No. 22-4, October 2017
Index
- Central bank swap lines and CIP deviations
- Corporate governance structure and efficiencies of cooperative banks
- Debt spikes, blind spots, and financial stress
- Determinants of long‐ versus short‐term bank credit in EU countries
- Economics blogs sentiment and asset prices
- Issue Information
- Mean and variance equation dynamics: Time deformation, GARCH, and a robust analysis of the London housing market
- Mutual fund skill in timing market volatility and liquidity
- On equity risk prediction and tail spillovers
- On the stock market reactions to fiscal policies
- The assessment of the United States quantitative easing policy: Evidence from global stock markets
- The importance of firm level multinationality in the country versus industry debate
- US macroannouncements and international asset pricing