Published articles - 2023
- The anchoring of long-term inflation expectations of consumers: insights from a new survey
Gabriele Galati, Richhild Moessner and Maarten van Rooij
Oxford Economic Papers, 2023, 75(1), 96-116 - Endogenous uncertainty and the macroeconomic impact of shocks to inflation expectations
Guido Ascari, Stefano Fasani, Jakob Grazzini and Lorenza Rossi
Journal of Monetary Economics, 2023, 140, 48-63 - No country is an island. International cooperation and climate change
Massimo Ferrari Minesso and Maria Sole Pagliari
Journal of International Economics, 2023, 145, 103816 - The price of flexible jobs: wage differentials between permanent and flexible jobs in the Netherlands
Cindy Biesenbeek and Maikel Volkerink
De Economist, 2023, 171, 367-401 - Central bank capital management
Paul Wessels and Dirk Broeders
Journal of Risk Management in Financial Institutions, 2023, 16(3), 304–315 -
Staggered wages, unanticipated shocks and firms’ adjustments
Francesco Caloia, Jante Parlevliet and Mauro Mastrogiacomo
Journal of Macroeconomics, 2023, 76, 103521 - Global models for a global pandemic: the impact of Covid-19 on small euro area economies
Pablo Garcia, Pascal Jacquinot, Crt Lenarcic and Matija Lozej and Kostas Mavromatis
Journal of Macroeconomics, 2023, 77, 103551 - Intergenerational sharing of unhedgeable inflation risk
Roel Beetsma, Damiaan Chen and Sweder van Wijnbergen
Insurance: Mathematics and Economics, 2023, 113, 140-160 - Consumer willingness to share payments data: trust for sale?
Michiel Bijlsma, Carin van der Cruijsen and Nicole Jonker
Journal of Financial Services Research, 2023, 64, 41-80 - Fickle emerging market flows, stable euros, and the dollar risk factor
Martijn Boermans and John Burger
Journal of International Economics, 2023, 142, 103730 - Preferred habitat investors in the green bond market
Martijn Boermans
Journal of Cleaner Production, 2023, 421 (1), 138365 -
Trust in financial institutions: a survey
Carin van der Cruijsen, Jakob de Haan and Ria Roerink
Journal of Economic Surveys, 2023, 37(4), 1214-1254 - Herd behaviour of pension funds by asset class
Ian Koetsier and Jacob Bikker
International Journal of Economics and Finance, 2023, 15(2) -
Business dynamism, sectoral reallocation and productivity in a pandemic
Guido Ascari, Andrea Colciago and Riccardo Silvestrini
European Economic Review, 2023, 156, 104473 - Staggered wages, unanticipated shocks and firms' adjustments
Francesco Caloia, Jante Parlevliet and Mauro Mastrogiacomo
Journal of Macroeconomics, 2023, 76, 103521 - Intensified competition and the impact on credit ratings in the RMBS market
Vivian van Breemen, Frank Fabozzi and Dennis Vink
Financial Markets, Institutions & Instruments, 2023, 32(2), 51-86 - Fiscal foresight and the effects of government spending; it's all in the monetary-fiscal mix
Guido Ascari, Peder Beck-Friis, Anna Florio and Alessandro Gobbi
Journal of Monetary Economics, 2023, 134, 1-15 - Monetary policy effects in times of negative interest rates: what do bank stock prices tell us?
Joost Bats, Massimo Giuliodori and Aerdt Houben
Journal of Financial Intermediation, 2023, 53, 101003 - Risk assessment of banknotes as a fomite of SARS-CoV-2 in cash payment transactions
Jack Schijven, Mark Wind, Daniel Todt, John Howes, Barbora Tamele and Eike Steinmann
Risk Analysis, 2023, 43(4), 700-708 - How quantitative easing changes the nature of sovereign risk
Dirk Broeders, Leo de Haan and Jan Willem van den End
Journal of International Money and Finance, 2023, 137, 102881 - Price level targeting under fiscal dominance
Guido Ascari, Anna Florio and Alessandro Gobbi
Journal of International Money and Finance, 2023, 137, 102876 - How does consumption respond to news about inflation? Field evidence from a randomized control trial
Olivier Coibion, Dimitris Georgarakos, Yuriy Gorodnichenko and Maarten van Rooij
American Economic Journal: Macroeconomics, 2023, 15(3), 109-152 - Credit policy and the ‘debt shift’ in advanced economies
Dirk Bezemer, Josh Ryan-Collins, Frank van Lerven and Lu Zhang
Socio-Economic Review, 2023, 21(1), 437–478 -
Pricing of climate transition risks across different financial markets
Dirk Broeders, Bernd Schouten, Isabelle Tiems and Niek Verhoeven
Journal of Risk Management in Financial Institutions, 2023, 16(2), 102–115. - Outlier detection with reinforcement learning for costly to verify data
Michiel Nijhuis and Iman van Lelyveld
Entropy, 2023, 25(6), 842 - How much do investors rely on credit ratings: Empirical evidence from the U.S. and E.U. CLO primary market
Frank Fabozzi, Vivian van Breemen, Dennis Vink, Mike Nawas and Austin Gengos
Journal of Financial Services Research, 2023, 63, 221-247 -
Drivers of trust in the ECB during the pandemic
Carin van der Cruijsen and Anna Samarina
Applied Economics, 2023, 55(13), 1454-1476 - Banks’ net interest income from maturity transformation and other interest income: communicating vessels?
Raymond Chaudron, Leo de Haan and Marco Hoeberichts
Journal of Financial Services Research, 2023, 63(1), 35-62 - Optimal quantitative easing in a monetary union
Serdar Kabaca, Renske Maas, Kostas Mavromatis and Romanos Priftis
European Economic Review, 2023, 152, 104342
DNB uses cookies
We use cookies to optimise the user-friendliness of our website.
Read more about the cookies we use and the data they collect in our cookie notice.