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Central Bank Research Hub - Netherlands Bank DNB Working Papers



Momentum or Contrarian Investment Strategies:Evidence from Dutch institutional investors

by Leo de Haan and Jan Kakes242
(Feb 2010)

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Inflation Expectations and Stability in an Overlapping Generations Experiment with Money Creation

by Peter Heemeijer, Cars Hommes, Joep Sonnemans and Jan Tuinstra241
(Feb 2010)

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Is Contagion in the Eye of the Beholder?

by Mark Mink234
(Jan 2010)

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How well-behaved are higher-order perturbation solutions?

by Wouter J. den Haan and Joris de Wind240
(Jan 2010)

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SEPA, Efficiency, and Payment Card Competition

by Wilco Bolt and Heiko Schmiedel239
(Jan 2010)

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Determinants of consumer financial risktaking:Evidence from deductible choice

by Janko Gorter and Paul Schilp238
(Jan 2010)

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On the Possibility of Credit Rationing in the Stiglitz-Weiss Model: A Comment

by Itai Agur237
(Jan 2010)

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The power of weather

by Christian Huurman, Francesco Ravazzolo and Chen Zhou236
(Jan 2010)

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The pungent smell of "Red Herrings" Subsoil assets, rents, volatility and the resource curse

by Frederick van der Ploeg and Steven Poelhekke233
(Jan 2010)

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Are banks too big to fail?

by Chen Zhou232
(Jan 2010)

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2009

Financial Literacy and Retirement Planning in the Netherlands

by Maarten van Rooij, Annamaria Lusardi and Rob Alessie231
(Dec 2009)

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When liquidity risk becomes a macro-prudential issue: Empirical evidence of bank behaviour

by Jan Willem van den End and Mostafa Tabbae230
(Dec 2009)

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Anchors for Inflation Expectations

by Maria Demertzis, Massimililano Marcellino and Nicola Viegi229
(Dec 2009)

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Stock Market Expectations of Dutch Households

by Michael Hurd, Maarten van Rooij and Joachim Winter228
(Dec 2009)

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An institutional evaluation of pension funds and life insurance companies (JEL G11, G23)

by Dirk Broeders, An Chen and Birgit Koos227
(Dec 2009)

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Communication in a monetary policy committee: a note (JEL D71, D78, E58)

by Jan Marc Berk and Beata Bierut226
(Nov 2009)

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Assessing Competition with the Panzar-Rosse Model: The Role of Scale, Costs, and Equilibrium (JEL D40, L11)

by Jacob Bikker, Sherrill Shaffer and Laura Spierdijk225
(Nov 2009)

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Being a Foreigner among Domestic Banks: Asset or Liability? (JEL F21, F23, G21)

by Stijn Claessens and Neeltje van Horen224
(Nov 2009)

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Pension funds' asset allocation and participant age: a test of the life-cycle model (JEL D91, G11, G23, H55, J14)

by Jacob A. Bikker, Dirk W.G.A. Broeders, David A. Hollanders and Eduard H.M. Ponds223
(Oct 2009)

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Did the crisis affect inflation expectations? (JEL E31, E44, E52, E58)

by Gabriele Galati, Steven Poelhekke and Chen Zhou222
(Sep 2009)

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Regulatory Competition and Bank Risk Taking (JEL G21, G28)

by Itai Agur213
(Jul 2009)

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Dependence structure of risk factors and diversification effects (JEL C14, G11)

by Chen Zhou219
(Jul 2009)

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Credit and economic recovery

by Michael Biggs, Thomas Meyer and Andreas Pick218
(Jul 2009)

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Measuring Stock Market Contagion with an Application to the Sub-prime Crisis (JEL C14, F36, G15)

by Mark Mink and Jochen Mierau217
(Jul 2009)

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Subjective Measures of Risk Aversion, Fixed Costs, and Portfolio Choice

by Arie Kapteyn and Federica Teppa216
(Jul 2009)

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An extended gravity model with substitution applied to international trade (JEL F1, R12)

by Jacob Bikker215
(Jul 2009)

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Fiscal policy in Central and Eastern Europe with real time data: Cyclicality, inertia and the role of EU accession (JEL E61, E62, H6)

by John Lewis214
(Jul 2009)

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The communication policy of the European Central Bank: An overview of the first decade (JEL E44, E52, E58)

by Jakob de Haan and David-Jan Jansen212
(Jun 2009)

