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Group by: Creators | Item Type
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Number of items at this level: 57.

A

Airoldi, Mara and Morton, Alec (2011) Portfolio decision analysis for population health. In: Salo, Ahti, Morton, Alec and Keisler, Jeffrey, (eds.) Portfolio Decision Analysis: Improved Methods for Resource Allocation. International series in operations research & management science,162. Springer, New York, USA, pp. 149-168. ISBN 9781441999429

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

Alòs, Elisa, Chen, Zhanyu and Rheinlander, Thorsten (2014) Valuation of barrier options via a general self-duality. Mathematical Finance, online . ISSN 0960-1627 (In Press)

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

Aretz, Kevin and Pope, Peter (2013) Common factors in default risk across countries and industries. European Financial Management, 19 (1). pp. 108-152. ISSN 13547798

Argyris, Nikolaos, Figueira, José Rui and Morton, Alec (2011) Interactive multicriteria methods in portfolio decision analysis. In: Salo, Ahti, Keisler, Jeffrey and Morton, Alec, (eds.) Portfolio Decision Analysis: Improved Methods for Resource Allocation. International series in operations research & management science,162. Springer, New York, USA, pp. 107-130. ISBN 9781441999429

B

Bena, Jan (2009) The effect of credit rationing on the shape of the competition-innovation relationship. Discussion paper, 629. Financial Markets Group, London School of Economics and Political Science, London, UK.

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

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

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

Bijlsma, Michiel and Vallee, Shahin (2012) Currency risks have turned into default risks: to prevent such defaults, the Eurozone area must have a strong financial safety net. LSE European Politics and Policy (EUROPP) Blog (09 Jul 2012) Blog Entry.

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

Brinkman, Marcel, Fankhauser, Samuel, Irons, Ben and Weyers, Stephan (2009) The carbon market in 2020: volumes, prices and gains from trade. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, 11. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

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

C

Calzorali, Giorgio, Fiorentini, Gabriele and Sentana, Enrique (2001) Constrained indirect inference estimation. Discussion paper, 384. Financial Markets Group, London School of Economics and Political Science, London, UK.

Christodoulaki, Olga, Cho, Haeran and Fryzlewicz, Piotr (2011) A reflection of history: fluctuations in Greek sovereign risk between 1914 and 1929. GreeSE, 50. Hellenic Observatory, London, UK.

D

Davidson, Mark (2014) The threat of bankruptcy may be a new source of competitive advantage in post-recession urban politics. LSE American Politics and Policy (26 Mar 2014) Blog Entry.

De Paoli, Bianca (2009) Monetary policy under alterative asset market structures: the case of a small open economy. CEP Discussion Papers, CEPDP0923. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

De Paoli, Bianca (2009) Monetary policy under alternative asset market structures: the case of a small open economy. CEP Discussion Paper, No. 923. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

E

Esho, Neil, Kollo, Michael G. and Sharpe, Ian G. (2004) Eurobond underwriter spreads. Discussion paper, 503. Financial Markets Group, London School of Economics and Political Science, London, UK.

F

Fasolo, Barbara, von Winterfeldt, Detlof and Morton, Alec (2011) Behavioural issues in portfolio decision analysis. In: Salo, Ahti, Morton, Alec and Keisler, Jeffrey, (eds.) Portfolio Decision Analysis: Improved Methods for Resource Allocation. International series in operations research & management science,162. Springer, New York, USA, pp. 149-168. ISBN 9781441999429

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. (In Press)

Foley-Fisher, Nathan and Guimaraes, Bernardo (2009) US real interest rates and default risk in emerging economies. CEP Discussion Paper, No. 952. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

G

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

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

Gromb, Denis and Vayanos, Dimitri (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

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

H

Hatzopoulos, Vasilis, Iori, Giulia, Mantegna, Rosario N., Miccichè, Salvatore and Tumminello, Michele (2014) Quantifying preferential trading in the e-MID interbank market. Quantitative Finance . ISSN 1469-7688 (In Press)

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

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

J

Julliard, Christian (2004) Human capital and international portfolio choice. Christian Julliard, London, UK. (Unpublished)

