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2. Paper millionaires: how valuable is stock to a stockholder who is restricted from selling it?
3. Systemic bank runs without aggregate risk: How a misallocation of liquidity may trigger a solvency crisis
4. Financial market concentration and misallocation
5. Do personal taxes affect investment decisions and stock returns?
6. How do Treasury dealers manage their positions?
7. When failure is an option: Fragile liquidity in over-the-counter markets
8. Production complementarity and information transmission across industries
9. Missing values handling for machine learning portfolios
10. Siphoned apart: A portfolio perspective on order flow segmentation
11. Stress tests and model monoculture
12. Monetary policy transmission in segmented markets
13. Intermediary balance sheets and the treasury yield curve
14. Cleansing by tight credit: Rational cycles and endogenous lending standards
15. The limits of multi-dealer platforms
16. Implicit guarantees and the rise of shadow banking: The case of trust products
17. The distributional effects of student loan forgiveness
18. Mutual fund performance at long horizons
19. Let the rich be flooded: The distribution of financial aid and distress after hurricane harvey
20. Have risk premia vanished?
21. Financing constraints, home equity and selection into entrepreneurship
22. The pass-through of uncertainty shocks to households
23. Why does structural change accelerate in recessions? The credit reallocation channel
24. Stock return ignorance
25. Have exchange-listed firms become less important for the economy?
26. The micro and macro of managerial beliefs
27. Trade credit and profitability in production networks
28. GSIB surcharges and bank lending: Evidence from US corporate loan data
29. Dynamic multitasking and managerial investment incentives
30. The impact of arbitrage on market liquidity
31. Volatility and the cross-section of returns on FX options
32. Regulatory effects on short-term interest rates
33. Pervasive underreaction: Evidence from high-frequency data
34. The design and transmission of central bank liquidity provisions
35. Testing the effectiveness of consumer financial disclosure: Experimental evidence from savings accounts
36. Banks funding, leverage, and investment
37. Monetary policy at work: Security and credit application registers evidence
38. Asymmetric information risk in FX markets
39. Picking funds with confidence
40. The risk and return of equity and credit index options
41. Monetary policy and fragility in corporate bond mutual funds
42. Racial disparities in the Paycheck Protection Program
43. The credit supply channel of monetary policy tightening and its distributional impacts
44. Disclosing and cooling-off: An analysis of insider trading rules
45. Block trade contracting
46. The reserve supply channel of unconventional monetary policy
47. The effects of policy interventions to limit illegal money lending
48. The short-termism trap: Catering to informed investors with limited horizons
49. Strategic trading and unobservable information acquisition
50. Business cycles and currency returns
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