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Details about Paul Ehling

Workplace:Institutt for finans (Department of Finance), BI Handelshøyskolen (BI Norwegian Business School), (more information at EDIRC)

Access statistics for papers by Paul Ehling.

Last updated 2020-10-26. Update your information in the RePEc Author Service.

Short-id: peh20


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Working Papers

2015

  1. Disagreement about inflation and the yield curve
    Working Papers, Banco de España Downloads View citations (5)
    See also Journal Article in Journal of Financial Economics (2018)

2014

  1. Correlations
    Working Papers, Banco de España Downloads View citations (3)
    See also Journal Article in Management Science (2017)
  2. When does cash matter? Evidence for private firms
    Working Papers, Banco de España Downloads

2009

  1. Beliefs about Inflation and the Term Structure of Interest Rates
    2009 Meeting Papers, Society for Economic Dynamics View citations (4)

2008

  1. Portfolio Choice with Capital Gain Taxation and the Limited Use of Losses
    2008 Meeting Papers, Society for Economic Dynamics Downloads View citations (2)

2007

  1. Do international portfolio investors follow firms' foreign investment decisions?
    Working Paper Series, European Central Bank Downloads View citations (6)
  2. Why Firms Purchase Property Insurance?
    Swiss Finance Institute Research Paper Series, Swiss Finance Institute Downloads View citations (2)
    See also Journal Article in Journal of Financial Economics (2008)

2005

  1. Geographic versus industry diversification: constraints matter
    Working Paper Series, European Central Bank Downloads View citations (1)
    Also in FAME Research Paper Series, International Center for Financial Asset Management and Engineering (2004) Downloads View citations (2)

    See also Journal Article in Journal of Empirical Finance (2006)

2004

  1. Consumption, Portfolio Policies and Dynamic Equilibrium in the Presence of Preference for Ownership
    Econometric Society 2004 North American Winter Meetings, Econometric Society

2003

  1. Geographical versus Industrial Diversification: A Mean Variance Spanning Approach
    FAME Research Paper Series, International Center for Financial Asset Management and Engineering Downloads View citations (1)

Journal Articles

2018

  1. Asset Prices and Portfolio Choice with Learning from Experience
    Review of Economic Studies, 2018, 85, (3), 1752-1780 Downloads View citations (16)
  2. Disagreement about inflation and the yield curve
    Journal of Financial Economics, 2018, 127, (3), 459-484 Downloads View citations (9)
    See also Working Paper (2015)
  3. Portfolio Tax Trading with Carryover Losses
    Management Science, 2018, 64, (9), 4156-4176 Downloads View citations (1)

2017

  1. Correlations
    Management Science, 2017, 63, (6), 1919-1937 Downloads
    See also Working Paper (2014)

2015

  1. Complete and incomplete financial markets in multi-good economies
    Journal of Economic Theory, 2015, 160, (C), 438-462 Downloads View citations (3)

2008

  1. Why firms purchase property insurance
    Journal of Financial Economics, 2008, 90, (3), 298-312 Downloads View citations (22)
    See also Working Paper (2007)

2006

  1. Geographic versus industry diversification: Constraints matter
    Journal of Empirical Finance, 2006, 13, (4-5), 396-416 Downloads View citations (19)
    See also Working Paper (2005)
 
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