur les paradis fiscaux. Éditions du Seuil, Paris, France. ISBN 9782021114317

Zucman, Gabriel (2014) Taxing across borders: tracking personal wealth and corporate profits. Journal of Economic Perspectives, 28 (4). pp. 121-148. ISSN 0895-3309

Ç

Çetin, Umut ORCID: 0000-0001-8905-853X (2018) Financial equilibrium with asymmetric information and random horizon. Finance and Stochastics, 22 (1). pp. 97-126. ISSN 0949-2984

Çetin, Umut ORCID: 0000-0001-8905-853X and Danilova, Albina (2016) Markovian Nash equilibrium in financial markets with asymmetric information and related forward-backward systems. Annals of Applied Probability, 26 (4). pp. 1996-2029. ISSN 1050-5164

Çetin, Umut ORCID: 0000-0001-8905-853X and Waelbroeck, Henri (2023) Power laws in market microstructure. Frontiers of Mathematical Finance, 2 (1). 56 - 98. ISSN 2769-6715

Ú

Úbeda, Fernando, Forcadell, Francisco Javier, Aracil, Elisa and Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2022) How sustainable banking fosters the SDG 10 in weak institutional environments. Journal of Business Research, 146. 277 - 287. ISSN 0148-2963

Úbeda, Fernando, Mendez, Alvaro ORCID: 0000-0002-0919-5081 and Forcadell, Francisco Javier (2023) Sustainability and trust: financial inclusion in the Global South. Working paper series, 9 (2). LSE Global South Unit, London, UK.

Úbeda, Fernando, Mendez, Alvaro ORCID: 0000-0002-0919-5081 and Forcadell, Francisco Javier (2022) The sustainable practices of multinational banks as drivers of financial inclusion in developing countries. Working paper series, 8 (1). LSE Global South Unit, London, UK.

Úbeda, Fernando, Mendez, Alvaro ORCID: 0000-0002-0919-5081 and Martínez, Francisco Javier Forcadell (2023) The sustainable practices of multinational banks as drivers of financial inclusion in developing countries. Finance Research Letters, 51. ISSN 1544-6123

Č

Černý, Aleš, Czichowsky, Christoph and Kallsen, Jan (2021) Numeraire-invariant quadratic hedging and mean–variance portfolio allocation. .

Š

Ščasný, Milan and Zvěřinová, Iva (2017) You broke the planet, you pay for it. LSE Business Review (17 May 2017). Website.

ع

عمر العبيدلي وكامرون ميرزا, (2017) كيفية الاستفادة من الاستشاريين في دول مجلس التعاون. Middle East Centre Blog (17 Feb 2017). Website.

This list was generated on Mon Mar 18 23:26:06 2024 GMT.