Publications

Nº 22-19: Are Green Funds for Real?

C. Jaunin, L. Somoza, T. Terracciano
Working Papers
23 Feb. 2022

Predictably Unequal? The Effects of Machine Learning on Credit Markets.

A. Fuster, P. Goldsmith-Pinkham, T. Ramadorai, A. Walther
Academic Publications
22 Feb. 2022

Skill, Scale, and Value Creation in the Mutual Fund Industry

P. Gagliardini, O. Scaillet, L. Barras
Academic Publications
18 Feb. 2022

Nº 22-18: Global Production Linkages and Stock Market Comovement

A. Wagner, R. Auer, B. M. Iwadate, A. Schrimpf
Working Papers
15 Feb. 2022

Nº 22-17: Taxing Banks Leverage and Syndicated Lending: A Cross-Country Comparison

S. Ongena, A. Burietz, M. Picault
Working Papers
14 Feb. 2022

Nº 22-16: Personality Traits and Investment Styles

T. Hens, M. Ding-Hirschfeld
Working Papers
31 Jan. 2022

Nº 22-15: Signaling with Debt Currency Choice

S. Malamud, E. Eren, H. Zhou
Working Papers
30 Jan. 2022

Nº 22-14: Do Firms Walk the Climate Talk?

A. Wagner, M. Dzieliński, F. Eugster, E. Sjöström
Working Papers
28 Jan. 2022

Nº 22-13: Mortgage-Backed Securities

A. Fuster, D. Lucca, J. Vickery
Working Papers
27 Jan. 2022

Nº 22-12: The Valuation of Illiquid Assets: A Focus on Private Equity and Real Estate

M. Hoesli, R. Gibson, J. Shan
Working Papers
26 Jan. 2022

Nº 22-11: Measuring and Stress-Testing Market-Implied Bank Capital

A. Fuster, E. Jondeau, M. Indergand
Working Papers
19 Jan. 2022

Nº 22-10: Infrequent Random Portfolio Decisions in an Open Economy Model

P. Bacchetta, E. van Wincoop, E. R. Young
Working Papers
14 Jan. 2022

Nº 22-09: Non-Standard Errors

O. Bashchenko, F. Franzoni, M. Leippold, N. Mano, P. Östberg, M. Pelli, O. Scaillet, N. Schürhoff, R. Mihet
Working Papers
12 Jan. 2022

Nº 22-08: Tenant Industry Sector and European Listed Real Estate Performance

M. Hoesli, J. Muckenhaupt, B. Zhu
Working Papers
11 Jan. 2022

Nº 22-07: Sparse and Stable International Portfolio Optimization and Currency Risk Management

U. Ulrych, R. Burkhardt
Working Papers
10 Jan. 2022
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