Note de contenu :
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Policy experiments and financial regulation: Using laboratory methods to evaluate responses to the 2007–2009 financial crisis
Douglas D. Davis, Oleg Korenok
Pages: 657-687 First Published: 24 June 2022
Is everything relative? A survey of the theory of matching tournaments
Ed Hopkins
Pages: 688-714 First Published: 26 April 2022
Collective choice with heterogeneous time preferences
Mikhail Pakhnin
Pages: 715-746 First Published: 17 June 2022
How could a new universal code of conduct prevent and resolve sovereign debt crises? Proposals for design and implementation
Kathrin Berensmann
Pages: 747-788 First Published: 12 June 2022
Illicit financial flows and developing countries: A review of methods and evidence
Kasper Brandt
Pages: 789-820 First Published: 12 July 2022
Uncertainty before and during COVID-19: A survey
Efrem Castelnuovo
Pages: 821-864 First Published: 16 June 2022
A review on drawdown risk measures and their implications for risk management
Hans Geboers, Benoît Depaire, Jan Annaert
Pages: 865-889 First Published: 13 July 2022
The ECB's asset purchase programme: Theory, effects, and risks
Pierpaolo Benigno, Paolo Canofari, Giovanni Di Bartolomeo, Marcello Messori
Pages: 890-914 First Published: 16 July 2022
Direct versus iterated multiperiod Value-at-Risk forecasts
Esther Ruiz, María Rosa Nieto
Pages: 915-949 First Published: 07 July 2022
Climate-related risks in financial assets
Emanuele Campiglio, Louis Daumas, Pierre Monnin, Adrian von Jagow
Pages: 950-992 First Published: 22 July 2022
CSR and firm profitability: Evidence from a meta-regression analysis
Stefan Hirsch, Thies Petersen, Maximilian Koppenberg, Monika Hartmann
Pages: 993-1032 First Published: 13 July 2022
Forecasting in the absence of precedent
Paul Ho
Pages: 1033-1058 First Published: 11 July 2022
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