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Journal of Futures Markets, ISSN 0270-7314, 2013
G10 | G14
Journal Article
Economics Letters, ISSN 0165-1765, 09/2017, Volume 158, pp. 3 - 6
We explore the optimal conditional heteroskedasticity model with regards to goodness-of-fit to Bitcoin price data. It is found that the best model is the... 
GARCH | Cryptocurrency | Volatility | Bitcoin | ECONOMICS | Comparative analysis | Models | Crypto-currencies
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 7/2015, Volume 28, Issue 7, pp. 2094 - 2127
The rise of computerized trading strategies in equity markets has spurred competition between trading venues. This paper shows that cross-venue strategies... 
G15 | G10 | G14 | BUSINESS, FINANCE | ECONOMICS | MARKET | LIQUIDITY PROVISION
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 06/2012, Volume 104, Issue 3, pp. 452 - 468
We present a standard model of financial innovation, in which intermediaries engineer securities with cash flows that investors seek, but modify two... 
Banks | Local thinking | Crisis | BUSINESS, FINANCE | ECONOMICS | MODEL | Cash flow | Securities | Innovations
Journal Article
2010, NBER working paper series, Volume no. w15783.
We analyze a rational-expectations model of information acquisition and price formation in an intermediate- good market: prices and net supply are... 
D80 - General | G10 - General
Web Resource
Review of Finance, ISSN 1572-3097, 2015, Volume 19, Issue 4, pp. 1587 - 1622
Two important characteristics of current equity markets are the large number of competing trading venues with publicly displayed order books and the... 
G14 - Information and Market Efficiency ; Event Studies ; Insider Trading | G10 - General | G15 - International Financial Markets | G15 | G10 | G14 | NASDAQ | BUSINESS, FINANCE | ECONOMICS | TICK SIZE | COMPETITION
Journal Article
Economics Letters, ISSN 0165-1765, 05/2015, Volume 130, pp. 32 - 36
Amid its rapidly increasing usage and immense public interest the subject of Bitcoin has raised profound economic and societal issues. In this paper we... 
Econophysics | Cryptocurrencies | Bubbles | Bitcoin | MONEY | STATE | ECONOMICS | CRASHES | Econometric models
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 12/2009, Volume 22, Issue 12, pp. 5027 - 5067
Are there important cyclical fluctuations in bond market premiums and, if so, with what macroeconomic aggregates do these premiums vary? We use the methodology... 
Government bonds | Bond markets | Investment risk | Yield | Macroeconomics | Statistical forecasts | Yield curves | Financial bonds | Economic recessions | Forecasting models | NUMBER | MARKETS | G10 | FORECASTS | G12 | MONETARY-POLICY | AFFINE MODELS | PUZZLES | RETURN | RATES | BUSINESS, FINANCE | TERM STRUCTURE | ECONOMICS
Journal Article
Vaccine, ISSN 0264-410X, 04/2018, Volume 36, Issue 15, pp. 2033 - 2040
Ontario introduced a universal publicly-funded group A rotavirus (RVA) immunization program in August 2011, using monovalent vaccine. RVA immunization programs... 
Genotype | Immunization | Vaccine | Rotavirus | G10 | STRAINS | MEDICINE, RESEARCH & EXPERIMENTAL | INFECTIONS | IMMUNOLOGY | IDENTIFICATION | CHILDREN | POLYMERASE-CHAIN-REACTION | MOLECULAR EPIDEMIOLOGY | G10 ROTAVIRUS | GROUP-A ROTAVIRUS | P TYPES | Laboratories | Gastroenteritis | Viruses | Vaccines | Patients | Virology | Literature reviews | Surveillance | Emergence | Public health | Age | Genotypes
Journal Article
Applied Economics, ISSN 0003-6846, 05/2015, Volume 47, Issue 23, pp. 2348 - 2358
The creation of bitcoin heralded the arrival of digital or crypto-currency and has been regarded as a phenomenon. Since its introduction, it has experienced a... 
G12 | C10 | bubbles | crypto-currency | bitcoin | G10 | TESTS | EXCHANGE-RATE | UNIT-ROOT TEST | ECONOMICS | STOCK | Service development | Technology application | Crypto-currencies | Financial services industry
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 2009, Volume 33, Issue 2, pp. 211 - 223
This paper investigates whether macroeconomic variables can predict recessions in the stock market, i.e., bear markets. Series such as interest rate spreads,... 
C53 | Stock returns | Macroeconomic variables | Bear stock markets | G10 | RATIOS | BUSINESS, FINANCE | MONEY | MODELS | RETURNS | MONETARY-POLICY | ECONOMICS | ACCURACY | G10 C53 Macroeconomic variables Stock returns Bear stock markets | Price indexes | Macroeconomics | Stocks | Stock markets
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 04/2014, Volume 112, Issue 1, pp. 116 - 135
We examine how financial market development affects technological innovation. Using a large data set that includes 32 developed and emerging countries and a... 
