Predictable Biases in Macroeconomic Forecasts and Their Impact Across Asset Classes By Anna Polanska|2022-05-15T16:51:50+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
Signaling or Marketing? The Role of Discount Control Mechanisms in Closed-End Funds By Anna Polanska|2022-05-15T16:48:12+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
The Performance of Marketplace Lenders: Evidence from Lending Club Payment Data By Anna Polanska|2022-05-15T16:46:53+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
The Subsidy to Infrastructure as an Asset Class By Anna Polanska|2022-05-15T16:44:03+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
Do Survey Expectations of Stock Returns Reflect Risk-Adjustments? By Anna Polanska|2022-05-15T16:42:53+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
Leaning Against Housing Prices As Robustly Optimal Monetary Policy By Anna Polanska|2022-05-15T16:41:19+02:00May 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Comments Read More
Career Risk and Market Discipline in Asset Management By Anna Polanska|2022-05-15T16:38:17+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
Talent Discovery, Layoff Risk and Unemployment Insurance By Anna Polanska|2022-05-15T16:13:52+02:00May 15, 2022|Economics and Finance, Working Papers|0 Comments Read More
“Finance And Growth” Re-Loaded By Anna Polanska|2022-05-15T16:13:09+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More
Plädoyer für einen „Rentenfonds Deutschland“ – warum ein kapitalgedeckter Investitionsfonds ein wichtiger Beitrag zu mehr Generationengerechtigkeit sein könnte By Anna Polanska|2022-05-15T16:10:10+02:00May 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Comments Read More