Volatility, Information Feedback and Market Microstructure Noise: A Tale of Two Regimes Von Anna Polanska|2022-05-15T17:45:21+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Buffer-stock saving and households’ response to income shocks Von Anna Polanska|2022-05-15T17:43:58+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
How Effective are Trading Pauses? Von Anna Polanska|2022-05-15T17:42:59+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
A two-step indirect inference approach to estimate the long-run risk asset pricing model Von Anna Polanska|2022-05-15T17:41:20+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Simplifying Choices in Defined Contribution Retirement Plan Design: A Case Study Von Anna Polanska|2022-05-15T17:40:33+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Debt and Financial Vulnerability on the Verge of Retirement Von Anna Polanska|2022-05-15T17:39:52+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Commodity Connectedness Von Anna Polanska|2022-05-15T17:39:03+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Real-Time Forecast Evaluation of DSGE Models with Stochastic Volatility Von Anna Polanska|2022-05-15T17:31:09+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Communication of monetary policy in unconventional times Von Anna Polanska|2022-05-15T17:29:12+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Optimal Trend Inflation Von Anna Polanska|2022-05-15T17:28:28+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen