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Acharya, Viral and Plantin, Guillaume (2017) Monetary easing and financial instability. SRC Discussion Paper (No. 63). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.
Agrawal, Ashwini, Gonzalez-Uribe, Juanita and Martinez-Correa, Jimmy (2019) Measuring the ex-ante incentive effects of bankruptcy reorganization procedures. . SSRN.
Agrawal, Ashwini, Hacamo, Isaac and Hu, Zhongchen (2018) Employees and stock returns. . SSRN.
Agrawal, Ashwini, Hacamo, Isaac and Hu, Zhongchen (2020) Information dispersion across employees and stock returns. Review of Financial Studies. ISSN 0893-9454
Agrawal, Ashwini and Tambe, Prasanna (2019) Takeovers and endogenous labor reallocation. . SSRN.
Chen, Huaizhi, Cohen, Lauren and Lou, Dong (2016) Industry window dressing. Review of Financial Studies, 29 (12). 3354 - 3393. ISSN 0893-9454
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, Zigrand, Jean-Pierre, Jorgensen, Bjørn N., Sarma, Mandira and de Vries, C. G. (2006) Consistent measures of risk. Discussion paper (565). Financial Markets Group, London School of Economics and Political Science, London, UK.
Danielsson, Jon, de Vries, Casper G., Jorgensen, Bjorn, Samorodnitsky, Gennady and Mandira, Sarma (2012) Fat tails, VaR and subadditivity. . Jon Danielsson.
Dasgupta, Amil, 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 and Zachariadis, Konstantinos (2011) Delegated activism and disclosure. The Paul Woolley Centre paper series (27). London School of Economics and Political Science, London, UK. ISBN 09568549689
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
Eyster, Erik, Rabin, Matthew and Vayanos, Dimitri (2019) Financial markets where traders neglect the informational content of prices. Journal of Finance, 74 (1). pp. 371-399. ISSN 0022-1082
Ferreira, Daniel and Braido, Luis (2006) Options can induce risk taking for arbitrary preferences. Economic Theory, 27 (3). pp. 513-522. ISSN 0938-2259
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
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
Hyman, Richard and Gumbrell-McCormick, Rebecca (2010) Trade unions and the crisis: a lost opportunity? Socio-Economic Review, 8 (2). pp. 364-372. ISSN 1475-1461
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, Germany, pp. 157-167. ISBN 9783540712961
Lokka, A. and Zervos, Mihail (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
McKinnon, R. (1991) Financial control in the transition to a market economy. CEP discussion paper (40). Centre for Economic Performance, London School of Economics and Political Science, London, UK.
Muûls, Mirabelle (2012) Exporters, importers and credit constraints. CEP Discussion Papers (CEPDP1169). Centre for Economic Performance, 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). The London School of Economics and Political Science, London, UK.
Pissarides, Christopher (1980) Book review: E. Fama, foundations of finance: portfolio decisions and security prices. Economica, 47 (188). pp. 484-485. ISSN 0013-0427
Pope, Peter (2010) Bridging the gap between accounting and finance. British Accounting Review, 42 (2). pp. 88-102. ISSN 0890-8389
Robertson, Donald and Symons, James (1991) Output, inflation and the ERM. CEP discussion paper (43). Centre for Economic Performance, London School of Economics and Political Science, London, UK.
Rostowski, J. and Shapiro, J. (1992) Secondary currencies in the Russian hyperinflation and stabilization of 1921-24. CEP discussion paper (59). Centre for Economic Performance, London School of Economics and Political Science, London, UK.
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 (2012) Why we need comprehensive debt restructuring in Europe. Social Europe. ISSN 2046-9810
Samiolo, Rita (2012) Commensuration and styles of reasoning: Venice, cost–benefit, and the defence of place. Accounting, Organizations and Society, 37 (6). pp. 382-402. ISSN 0361-3682