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Pension fund sophistication and investment policy (JEL G11, G23)

by Jan de Dreu and Jacob Bikker211
(Jun 2009)

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Credit Frictions and the Comovement between Durable and Non-durable Consumption (JEL E44, E52)

by Vincent Sterk210
(Jun 2009)

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Human Capital and Employment Growth in German Metropolitan Areas: New Evidence (JEL C22, J2, O47, R0, R1)

by Steven Poelhekke209
(Apr 2009)

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Monetary Transmission in three Central European Economies: Evidence from Time-Varying Coefficient Vector Autoregressions (JEL C32, E50)

by Zsolt Darvas208
(Apr 2009)

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Forecasting Random Walks under Drift Instability (JEL C22, C53)

by M. Hashem Pesaran and Andreas Pick207
(Mar 2009)

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The Volatility Curse: Revisiting the Paradox of Plenty (JEL C12, C21, C23, F43, G20, O11, O41, Q32)

by Frederick van der Ploeg and Steven Poelhekke206
(Mar 2009)

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Can Open Capital Markets Help Avoid Currency Crises? (JEL C10, E44, F15, F36, F37)

by Gus Garita and Chen Zhou205
(Feb 2009)

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The comovement between household loans and real activity

by Wouter den Haan and Vincent Sterk204
(Feb 2009)

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The 'Wisdom of the Crowds' and Public Policy (JEL D82, E52, E58)

by Maria Demertzis203
(Feb 2009)

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Forecasting the fragility of the banking and insurance sector (JEL C53, G21, G22)

by Kerstin Bernoth and Andreas Pick202
(Feb 2009)

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An Empirical assessment of reinsurance risk (JEL G20, G22)

by Iman van Lelyveld, Franka Liedorp and Manuel Kampman201
(Feb 2009)

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What Institutional Structure for the Lender of Last Resort? (JEL D82, G21, G28)

by Itai Agur200
(Feb 2009)

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Unification of the Fréchet and Weibull Distribution (JEL C13, C16)

by Peter ter Berg198
(Jan 2009)

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Consumer Choice and Merchant Acceptance of Payment Media (JEL D53, G21, L11)

by Wilko Bolt en Sujit Chakravorti197
(Jan 2009)

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Incentives at the counter: An empirical analysis of surcharging card payment and payment behaviour in the Netherlands (JEL D12, D61, G20)

by Wilko Bolt, Nicole Jonker en Corry van Renselaar196
(Jan 2009)

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Growth, Foreign Direct Investment and Urban Concentration: Unbundling Spatial Lags (JEL C31, F21, F23, F43, O47, R11)

by Steven Poelhekke en Frederick van der Ploeg195
(Jan 2009)

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Simulations in the Dutch interbank payment system: A sensitivity analysis (JEL C88, E58, G21)

by Ronald Heijmans199
(Jan 2009)

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2008

Bank Competition Efficiency in Europe: A Frontier Approach (JEL C53, E41)

by Wilko Bolt en David Humphrey194
(Dec 2008)

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Economics of Payment Cards: A Status Report (JEL D53, G21, L11)

by Wilko Bolt en Sujit Chakravorti193
(Dec 2008)

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Confidence in Monetary Policy

by Yakov Ben-Haim en Maria Demertzis192
(Dec 2008)

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Did the anchor of inflation expectations in the euro area turn adrift? (JEL E44, E52, E58)

by Gabriele Galati, Steven Poelhekke en Chen Zhou191
(Dec 2008)

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Modelling Industry-level Ccorporate Credit Risk for the Netherlands

by Ruud Vermeulen190
(Dec 2008)

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Are Asset Returns Predictable from the National Accounts? (JEL E01, E21, E41)

by Pierre Lafourcade189
(Dec 2008)

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Can subjective survival expectations explain retirement behaviour? (JEL D84, D91, H55, J26)

by Owen O'Donnell, Federica Teppa and Eddy van Doorslaer188
(Nov 2008)

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A Measure for Credibility: Tracking US Monetary Developments

by Maria Demertzis, Massimiliano Marcellino and Nicola Viegi187
(Nov 2008)

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Europeanization or Globalization? Transnational Wage Bargaining and the Distribution of Activity in European Labor Markets (JEL F15, F42, J60)

by Maria Demertzis, Andrew Hughes Hallett en Nicolien Schermer186
(Nov 2008)

