Central Bank Research Hub - Series: Netherlands Bank DNB Working Papers 2005

Papers by year: All | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004

Title Author(s)

How to measure the unsecured money market? The Eurosystem's implementation and validation using TARGET2 data

Paper: 369, 24.01.2013

Firm Entry, Endogenous Markups and the Dynamics of the Labor Share of Income

Paper: 367, 17.01.2013

What drives pension indexation in turbulent times? An empirical examination of Dutch pension funds

Paper: 368, 17.01.2013

Are Retirement Decisions Vulnerable to Framing Effects? Empirical Evidence from NL and the US

Paper: 366, 09.01.2013

Contagious Bank Runs: Experimental Evidence

Paper: 363, 24.12.2012

The Impact of the LCR on the Interbank Money Market

Paper: 364, 24.12.2012

Forecasting and nowcasting real GDP: Comparing statistical models and subjective forecasts

Paper: 365, 24.12.2012

Liquidity Regulation, Funding Costs and Corporate Lending

Paper: 361, 20.12.2012

Retail Payment Systems: Competition, Innovation, and Implications

Paper: 362, 20.12.2012

A Frontier Measure of U.S. Banking Competition

Paper: 359, 10.12.2012

JEL: C21, G21, L11

Is Information Overrated? Evidence from the Pension Domain

Paper: 360, 10.12.2012

JEL: D1, D84, H3, I3

Financial constraints, risk taking and firm performance: Recent evidence from microfinance clients in Tanzania

Paper: 358, 19.11.2012

Performance of the life insurance industry under pressure: efficiency, competition and consolidation

Paper: 357, 19.11.2012

Trade Dynamics in the Euro Area: The role of export destination and composition

Paper: 354, 16.11.2012

Trends in Financial Innovation and Their Welfare Impact: An Overview

Paper: 355, 06.11.2012

Innovations, rents and risk

Paper: 356, 06.11.2012

Green havens and pollution havens

Paper: 353, 29.10.2012

The interaction between the central bank and government in tail risk scenarios

Paper: 352, 18.10.2012

When Did Firms Become More Different? Time-Varying Firm-Specific Volatility in Japan

Paper: 351, 11.10.2012

Commission Bans and the Source and Quality of Financial Advice

Paper: 350, 13.09.2012

The optimal size of the European Stability Mechanism: A cost-benefit analysis

Paper: 349, 27.08.2012

JEL: C15, G01, G17, G22, G32

Bank liquidity, the maturity ladder, and regulation

Paper: 346, 14.08.2012

JEL: G21, G28, G32

Finding the core: Network structure in interbank markets

Paper: 348, 25.07.2012

JEL: G10, G21, L14

Identifying systemically important financial institutions: size and other determinants

Paper: 347, 12.07.2012

JEL: G01, G21, G28

Taking Trends Seriously in DSGE Models: An Application to the Dutch Economy

Paper: 345, 12.07.2012

JEL: E27, E37, E47

The 2007-2009 Financial Crisis: Changing Market Dynamics and the Impact of Credit Supply and Aggregate Demand Sensitivity

Paper: 344, 07.05.2012

JEL: G01, G12, G32

Mean Reversion in Stock Prices: Implications for Long-Term Investors

Paper: 343, 25.04.2012

Mean Reversion in Stock Prices: Implications for Long-Term Investors

Paper: 343, 25.04.2012

Modelling the liquidity ratio as macroprudential instrument

Paper: 342, 25.04.2012

JEL: C15, E44, G21, G28, G32

Modelling the liquidity ratio as macroprudential instrument

Paper: 342, 25.04.2012

JEL: C15, E44, G21, G28, G32

Securitization and the dark side of diversification

Paper: 341, 28.03.2012

JEL: G11, G21

Net Foreign Asset (Com)position: Does Financial Development Matter?

Paper: 340, 07.03.2012

JEL: F30, F41, G15

Do newspaper articles on card fraud affect debit card usage?

Paper: 339, 07.03.2012

JEL: C22, C23, D12, E21

Risk preferences over small stakes: Evidence from deductible choice

Paper: 338, 01.03.2012

JEL: D12, D81, G22

The pitch rather than the pit: investor inattention during FIFA World Cup matches

Paper: 337, 16.02.2012

Contagion during the Greek Sovereign Debt Crisis

Paper: 335, 09.02.2012

Follow the money: what does the literature on banking tell prudential supervisors on bank business models?

Paper: 336, 09.02.2012

Clarity of Central Bank Communication About Inflation

Paper: 333, 03.01.2012

Corporate culture and behaviour: A survey

Paper: 334, 03.01.2012

Pricing in Retail Payment Systems: A Public Policy Perspective on Pricing of Payment Cards

Paper: 331, 29.12.2011

Consumer credit and payment cards

Paper: 332, 29.12.2011

Banking risk and regulation: Does one size fit all?

Paper: 323, 28.12.2011

Complex Methods in Economics: An Example of Behavioral Heterogeneity in House Prices

Paper: 329, 28.12.2011

Foreign Banks: Trends, Impact and Financial Stability

Paper: 330, 28.12.2011

Optimal Forecasts in the Presence of Structural Breaks

Paper: 327, 23.12.2011

Choosing how to pay: the influence of home country habits

Paper: 328, 23.12.2011

Banking across Borders

Paper: 325, 16.12.2011

Valuation of Liabilities in Hybrid Pension Plans

Paper: 326, 16.12.2011

International Diversification During the Financial Crisis: A Blessing for Equity Investors?

Paper: 324, 13.12.2011

Multinational Banks and the Global Financial Crisis. Weathering the Perfect Storm?

Paper: 322, 23.11.2011

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