CFS Working Paper Series
From Center for Financial Studies (CFS) Contact information at EDIRC. Bibliographic data for series maintained by ZBW - Leibniz Information Centre for Economics (). Access Statistics for this working paper series.
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- 561: The buyer margins of firms' exports

- Jeronimo Carballo, Gianmarco Ottaviano and Christian Volpe Martincus
- 560: Immigration, trade and productivity in services: Evidence from U.K. firms

- Gianmarco Ottaviano, Giovanni Peri and Greg Wright
- 559: Competition and bank stability

- Martin Goetz
- 558: Accounting for changing returns to experience

- Lutz Hendricks
- 557: Human capital and development accounting: New evidence from wage gains at migration

- Lutz Hendricks and Todd Schoellman
- 556: House prices, wealth effects and labour supply

- Richard Disney and John Gathergood
- 555: Money creation and destruction

- Salomon Faure and Hans Gersbach
- 554: Investor financial literacy in the workplace

- Jill E. Fisch, Tess Wilkinson-Ryan and Kristin Firth
- 553: Does majority voting improve board accountability?

- Stephen J. Choi, Jill E. Fisch, Marcel Kahan and Edward B. Rock
- 552: After Halliburton: Event studies and their role in federal securities fraud litigation

- Jill E. Fisch, Jonah B. Gelbach and Jonathan Klick
- 551: Financial media, price discovery, and merger arbitrage

- Matthias Buehlmaier and Josef Zechner
- 550: Low risk anomalies?

- Paul Schneider, Christian Wagner and Josef Zechner
- 549: The stability of dividends and wages: Effects of competitor inflexibility

- Daniel A. Rettl, Alex Stomper and Josef Zechner
- 548: Managerial rents vs. shareholder value in delegated portfolio management: The case of closed-end funds

- Youchang Wu, Russell Wermers and Josef Zechner
- 547: Debt maturity and the dynamics of leverage

- Thomas Dangl and Josef Zechner
- 546: Risk control in asset management: Motives and concepts

- Thomas Dangl, Otto Randl and Josef Zechner
- 545: Sovereign reputation and yield spreads: A case study on retroactive legislation

- Otto Randl and Josef Zechner
- 544: Prestige and loan pricing

- Alexander Muermann and Thomas Rauter
- 543: Asymmetric information in automobile insurance: Evidence from driving behavior

- Daniela Kremslehner and Alexander Muermann
- 542: Sovereign risk, bank funding and investors' pessimism

- Ester Faia
- 541: How do insiders trade?

- Patrick Augustin, Menachem Brenner, Gunnar Grass and Marti G. Subrahmanyam
- 540: Why do investors buy sovereign default insurance?

- Patrick Augustin, Valeri Sokolovski and Marti G. Subrahmanyam
- 539: Bank exposures and sovereign stress transmission

- Carlo Altavilla, Marco Pagano and Saverio Simonelli
- 538: How to define a Systemically Important Financial Institution (SIFI): A new perspective

- Volker Brühl
- 537: ESBies: Safety in the tranches

- Markus Brunnermeier, Sam Langfield, Marco Pagano, Ricardo Reis, Stijn Van Nieuwerburgh and Dimitri Vayanos
- 536: Prices and consumer purchasing preferences at the border: Evidence from a multi-country household scanner data set

- Guenter Beck, Hans-Helmut Kotz and Natalia Zabelina
- 535: Size and welfare costs of price differences across European countries

- Christian Rühl
- 534: Microeconometric evidence on demand-side real rigidity and implications for monetary non-neutrality

- Guenter Beck and Sarah M. Lein-Rupprecht
- 533: Why does idiosyncratic risk increase with market risk?

- Söhnke Bartram, Gregory W. Brown and René Stulz
- 532: The supply of 'safe' assets and fiscal policy

- Ludger Schuknecht
- 531: Die Kosten der Flüchtlingskrise in Deutschland - eine Investition in die Zukunft? Ein 5-Punkte-Programm könnte dazu beitragen

- Volker Brühl
- 530: Fragmentation and heterogeneity in the euro-area corporate bond market: Back to normal?

- Andrea Zaghini
- 529: Who gains from credit granted between firms? Evidence from inter-corporate loan announcements made in China

- Qing He, Liping Lu and Steven Ongena
- 528: Actual and perceived financial sophistication and wealth accumulation: The role of education and gender

- Christina Bannier and Milena Neubert
- 527: The European Central Bank: Building a shelter in a storm

- Dae Woong Kang, Nick Ligthart and Ashoka Mody
- 526: Extended Yule-Walker identification of Varma models with single- or mixed frequency data

- Peter Zadrozny
- 525: Forty years of oil price fluctuations: Why the price of oil may still surprise us

- Christiane Baumeister and Lutz Kilian
- 524: Euro crash risk

- Roman Kräussl, Thorsten Lehnert and Sigita Senulyte
- 523: Toward a pecking order theory of strategic resource deployment

- William Schulze, David Deeds, Robert Wuebker and Roman Kräussl
- 522: The "tone effect" of news on investor beliefs: An experimental approach

- Ronald Bosman, Roman Kräussl and Elizaveta Mirgorodskaya
- 521: Completing the unfinished house: Towards a genuine economic and monetary union?

- Otmar Issing
- 520: Monetary policy in Turkey after Central Bank independence

- Refet Gürkaynak, Zeynep Kantur, M. Anil Tas and Secil Yildirim
- 519: Household debt and crises of confidence

- Thomas Hintermaier and Winfried Koeniger
- 518: Accounting-based asset return smoothing in participating life annuities: Implications for annuitants, insurers, and policymakers

- Raimond Maurer, Olivia Mitchell, Ralph Rogalla and Ivonne Siegelin
- 517: Employment and wage insurance within firms: Worldwide evidence

- Andrew Ellul, Marco Pagano and Fabiano Schivardi
- 516: Multivariate dynamic intensity peaks-over-threshold models

- Nikolaus Hautsch and Rodrigo Herrera
- 515: Back to gold: Sterling in 1925

- Stefan Gerlach and Peter Kugler
- 514: Unemployment and inflation in Ireland: 1926-2012

- Stefan Gerlach, Reamonn Lydon and Rebecca Stuart
- 513: Money, interest rates and prices in Ireland, 1933-2012

- Stefan Gerlach and Rebecca Stuart
- 512: Risks and returns to education over time

- Jeffrey Brown, Chichun Fang and Francisco Gomes
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