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There are 19944 results for: content related to: The Home Bias, Capital Income Flows and Improved Long-Term Consumption Risk Sharing between Industrialized Countries

  1. Has Globalization Improved International Risk Sharing?

    International Finance

    Volume 15, Issue 2, Summer 2012, Pages: 251–266, Nikolaos Antonakakis and Johann Scharler

    Version of Record online : 21 AUG 2012, DOI: 10.1111/j.1468-2362.2012.01304.x

  2. Should Central Banks Target Consumer or Producer Prices?

    International Finance

    Volume 14, Issue 3, Winter 2011, Pages: 445–479, Stephen McKnight

    Version of Record online : 23 FEB 2012, DOI: 10.1111/j.1468-2362.2011.01291.x

  3. Do Changes in Product Variety Matter for Business Cycles and Monetary Policy in Open Economies?

    International Finance

    Volume 14, Issue 3, Winter 2011, Pages: 507–539, Stéphane Auray and Aurélien Eyquem

    Version of Record online : 23 FEB 2012, DOI: 10.1111/j.1468-2362.2011.01288.x

  4. Decomposing the Income Insurance Channel across OECD and Emerging Markets

    International Review of Finance

    Volume 11, Issue 4, December 2011, Pages: 515–535, Faruk Balli, Hatice Ozer Balli and Rosmy Jean Louis

    Version of Record online : 2 DEC 2011, DOI: 10.1111/j.1468-2443.2011.01141.x

  5. Investment Dynamics in the Aftermath of the Asian Financial Crisis: A Firm-Level Analysis

    International Finance

    Volume 14, Issue 2, Summer 2011, Pages: 331–359, Brahima Coulibaly and Jonathan Millar

    Version of Record online : 26 AUG 2011, DOI: 10.1111/j.1468-2362.2011.01284.x

  6. Risk sharing through capital gains

    Canadian Journal of Economics/Revue canadienne d'économique

    Volume 45, Issue 2, May 2012, Pages: 472–492, Faruk Balli, Sebnem Kalemli-Ozcan and Bent E. Sørensen

    Version of Record online : 3 MAY 2012, DOI: 10.1111/j.1540-5982.2012.01702.x

  7. Debt Crises and Risk-Sharing: The Role of Markets versus Sovereigns

    The Scandinavian Journal of Economics

    Volume 116, Issue 1, January 2014, Pages: 253–276, Sebnem Kalemli-Ozcan, Emiliano Luttini and Bent Sørensen

    Version of Record online : 30 DEC 2013, DOI: 10.1111/sjoe.12043

  8. Consumption Risk-Sharing within Australia and with New Zealand

    Economic Record

    Volume 83, Issue 260, March 2007, Pages: 46–59, DAVID KIM and JEFFREY SHEEN

    Version of Record online : 7 FEB 2007, DOI: 10.1111/j.1475-4932.2007.00375.x

  9. A GENERAL EQUILIBRIUM MODEL OF A MULTIFIRM MORAL-HAZARD ECONOMY WITH FINANCIAL MARKETS

    Mathematical Finance

    Volume 25, Issue 4, October 2015, Pages: 827–868, Jaeyoung Sung and Xuhu Wan

    Version of Record online : 6 JUN 2013, DOI: 10.1111/mafi.12032

  10. International risk sharing during the globalization era

    Canadian Journal of Economics/Revue canadienne d'économique

    Volume 45, Issue 2, May 2012, Pages: 394–416, Robert P. Flood, Nancy P. Marion and Akito Matsumoto

    Version of Record online : 3 MAY 2012, DOI: 10.1111/j.1540-5982.2012.01700.x

  11. The Government Spending Multiplier and Fiscal Financing: Insights from Japan

    International Finance

    Volume 14, Issue 2, Summer 2011, Pages: 231–264, Yasuharu Iwata

    Version of Record online : 26 AUG 2011, DOI: 10.1111/j.1468-2362.2011.01285.x

  12. Dynamics and Heterogeneity of Inter- and Intranational Risk Sharing

    Journal of Money, Credit and Banking

    Volume 47, Issue 1, February 2015, Pages: 123–142, CHUN-YU HO and WAI-YIP ALEX HO

    Version of Record online : 23 JAN 2015, DOI: 10.1111/jmcb.12171

  13. Portfolio allocation and international risk sharing

    Canadian Journal of Economics/Revue canadienne d'économique

    Volume 45, Issue 2, May 2012, Pages: 535–565, Gianluca Benigno and Hande Küçük

    Version of Record online : 3 MAY 2012, DOI: 10.1111/j.1540-5982.2012.01703.x

  14. Risk sharing in the Middle East and North Africa

    Economics of Transition

    Volume 21, Issue 1, January 2013, Pages: 135–155, Faruk Balli, Syed Abul Basher and Rosmy Jean Louis

    Version of Record online : 26 NOV 2012, DOI: 10.1111/ecot.12000

  15. Instrument versus Target Rules As Specifications of Optimal Monetary Policy

    International Finance

    Volume 15, Issue 1, Spring 2012, Pages: 99–123, Richard T. Froyen and Alfred V. Guender

    Version of Record online : 22 APR 2012, DOI: 10.1111/j.1468-2362.2012.01299.x

  16. State-Level Business Cycles and Local Return Predictability

    The Journal of Finance

    Volume 68, Issue 3, June 2013, Pages: 1037–1096, GEORGE M. KORNIOTIS and ALOK KUMAR

    Version of Record online : 20 MAY 2013, DOI: 10.1111/jofi.12017

  17. Limited asset market participation and the consumption-real exchange rate anomaly

    Canadian Journal of Economics/Revue canadienne d'économique

    Volume 45, Issue 2, May 2012, Pages: 566–584, Robert Kollmann

    Version of Record online : 3 MAY 2012, DOI: 10.1111/j.1540-5982.2012.01705.x

  18. Securitization of mortgage debt, domestic lending, and international risk sharing

    Canadian Journal of Economics/Revue canadienne d'économique

    Volume 45, Issue 2, May 2012, Pages: 493–508, Mathias Hoffmann and Thomas Nitschka

    Version of Record online : 3 MAY 2012, DOI: 10.1111/j.1540-5982.2012.01701.x

  19. U.S. Banking Deregulation, Small Businesses, and Interstate Insurance of Personal Income

    The Journal of Finance

    Volume 62, Issue 6, December 2007, Pages: 2763–2801, YULIYA DEMYANYK, CHARLOTTE OSTERGAARD and BENT E. SØRENSEN

    Version of Record online : 28 NOV 2007, DOI: 10.1111/j.1540-6261.2007.01292.x

  20. GENERAL PROPERTIES OF ISOELASTIC UTILITY ECONOMIES

    Mathematical Finance

    Volume 25, Issue 1, January 2015, Pages: 187–219, Joel M. Vanden

    Version of Record online : 2 NOV 2012, DOI: 10.1111/mafi.12010