Central Bank Research Hub - JEL classification G11: Portfolio Choice; Investment Decisions

Title Author(s)

Bank regulation and stability: an examination of the Basel market risk framework

Deutsche Bundesbank Discussion Papers [View] (Paper: 09/2012, 29.05.2012)

JEL: D81, G11, G21, G28

Internationally correlated jumps

European Central Bank Working papers [View] (Paper: 1436, 25.05.2012)

JEL: G11, G15

Hedging Against the Government: A Solution to the Home Asset Bias Puzzle

Dallas Fed Institute Working Papers [View] (Paper: 0113, 03.05.2012)

JEL: F30, F41, G11

Monetary policy and the flow of funds in the euro area

Bank of Italy Working Papers [View] (Paper: 861, 23.04.2012)

JEL: E32, E4, E52, G11

Bank regulation and stability: an examination of the Basel market risk framework

Deutsche Bundesbank Banking Supervision Discussion Papers [View] (Paper: 2012/09, 23.04.2012)

JEL: D81, G11, G21, G28

Securitization and the dark side of diversification

Netherlands Bank DNB Working Papers [View] (Paper: 341, 28.03.2012)

JEL: G11, G21

U.S. International Equity Investment

Board of Governors of the Federal Reserve System International Financial Discussion Papers [View] (Paper: 1044, 23.03.2012)

JEL: C35, F21, G11

Habit formation heterogeneity: Implications for aggregate asset pricing

Board of Governors of the Federal Reserve System FEDS series [View] (Paper: 2012-07, 12.03.2012)

JEL: C68, D58, D91, E21, E44, G11, G12

Foreign Stock Holdings: The Role of Information

San Francisco Fed Working Papers [View] (Paper: 2010-26, 05.10.2010)

JEL: G11, G14, G15

Banks' exposure to interest rate risk, their earnings from term transformation, and the dynamics of the term structure

Deutsche Bundesbank Banking Supervision Discussion Papers [View] (Paper: 2010/07, 20.09.2010)

JEL: G11, G21

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