Innovation | High-tech intensiveness | Financial development | External finance dependence | SYSTEM | CREDIT | RESEARCH-AND-DEVELOPMENT | PATENT CITATIONS | ENTREPRENEURSHIP | PRIVATE | BUSINESS, FINANCE | COMPETITION | GROWTH | STOCK MARKETS | CONSTRAINTS | ECONOMICS | Developing countries | Financial markets
Journal Article
Financial Review, ISSN 0732-8516, 05/2010, Volume 45, Issue 2, pp. 217 - 229
Is gold a hedge, defined as a security that is uncorrelated with stocks or bonds on average, or is it a safe haven, defined as a security that is uncorrelated... 
gold | stock‐bond correlation | G11 | G10 | safe haven | flight‐to‐quality | G15 | G14 | hedge | Gold | Hedge | Stock-bond correlation | Safe haven | Flight-to-quality | Bonds | Analysis | Financial markets
Journal Article
2013, NBER working paper series, Volume no. w19466.
We propose a network model of firm volatility in which the customers' growth rate shocks influence the growth rates of their suppliers, larger suppliers have... 
G10 - General | E1 - General Aggregative Models
Web Resource
The Review of Financial Studies, ISSN 0893-9454, 3/2009, Volume 22, Issue 3, pp. 925 - 957
Do bond investors demand credit quality or liquidity? The answer is both, but at different times and for different reasons. Using data on the Euro-area... 
Bond markets | Credit | Liquidity | Financial securities | Order flow | Credit risk | Yield curves | Financial instruments | Liquidity risk | Credit default swaps | class eco A | CREDIT | BUSINESS, FINANCE | G10 | G12 | RISK | YIELD SPREADS | ECONOMICS | DEBT | Government bonds | Studies | Investors | Investment policy | Quality
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 3/2009, Volume 22, Issue 3, pp. 1311 - 1341
We propose a direct and robust method for quantifying the variance risk premium on financial assets. We show that the risk-neutral expected value of return... 
Market portfolios | Statistical variance | Investment risk | Approximation | Investors | Price volatility | Predisposing factors | Risk premiums | Stochastic models | Stock market indices | ASSETS | MAXIMUM-LIKELIHOOD-ESTIMATION | DIFFUSIONS | MARKET | PERFORMANCE | G10 | RETURNS | G13 | G12 | STOCHASTIC VOLATILITY | OPTION PRICES | IMPLICIT | BUSINESS, FINANCE | MODELS | ECONOMICS | Studies | Stock prices | Variances | Risk premium
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 2000, Volume 55, Issue 1, pp. 43 - 67
Using data from Finland, this study analyzes the extent to which past returns determine the propensity to buy and sell. It also analyzes whether these... 
Momentum | Investor behavior | Performance | International stock returns | G10 | BUSINESS, FINANCE | performance | RETURNS | investor behavior | ECONOMICS | international stock returns | momentum | STRATEGIES
Journal Article
Applied Economics, ISSN 0003-6846, 02/2014, Volume 46, Issue 5, pp. 573 - 586
Sustainable development entails meeting our present needs without compromising the ability of future generations to meet their needs. This requires us to treat... 
G10; I31 | sustainability | heterogenous preferences | financial well-being | PROPENSITY SCORE | 2 International | I31 | G10 | RISK | CORPORATE SOCIAL PERFORMANCE | TESTS | PREFERENCES | STRATEGY | ECONOMICS | Surveys | Environmental sustainability | Households | Environmental education | Study and teaching | Planning | Sustainable development
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 7/2009, Volume 22, Issue 7, pp. 2645 - 2685
We examine whether a large shareholder can alleviate conflicts of interest between managers and shareholders through the credible threat of exit on the basis... 
Shareholders | Trade | Investors | Corporate governance | Hedge funds | Liquidity | Information economics | Moral agency | Modeling | Transaction costs | G34 | D53 | G30 | G10 | D82 | BUSINESS, FINANCE | INSTITUTIONAL INVESTOR | LIQUIDITY | HEDGE FUNDS | CORPORATE GOVERNANCE | Studies | Conflicts of interest | Stockholders | Activism | Managers
Journal Article
Economic Notes, ISSN 0391-5026, 07/2019, Volume 48, Issue 2, p. n/a
Tsionas has offered a more revisionist approach to the empirics of the nexus between financial development and economic growth following our paper entitled... 
G20 | G10 | Economic aspects | Economic growth | Economic models
Journal Article
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