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Has the Clarity of Humphrey-Hawkins Testimonies Affected Volatility in Financial Markets? (JEL E44, E52, E58)

by David-Jan Jansen185
(Nov 2008)

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Monetary Policy Committees: meetings and outcomes (JEL D71, D78, E58)

by Jan Marc Berk en Beata Bierut184
(Nov 2008)

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Competition, bargaining power and pricing in two-sided markets (JEL L10, L13)

by Wilko Bolt en Kimmo Soramäki181
(Sep 2008)

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Minimum Funding Ratios for Defined-Benefit Pension Funds

by Arjen Siegmann180
(Sep 2008)

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Preferences for redistribution in the Netherlands (JEL D31, D63, H23, H55, P16)

by Jan Kakes and Jasper de Winter179
(Sep 2008)

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Optimal Central Bank Transparency (JEL E31, E52, E58)

by Carin A.B. van der Cruijsen, Sylvester C.W. Eijffinger and Lex H. Hoogduin178
(Jul 2008)

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Towards a Network Description of Interbank Payment Flows (JEL E5, G1)

by Marc Pröpper, Iman van Lelyveld and Ronald Heijmans177
(May 2008)

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Market Thinness, List Price Revisions and Time to Sell: Evidence from a large-scale housing dataset (JEL C41, D12, D83, E30, R31)

by Marco Hoeberichts, Maarten van Rooij and Arjen Siegmann176
(May 2008)

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Liquidity Stress-Tester: A macro model for stress-testing banks' liquidity risk (JEL C15, E44, G21, G32)

by Jan Willem van den End175
(May 2008)

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Do financial conglomerates create or destroy value? Evidence for the EU (JEL G2, G3, L2)

by Iman van Lelyveld en Klaas Knot174
(May 2008)

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Impact of bank competition on the interest rate pass-through in the euro area (JEL D4, E50, G21, L10)

by M. van leuvensteijn, C. Kok Sørensen, J.A. Bikker and A.A.R.J.M. van Rixtel171
(Apr 2008)

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Location Decisions of Foreign Banks and Institutional Competitive Advantage (JEL F21, F23, G21)

by Stijn Claessens and Neeltje van Horen172
(Apr 2008)

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Central Bank Communication and Monetary Policy: A Survey of Theory and Evidence

by Alan S. Blinder, Michael Ehrmann, Marcel Fratzscher, Jakob de Haan and David-Jan Jansen170
(Apr 2008)

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Did fiscal policy makers know what they were doing? Reassessing fiscal policy with real-time data (JEL E61, E62)

by Kerstin Bernoth, Andrew Hughes Hallet and John Lewis169
(Apr 2008)

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Optimal life cycle investment with pay-as-you-go pension schemes: a portfolio approach

by Willem Heeringa168
(Feb 2008)

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How Banking competition Changed over Time

by Jacob Bikker en Laura Spierdijk167
(Feb 2008)

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How do Expenditure Rules affect Fiscal Behaviour?

by Peter Wierts166
(Feb 2008)

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Choice or No Choice: What explains the Attractiveness of Default Options?

by Maarten van Rooij and Federica Teppa165
(Jan 2008)

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Performance of the Dutch non-life insurance industry: competition, efficiency and focus

by Jacob Bikker and Janko Gorter164
(Jan 2008)

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Actual versus Perceived Transparency: The Case of the European Central Bank

by Carin van der Cruijsen en Sylvester Eijffinger163
(Jan 2008)

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2007

FDI and the Relevance of Spatial Linkages: do third country effects matter for Dutch FDI?

by Harry Garretsen and Jolanda Peeters162
(Dec 2007)

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Taylor Rules for the ECB using Consensus Data (JEL C22, E52)

by Janko Gorter, Jan Jacobs and Jakob de Haan160
(Dec 2007)

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Market Valuation, Pension Fund Policy and Contribution Volatility (JEL C15, C59, G23, J18)

by Maarten van Rooij, Arjen Siegmann and Peter Vlaar159
(Dec 2007)

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Pension fund finance and sponsoring companies: empirical evidence on theoretical hypotheses (JEL G23, G32)

by E. Philip Davis, Sybille Grob and Leo de Haan158
(Dec 2007)