K

Khanna, Tarun and Thomas, Catherine (2009) Synchronicity and firm interlocks in an emerging market. Journal of Financial Economics, 92 (2). pp. 182-204. ISSN 0304-405X

L

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

M

MacKenzie, Donald and Pardo-Guerra, Juan Pablo (2014) Insurgent capitalism: Island, bricolage and the re-making of finance. Economy and Society, 43 (2). pp. 153-182. ISSN 0308-5147

Mann, Catherine L. and Meade, Ellen E. (2002) Home bias, transactions costs, and prospects for the Euro: a more detailed analysis. CEPDP, 537. Centre for Economic Performance, London School of Economics and Political Science, London, UK. ISBN 0753015552

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 (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 (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

Monastiriotis, Vassilis and Psycharis, Yiannis (2011) Without purpose and strategy?: a spatio-functional analysis of the regional allocation of public investment in Greece. GreeSE, 49. Hellenic Observatory, London, UK.

Mourlon-Druol, Emmanuel (2012) A Europe made of money: the emergence of the European Monetary System. Cornell studies in money . Cornell University Press, Ithaca, New York, USA. ISBN 9780801450839

N

Neugebauer, Katja (2011) Banks in space: does distance really affect cross-border banking. IAW-Diskussionspapiere , 70. IAW, Tübingen, Germany.

P

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.

Payne, Richard and Vitale, Paolo (2002) A transaction level study of the effects of central bank intervention on exchange rates. Discussion paper, 355. Financial Markets Group, London School of Economics and Political Science, London, UK.

R

Ryan, John (2012) EU nust restructure debt to solve the eurozone crisis. World Politics Review .

S

Salo, Ahti, Keisler, Jeffrey and Morton, Alec (2011) An invitation to portfolio decision analysis. In: Salo, Ahti, Keisler, Jeffrey and Morton, Alec, (eds.) Portfolio Decision Analysis: Improved Methods for Resource Allocation. International series in operations research & management science,162. Springer, New York, USA, pp. 3-28. ISBN 9781441999429

Schelkle, Waltraud (2012) Policymaking in hard times: French and German responses to economic crisis in the Euro area. In: Pontusson, Jonas and Bermeo, Nancy, (eds.) Coping With Crisis: Government Reactions to the Great Recession. Russell Sage Foundation, New York, USA, pp. 130-162. ISBN 9780871540768

Shiryaev, Albert N., Zhitlukhin, Mikhail N., Ziemba, Bill and Ziemba, William T. (2014) Land and stock bubbles, crashes and exit strategies in Japan circa 1990 and in 2013. SRC Discussion Series, SRC Discussion Paper No 20. The London School of Economics and Political Science ,SRC Discussion Paper, London, UK.

T

Tian, Lihui and Estrin, Saul (2008) Retained state shareholding in Chinese PLCs: does government ownership always reduce corporate value? Journal of Comparative Economics, 36 (1). pp. 74-89. ISSN 0147-5967

U

Ulrich, Steffen and Hoback, Brock (2014) Taking stock of the Nigerian microfinance banking sector: lessons from an assessment of 25 MFBs in five states. Enterprise Development and Microfinance, 25 (2). pp. 116-134. ISSN 1755-1978

V

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

Vitale, Paolo (2001) Foreign exchange intervention and macroeconomic stability. Discussion paper, 317. Financial Markets Group, London School of Economics and Political Science, London, UK.

Volckart, Oliver (2009) Regeln, Willkür und der gute Ruf: Geldpolitik und Finanzmarkteffizienz in Deutschland, 14. bis 16. Jahrhundert. Jahrbuch fur Wirtschaftsgeschichte, 2009 (2). pp. 101-130. ISSN 0075-2800

W

Wade, Robert Hunter (2009) From global imbalances to global reorganisations. Cambridge Journal of Economics, 33 (4). pp. 539-562. ISSN 0309-166X

Webb, David C. (2011) Book review: balancing the banks: global lessons from the financial crisis. Review 2. Economic Journal, 121 (550). F111-F118. ISSN 1468-0297

This list was generated on Sun Dec 21 14:21:15 2014 GMT.