Published articles - 2025

  • The euro area carbon bond premium
    Marleen de Jonge, Dirk Broeders, David Rijsbergen
    The European Journal of Finance, 1–31

  • Walk the green talk? A textual analysis of pension funds’ disclosures of sustainable investing
    Rob Bauer, Dirk Broeders, Annick van Ool
    Journal of Pension Economics and Finance. 2025;24(2):297-325

  • DSGE Nash: Solving Nash games in macro models
    Massimo Ferrari Minesso, Maria Sole Pagliari
    Journal of Economic Dynamics and Control, Volume 178, 105143

  • Skating on thin ice: New evidence on financial fragility
    Jasmira Wiersma, Rob Alessie, Adriaan Kalwij, Annamaria Lusardi and Maarten van Rooij
    Journal of Consumer Affairs, Volume 59, Issue2

  • Optimal normalization policy under behavioral expectations
    Alexandre Carrier, Kostas Mavromatis
    Journal of Monetary Economics, Volume 153, 103786

  • Macroeconomic reversal rate in a low interest rate environment
    Jan Willem van den End, Paul Konietschke, Anna Samarina and Irina Stanga
    International Journal of Central Banking 21(3), 1-68

  • Mind the gap: gender differences in household payment tasks
    Carin van der Cruijsen, Marie-Claire Broekhoff and Joris Knoben
    De Economist 173, 385–424. 

  • The association of high perceived inflation with trust in national politics and central banks
    Carin van der Cruijsen, Jakob de Haan and Maarten van Rooij
    Journal of Banking and Finance,171, 107368.

  • The effects of fiscal policy when planning horizons are finite
    Kostas Mavromatis and Joep Lustenhouwer
    Journal of Money, Credit and Banking, vol 57, Issue 2-3, pp 549 - 582

  • Effects of QE on sovereign bond spreads through the safe asset channel
    Jan Willem van den End
    International Journal of Finance and Economics, 30(2), 1143-1162

  • Can paying become too easy? Questions raised regarding frictionless payments at the crossroads of public policy objectives.
    Ellen Naudts and Jorgen Eijlander
    Journal of Payments Strategy & Systems 18(4), 342-356.

  • Carbon home bias of European investors
    Martijn Boermans and Rients Galema
    Journal of Corporate Finance 92, 102748

  • Recourse and (strategic) mortgage defaults: Evidence from changes in housing market laws
    Alin Andries, Anca Copaciu, Radu Popa and Razvan Vlahu
    European Economic Review 173, 104953

  • Data Science for Central Banks and Supervisors: How to Make It Work, Actually
    Patty Duijm and Iman van Lelyveld
    Harvard Data Science Review 7(1)

  • Deposit market concentration and monetary transmission: Evidence from the euro area
    Stephen Kho
    European Economic Review 173, 104933

  • What drives trust in the financial sector supervisor? New empirical evidence for the Netherlands
    Carin van der Cruijsen, Maurice Doll and Jakob de Haan
    Empirica 52: 173–195.

  • The effect of unemployment, housing tenure and commuting distance on interregional migration in the Netherlands
    Cindy Biesenbeek
    Regional Studies, 59(1), 1–14.

  • The association of high perceived inflation with trust in national politics and central banks
    Carin van der Cruijsen, Jakob de Haan and Maarten van Rooij
    Journal of Banking and Finance 171, 107368

  • Inflation Expectations Anchoring: New Insights from Microevidence of a Survey at High Frequency and of Distributions
    Nikos Apokoritis, Gabriele Galati, and Richhild Moessner
    International Journal of Central Banking 21.1 (2025): 201-234.

  • Consumer participation in the credit market during the COVID-19 pandemic and beyond
    Evangelos Charalambakis, Federica Teppa, Athanasios Tsiortas
    Oxford Economic Papers, 77(1), 119–143.