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Preference heterogeneity in monetary policy committees (JEL D7, E4, E5)

by Alessandro Riboni and Francisco Ruge-Murcia157
(Dec 2007)

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Size matters: economies of scale in European payments processing

by Christine Beijnen and Wilko Bolt155
(Nov 2007)

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Identifying Regional and Sectoral Dynamics of the Dutch Staffing Labour Cycle (JEL C31, C53, J44, J63)

by Ard den Reijer153
(Nov 2007)

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Stock market performance and pension fund investment policy: rebalancing, free float, or market timing? (JEL D4, G21, L11, L13)

by Jacob A. Bikker, Laura Spierdijk and Paul Finniez156
(Nov 2007)

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On the Impact of Income and Policy Shocks on Consumption

by Tamim Bayoumi and Silvia Sgherri152
(Nov 2007)

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The Maastricht Inflation Criterion: What is the Effect of Expansion of the European Union?

by John Lewis and Karsten Staehr151
(Nov 2007)

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Information, data dimension and factor structure (JEL C32, C52, C82)

by Jan Jacobs, Pieter Otter and Ard den Reijer150
(Oct 2007)

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Inflation Targeting - a Framework for Communication (JEL C71, C78, E52)

by Maria Demertzis and Nicola Viegi149
(Oct 2007)

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The Importance of Being Vigilant: Has ECB Communication Influenced Euro Area Inflation Expectations? (JEL E52, E58)

by David-Jan Jansen and Jakob de Haan148
(Oct 2007)

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Regional real exchange rates and Phillips curves in monetary unions - Evidence from the US and EMU (JEL E31, E52, F41)

by Jan Marc Berk and Job Swank147
(Sep 2007)

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Financial literacy and stock market participation

by Maarten van Rooij, Annamaria Lusardi and Rob Alessi146
(Sep 2007)

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Are non-risk based capital requirements for insurance companies binding? (JEL G22, G32)

by Leo de Haan and Jan Kakes145
(Aug 2007)

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A new approach to measuring competition in the loan markets of the euro area

by Michiel van Leuvensteijn, Jacob Bikker, Adrian van Rixtel and Christoffer Kok-Sorensen143
(Aug 2007)

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Market timing and corporate capital structure - A transatlantic comparison

by Allard Bruinshoofd and Leo de Haan144
(Aug 2007)

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(Un)naturally Low? Sequential Monte Carlo Tracking of the US Natural Interest Rate

by Marco Lombardi and Silvia Sgherri142
(Jun 2007)

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Who pays for banking supervision? Principles and practices (JEL D78, G21, G28, O17, P16)

by Donato Masciandaro, Maria Nieto and Henriëtte Prast141
(Jun 2007)

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Diagnostic Tests of Cross Section Independence for Nonlinear Panel Data Model

by Cheng Hsiao, M. Hashem Pesaran and Andreas Pick*140
(Jun 2007)

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Financial contagion and tests using instrumental variables (JEL C12, G10, G15)

by Andreas Pick139
(Jun 2007)

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Info-Gap Robust-Satisficing and the Probability of Survival

by Yakov Ben-Haim138
(Apr 2007)

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Regional Labour Mobility in the European Union: Adjustment Mechanism or Disturbance?

by Paul Cavelaars and Jeroen Hessel137
(Apr 2007)

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Explaining cash usage in the Netherlands: the effect of electronic payment instruments

by Nicole Jonker and Thijs Kettenis136
(Apr 2007)

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Rational reconstruction of frailty-based mortality models by a generalisation of Gompertz' law of mortality

by W.J. Willemse and R. Kaas135
(Apr 2007)

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The sustainability of euro area debt: a re-assessment

by Peter Wierts134
(Apr 2007)

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Simulating retaliation in payment systems: Can banks control their exposure to a failing participant?

by Elisabeth Ledrut133
(Apr 2007)

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The economic impact of central bank transparency: a survey

by Carin van der Cruijsen and Sylvester Eijffinger132
(Feb 2007)

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Central Bank intraday collateral policy and implications for tiering in RTGS payment systems

by John P. Jackson and Mark J. Manning129
(Jan 2007)

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Microfoundations of Two-sided Markets: The Payment Card Example (JEL D40, L10, O30)

by James McAndrews and Zhu Wang128
(Jan 2007)

