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Number of items at this level: 73.

A

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.

Aron, Janine and Muellbauer, John (2010) Modelling and forecasting UK mortgage arrears and possessions. SERC Discussion Papers, SERCDP0053. Spatial Economics Research Centre (SERC), London School of Economics and Political Science, London, UK.

Avgouleas, Emilios and 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

B

Bartlett, Will and Prica, Ivana (2011) The variable impact of the global economic crisis in South East Europe. Ekonomski Anali, 56 (191). pp. 7-34. ISSN 0013-3264

Bartlett, Will and Prica, Ivana (2012) The variable impact of the global economic crisis in South East Europe. Papers on South Eastern Europe, 4. LSEE - Research on South Eastern Europe, London, UK.

Bhattacharya, Sudipto and 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

Bhimani, Alnoor and Willcocks, Leslie P. (2014) Digitisation, ‘big data’ and the transformation of accounting information. Accounting and Business Research, 44 (4). pp. 469-490. ISSN 0001-4788

Bijapur, Mohan and 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.

Blanchflower, David and Freeman, Richard (1993) Did the Thatcher reforms change British labour market performance? CEP Discussion Papers, CEPDP0168. Centre for Economic Performance, London School of Economics and Political Science, 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

Bruche, Max and Gonzalez-Aguado, Carlos (2006) Recovery rates, default probabilities and the credit cycle. Discussion paper, 572. Financial Markets Group, London School of Economics and Political Science, London, UK.

Brunnermeier, Markus K. and Garicano, Luis and Lane, Philip R. and Pagano, Marco and Reis, Ricardo and Santos, Tano and Thesmar, David and Nieuwerburgh, Stijn Van and Vayanos, Dimitri (2016) The sovereign-bank diabolic loop and ESBies. CEP Discussion Paper, 1414. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

Brunnermeier, Markus K. and Garicano, Luis and Lane, Philip R. and Pagano, Marco and Reis, Ricardo and Santos, Tano and Thesmar, David and Van Nieuwerberg, Stijn and Vayanos, Dimitri (2016) The sovereign-bank diabolic loop and ESBies. American Economic Review, 106 (5). pp. 508-512. ISSN 0002-8282

Brunnermeier, Markus K. and Langfield, Sam and Pagano, Marco and Reis, Ricardo and Van Nieuwerburgh, Stijn and Vayanos, Dimitri (2017) ESBies: safety in the tranches. Economic Policy, 32 (90). pp. 175-219. ISSN 0266-4658

Buiter, Willem H. (2008) Central banks and financial crises. Discussion paper, 619. Financial Markets Group, London School of Economics and Political Science, London, UK.

Burgess, Robin and Pande, Rohini and Wong, Grace (2005) Banking for the poor : evidence from India. Journal of the European Economic Association, 3 (02-Mar). pp. 268-278. ISSN 1542-4766

C

Capie, Forrest and Fischer, Stanley and 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

Castellano, Giuliano and Jeunemaître, Alain and Lange, Bettina (2012) Reforming European Union financial regulation: thinking through governance models. European Business Law Review, 23 (3). pp. 409-446. ISSN 0959-6941

Cesa-Bianchi, Ambrogio (2016) Finance and synchronization. CFM discussion paper series, CFM-DP2016-22. Centre For Macroeconomics, London, UK.

Cowling, Marc and Ughetto, Elisa and Lee, Neil (2018) The innovation debt penalty: cost of debt, loan default, and the effects of a public loan guarantee on high-tech firms. Technological Forecasting and Social Change, 127. pp. 166-176. ISSN 0040-1625

D

Danielsson, Jon and James, Kevin R. and 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 and James, Kevin R. and Valenzuela, Marcela and Zer, Ilknur (2016) Model risk of risk models. Journal of Financial Stability, 23. pp. 79-91. ISSN 1572-3089

Danielsson, Jon and Jorgensen, Bjorn N. and de Vries, Casper G. (2002) Incentives for effective risk management. Journal of Banking and Finance, 26 (7). pp. 1407-1425. ISSN 0378-4266

Danielsson, Jon and Zigrand, Jean-Pierre (2007) Regulating hedge funds. Financial Stability Review, 10 (Spec.). pp. 29-36. ISSN 1636-6964

Den Haan, Wouter J. and 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

Donaldson, Jason, Roderick and Micheler, Eva (2017) Resaleable debt and systemic risk. Journal of Financial Economics. ISSN 0304-405X

de Grauwe, Paul and 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

E

Etesami, Jalal and Habibnia, Ali and Kiyavash, Negar (2017) Econometric modeling of systemic risk: going beyond pairwise comparison and allowing for nonlinearity. SRC Discussion Paper, No. 66. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Etienne, Julien (2011) Compliance theory: a goal framing approach. Law and Policy, 33 (3). pp. 305-333. ISSN 0265-8240

F

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 and Moloney, Niamh and Payne, Jennifer, (eds.) The Oxford Handbook on Financial Regulation. Oxford University Press, Oxford, UK. (In Press)

Fieldhouse, Andrew and Mertens, Karel and Ravn, Morten O. (2017) The macroeconomic effects of Government asset purchases: evidence from postwar US housing credit policy. CFM discussion paper series, CFM-DP2017-07. Centre For Macroeconomics, London, UK.

Fisman, Raymond and Paravisini, Daniel and Vig, Vikrant (2017) Cultural proximity and loan outcomes. American Economic Review, 107 (2). pp. 457-492. ISSN 0002-8282

Frantz, Pascal and Instefjord, Norvald (2012) Financial regulation: regulatory arbitrage and regulatory harmonization. Social Science Research Network.

