Published Articles in Journals

121-135 from 579 results
  • Insurance companies' trading behaviour during the European sovereign debt crisis: Flight home or flight to quality?
    Melle Bijlsma and Robert Vermeulen
    Journal of Financial Stability, 2016, 27, 137–154
  • Granularity, a blessing in disguise: transaction cycles within real-time gross settlement systems
    Tim van Ark and Ronald Heijmans
    Journal of Financial Market Infrastructures, 2016, 5(2), 29-52
  • Consumer cash usage: A cross-country comparison with payment diary survey data
    John Bagnall, David Bounie, Kim Huynh, Anneke Kosse, Tobias Schmidt, Scott Schuh and Helmut Stix
    International Journal of Central Banking, 2016, 12(4), 1-61
  • Demanding occupations and the retirement age in the Netherlands
    Niels Vermeer, Mauro Mastrogiacomo and Arthur van Soest
    Labour Economics, 2016, 43, 159-170
  • Is there Life in the Old Dog Yet? Observations on the political economy and constitutional viability of common debt issuing in the euro area
    Fabian Amtenbrink, René Repasi and Jakob de Haan
    Review of Law and Economics, 2016, 12(3), 605–633
  • Mortgage risk, debt literacy and financial advice
    Raun van Ooijen and Maarten van Rooij
    Journal of Banking and Finance, 2016, 72, 201–217
  • Forecasting and nowcasting economic growth in the euro area using factor models
    Irma Hindrayanto, Siem Jan Koopman and Jasper de Winter
    International Journal of Forecasting, 2016, 32(4), 1284–1305
  • Effectiveness of monetary policy in Sweden
    Richhild Moessner, Jakob de Haan and David-Jan Jansen
    Contemporary Economic Policy, 2016, 34(4), 698-709
  • Decision making in times of Knightian uncertainty: An info-gap perspective
    Yakov Ben-Haim and Maria Demertzis
    Economics, 2016, 10(23), 1-29
  • Preferential regulatory treatment and banks' demand for government bonds
    Clemens Bonner
    Journal of Money, Credit and Banking, 2016, 48(6), 1195–1221
  • The new normal: An introduction to the special issue
    Joshua Aizenman, Yin-Wong Cheung and Jakob de Haan
    Journal of International Money and Finance, 2016, 66, 1–4
  • Scale economies in pension fund investments: A dissection of investment costs across asset classes
    Dirk Broeders, Arco van Oord and David Rijsbergen
    Journal of International Money and Finance, 2016, 67, 147–171
  • Endogenous market structures and optimal taxation
    Andrea Colciago
    The Economic Journal, 2016, 126, 1441–1483
  • The impact of liquidity regulation on bank intermediation
    Clemens Bonner and Sylvester Eijffinger
    Review of Finance, 2016, 20(5), 1945-1979
  • Measuring financial cycles in a model-based analysis: Empirical evidence for the United States and the Euro Area
    Gabriele Galati, Irma Hindrayanto, Siem Jan Koopman and Marente Vlekke
    Economics Letters, 2016, 145, 83–87
121-135 from 579 results