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Must-Take Cards and the Tourist Test

by Jean-Charles Rochet and Jean Tirole127
(Jan 2007)

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Credit in a Tiered Payments System

by Alexandra Lai, Nikil Chande and Sean O'Conner126
(Jan 2007)

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The Forward Premium Puzzle: New Evidence from Futures Contracts

by Kerstin Bernoth, Juergen von Hagen and Casper de Vries125
(Jan 2007)

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Early Warning or Just Wise After the Event?

by Andrew Hughes Hallet, Rasmus Kattai and John Lewis124
(Jan 2007)

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2006

The role of expectations in monetary policy (JEL C70, C78, E58)

by Maria Demertzis118
(Oct 2006)

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Note on zero lower bound worries (JEL E31, E52, E58)

by Cees Ullersma and Gerben Hieminga117
(Oct 2006)

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The anchoring of European inflation expectations (JEL C31, C32, E58)

by Jan Marc Berk and Gerbert Hebbink116
(Oct 2006)

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Do changes in pension incentives affect retirement? A stated preferences approach to Dutch retirement consideration (JEL D12, D80, J26)

by Allard Bruinshoofd and Sybille Grob115
(Oct 2006)

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Misspecifiation of the Panzar-Rosse Model: Assessing Competition in the Banking Industry

by Jacob Bikker, Laura Spierdijk and Paul Finnie114
(Sep 2006)

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Capital Mobility, Agglomeration and Corporate Tax Rates: Is the Race to the Bottom for Real?

by Harry Garretsen and Jolanda Peeters113
(Sep 2006)

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Global Risk, Investment, and Emotions (JEL A12, C91, D80, G11)

by Ronald Bosman, Frans van Winden112
(Sep 2006)

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What do current account reversals in OECD countries tell us about the us case? (JEL F32, F47)

by Leo de Haan, Hubert Schokker, Anastassia Tcherneva111
(Aug 2006)

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Pricing-to-market, sectoral shocks and gains from monetary cooperation (JEL E31, E52, F42)

by Bastiaan Verhoef110
(Aug 2006)

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Pension fund efficiency: the impact of scale, governance and plan design (JEL D61, G14, G23, H55)

by Jacob A. Bikker, Jan de Dreu109
(Aug 2006)

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Financial behaviour of Dutch pension funds: a disaggregated approach (JEL G23, J26)

by Jan Kakes108
(Aug 2006)

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Intraday Margining of Central Counterparties: EU Practice and a Theoretical Evaluation of Benefits and Costs (JEL G29, G30)

by Froukelien Wendt107
(Aug 2006)

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Regime transplants in GDP growth forecasting: A recipe for better predictions? (JEL C53, E37)

by Lennard van Gelder, Ad Stokman106
(Aug 2006)

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An Upper Bound of the Sum of Risks: two Applications of Comonotonicity (JEL C13, G22, G23)

by Carry Mout105
(Jun 2006)

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Public feed back for better banknote design

by Hans de Heij104
(Jun 2006)

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Fool the markets? Creative accounting, fiscal transparency and sovereign risk premia (JEL E43, E62, F34, G12, H6)

by Kerstin Bernoth, Guntram Wolff103
(Jun 2006)

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Internal Capital Markets and Lending by Multinational Bank Subsidiaries (JEL F15, F23, F36, G21)

by Ralph de Haas, Iman van Lelyveld101
(Jun 2006)

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The Dutch business cycle: which indicators should we monitor? (JEL C82, E32, E37)

by Ard den Reijer100
(May 2006)

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A tale of the water-supplying plumber: intraday liquidity provision in payment systems (JEL E51, E58, G21)

by Elisabeth Ledrut099
(May 2006)

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Uncovering Yield Parity: A new insight into the UIP puzzle through the stationarity of long maturity forward rates (JEL E43, F31)

by Zsolt Darvas, Gábor Rappai, Zoltán Schepp098
(Apr 2006)

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Indicator and boundaries of financial stability (JEL E44, G10, G12, G20)

by Jan Willem van den End097
(Apr 2006)

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Money Rules (JEL E52, E58)

by Cees Ullersma, Jan Marc Berk, Bryan Chapple096
(Apr 2006)

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Forecasting Market Impact Costs and Identifying Expensive Trades

by Jacob Bikker, Laura Spierdijk, Roy Hoevenaars and Pieter Jelle van der Sluis095
(Mar 2006)

