Published Articles in Journals

61-75 from 580 results
  • The rose-tinted spectacles of homeowners
    Carin van der Cruijsen, David-Jan Jansen and Maarten van Rooij
    Journal of Consumer Affairs, 2018, 52(1), 61-87
  • National information and euro area monetary policy: A generalized ordered choice approach
    Christina Bräuning and Ralf Fendel
    Empirical Economics, 2018, 54(2), 501–522
  • The time-varying relationship between credit spreads and employment growth
    Yimin Xu and Jakob de Haan
    Applied Economics, 2018, 50(41), 4387-4401
  • Contingent convertible bonds: Who invests in European CoCos?
    Martijn Boermans and Sweder van Wijnbergen
    Applied Economics Letters, 2018, 25(4), 234-238
  • Exact and fast simulation of max-stable processes on a compact set using the normalized spectral representation
    Marco Oesting, Martin Schlather and Chen Zhou
    Bernoulli, 2018, 24(2), 1497-1530
  • Why price level dispersion went up in Europe after the financial crisis
    Marco Hoeberichts and Ad Stokman
    The World Economy, 2018, 41(3), 913-925
  • FMIC2 special issue introduction: A policy view on developments in the field of financial market infrastructures
    Biliana Alexandrova-Kabadjova, Evangelos Benos, Jo Braithwaite, Jorge Cruz-Lopez, Ronald Heijmans, Mark Manning, David Murphey and Francisco Rivadeneyra
    Journal of Financial Market Infrastructures, 2018, 6(2/3), 1-20
  • Are international fund flows related to exchange rate dynamics?
    Suxiao Li, Jakob de Haan and Bert Scholtens
    Open Economies Review, 2018, 29(1), 31-48
  • Fiscal consolidations and heterogeneous expectations
    Cars Hommes, Joep Lustenhouwer and Kostas Mavromatis
    Journal of Economic Dynamics and Control, 2018, 87, 173-205
  • Timing of banks' loan loss provisioning during the crisis
    Leo de Haan and Maarten van Oordt
    Journal of Banking and Finance, 2018, 87, 293-303
  • The impact of higher fixed pay and lower bonuses on productivity
    Maurice Bun and Leo Huberts
    Journal of Labor Research, 39(1), 1-21.
  • The relationship between tenure and outside director task involvement: A social identity perspective
    Dennis Veltrop, Eric Molleman, Reggy Hooghiemstra and Hans van Ees
    Journal of Management, 2018, 44(2), 445-469
  • Does the clarity of monetary policy reports reduce volatility in financial markets?
    Aleš Bulíř, Martin Cihák and David-Jan Jansen
    Czech Journal of Economics and Finance, 2018, 68(1), 2-17
  • Bank profitability and risk-taking under low interest rates
    Jacob Bikker and Tobias Vervliet
    International Journal of Finance and Economics, 2018, 23(1), 3–18
  • Cyclical behavior of international fund flows
    Suxhiao Li, Jakob de Haan and Bert Scholtens
    Research in International Business and Finance, 2018, 43, 99-112
61-75 from 580 results