Frantz, Pascal and Instefjord, Norvald (2018) Regulatory competition and rules/principles-based regulation. Journal of Business Finance and Accounting, 45 (7-8). pp. 818-838. ISSN 0306-686X

Frantz, Pascal and Instefjord, Norvald (2015) Rules vs principles based financial regulation. London School of Economics and Economic Science, London, UK.

Fricke, Daniel and Roukny, Tarik (2018) Generalists and specialists in the credit market. Journal of Banking and Finance. ISSN 0378-4266 (In Press)

G

Gerner-Beuerle, Carsten (2012) United in diversity: maximum versus minimum harmonization in EU securities regulation. Capital Markets Law Journal, 7 (3). pp. 317-342. ISSN 1750-7219

Glasserman, Paul and Young, H. Peyton (2016) Contagion in financial networks. Journal of Economic Literature, 54 (3). pp. 779-831. ISSN 0022-0515

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

Goodhart, Charles and Segoviano, Miguel A. (2015) Optimal bank recovery. Working paper, WP/15/217. International Monetary Fund, Washington. ISBN 9781513584263

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. Edward Elgard Publishing Ltd, Cheltenham, pp. 326-353. ISBN 9781849803137

Goodhart, Charles A. E. and Lastra, Rosa M. (2012) The boundary problems in financial regulation. In: Barth, James R. and Lin, Chen and Wihlborg, Clas, (eds.) Research Handbook on International Banking and Governance. Edward Elgar Publishing Ltd, Cheltenham, pp. 321-332. ISBN 9781849802932

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

Hagemann, Sara (2012) EU budget negotiations continue against a backdrop of austerity: but they are still in need of reform to produce a more efficient financial framework. LSE European Politics and Policy (EUROPP) Blog (05 Jun 2012). Blog Entry.

Hainmueller, Jens and Eggers, Andrew C. (2014) Political capital: corporate connections and stock investments in the U.S. congress, 2004-2008. Quarterly Journal of Political Science, 9 (2). pp. 169-202. ISSN 1554-0626

Hale, Lyric (2012) For richer, for poorer?: the European Union that never was. LSE European Politics and Policy (EUROPP) Blog (09 Jun 2012). Blog Entry.

Ho Hwang, Jong (2013) A proposal for an open-source financial risk model. SRC Discussion Paper, No 9. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

I

Inkmann, Joachim and Blake, David (2004) Liability valuation and optimal asset allocation. Discussion paper: UBS Pensions Series 027, 507. Financial Markets Group, London School of Economics and Political Science, London, UK.

J

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

K

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

Kehoe, Patrick J. (2017) Fiscal unions redux. CFM discussion paper series, CFM-DP2017-12. Centre For Macroeconomics, London, UK.

Kiesel, Rüdiger and Veraart, Luitgard A. M. (2008) A note on the survival probability in CreditGrades. Journal of Credit Risk, 4 (2). ISSN 1744-6619

L

Lage de Sousa, Filipe and Ottaviano, Gianmarco I. P. (2017) Relaxing credit constraints in emerging economies: the impact of public loans on the productivity of Brazilian manufacturers. International Economics. ISSN 2110-7017 (In Press)

Levine, Ross and Levkov, Alexey and Rubinstein, Yona (2013) Bank deregulation and racial inequality in America. Critical Finance Review, 3 (1). pp. 1-48. ISSN 2164-5744

Lodge, Martin 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

M

Matta, Rafael and Perotti, Enrico (2015) Insecure debt. SRC Discussion Paper, No 41. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Meyer, Henning (2008) Don't sell taxpayers short. Guardian (19 Oct 2008). Opinion Piece.

Meyer, Henning (2008) Make state capitalism pay its way. Guardian (26 Sep 2008). Opinion Piece.

Meyer, Henning and Spiegel, Karl-Heinz (2008) Introducing a new Cif series. Guardian (09 Dec 2008). Opinion Piece.

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

O

O'Brien, Patrick (2011) The nature and historical evolution of an exceptional fiscal state and its possible significance for the precocious commercialization and industrialization of the British economy from Cromwell to Nelson. Economic History Review, 64 (2). pp. 408-446. ISSN 0013-0117

P

Pagliari, Stefano (2011) Who governs finance?: the shifting public-private divide in the regulation of derivatives, rating agencies and hedge funds. European Law Journal, 18 (1). pp. 44-61. ISSN 1351-5993

Pepper, Alexander (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, The London School of Economics and Political Science. (Unpublished)

R

Repullo, Rafael (2013) Cyclical adjustment of capital requirements: a simple framework. SRC Discussion Paper, No 3. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

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

Ryan, John (2011) Responses to the eurozone crisis. In: Paths through the crisis: can enhanced financial integration provide the way forward for Asia and Europe, 2 December 2011, Brussels, Belgium.

S

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

Spinnewijn, Johannes (2017) Heterogeneity, demand for insurance and adverseselection. American Economic Journal: Economic Policy, 9 (1). pp. 308-343. ISSN 1945-7731

T

Tasca, Paolo and Battiston, Stefano (2014) Diversification and financial stability. SRC Discussion Paper, No 10. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

W

Wade, Robert H. and Sigurgeirsdottir, Silla (2012) The Iceland crisis. In: Toporowski, Jan and Michell, Jo, (eds.) Handbook of Critical Issues in Finance. Edward Elgard Publishing Ltd, Cheltenham, pp. 151-164. ISBN 9781849803700

This list was generated on Mon Dec 10 14:40:08 2018 GMT.