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Dutch households' perceptions of economic growth and inflation (JEL D12, D84, E30)

by Céline Christensen, Peter van Els and Maarten van Rooij093
(Mar 2006)

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Monetary Policy by Committee: Why and How? (JEL D71, D78, E58)

by Alan Blinder092
(Feb 2006)

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Central Banking by Committee

by Anne Sibert091
(Feb 2006)

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Households' Response to Wealth Changes: Do Gains or Losses make a Difference? (JEL D12, E21)

by Robert Paul Berben, Kerstin Bernoth and Mauro Mastrogiacomo090
(Feb 2006)

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The Impact of Explicit Deposit Insurance on Market Discipline (JEL F30, F41, G14, G21, G28)

by Vasso Ioannidou and Jan de Dreu089
(Feb 2006)

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Monitoring Costs and Multinational-Bank Lending (JEL F15, F23, F36, G21)

by Ralph de Haas088
(Feb 2006)

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Non-Linear Target Adjustment in Corporate Liquidity Mmanagement: An Endogenous Thresholds Approach (JEL C33, E41, G3)

by W. Allard Bruinshoofd and Clemens J. M. Kool087
(Feb 2006)

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Conditional Indexation in Defined Benefit Pension Plans

by Jacob A. Bikker and Peter J.G. Vlaar086
(Feb 2006)

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Does Central Bank Transparency Reduce Interest Rates? (JEL E52, E58)

by Petra M. Geraats, Sylvester C.W. Eijffinnger and Carin A.B. van der Cruijsen085
(Feb 2006)

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The Roots of Banking Crises in Emerging Market Economics: A Panel Data Approach (JEL C23, E44, G10)

by Edwin Lambregts and Daniël Ottens084
(Jan 2006)

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Using Stated Preferences Data to Analyze Preferences for Full and Partial Retirement (JEL C81, J26)

by Arthur van Soest, Arie Kapteyn and Julie Zissimopoulos081
(Jan 2006)

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House Prices and Affordability - A First and Second Look Across Countries (JEL E44, E64, G12, G18)

by Dirk Brounen, Peter Neuteboom and Arjen van Dijkhuizen083
(Jan 2006)

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Valuation of Conditional Pension Liabilities and Guarantees under Sponsor Vulnerabilities (JEL G11, G23)

by Dirk Broeders082
(Jan 2006)

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The Costs of Increasing Transparency

by Maria Demertzis and Marco Hoeberichts080
(Jan 2006)

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Employer Matching and 401(k) Saving: Evidence from the Health and Retirement Study

by Gary V. Engelhardt and Anil Kumar079
(Jan 2006)

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Financial Literacy and Planning: Implications for Retirement Wellbeing

by Annamaria Lusardi and Olivia S. Mitchell078
(Jan 2006)

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2005

Financing the New Economy: Are ICT Firms Really That Different?

by Allard Bruinshoofd and Leo de Haan077
(Dec 2005)

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The Synchronisation of European Labour Markets: An Analysis Using Aggregate Philips Curves

by Nicolien Schermer076
(Dec 2005)

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Is a Word to the Wise Indeed Enough? ECB Statements and the Predictibility of Interest Rate Decisions

by David-Jan Jansen and Jakob de Haan075
(Dec 2005)

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Molling Inter- and Intraday Payment Flows

by Arco van Oord and Howie Lin074
(Dec 2005)

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Correlated Trading and Returns

by Daniel Dorn, Gur Huberman and Paul Sengmueller072
(Dec 2005)

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On Myopic Equilibria in Dynamic Games with Endogenous Discounting

by Wilko Bolt and Alexander Tieman070
(Dec 2005)

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Cheap versus Expensive Trades: Assessing the Determinants of Market Impact Costs

by Jacob A. Bikker, Laura Spierdijk and Pieter Jelle van der Sluis069
(Dec 2005)

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Valuation of pension liabilities in incomplete markets

by Frank de Jong067
(Dec 2005)

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Pension Insurance

by Zvi Bodie066
(Dec 2005)

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Aging, Pension Reform, and Capital Flows: A Multi-Country Simulation Model

by Axel Börsch-Supan, Alexander Ludwig and Joachim Winter065
(Dec 2005)

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Risk Sharing and Efficiency Implications of Progressive Pension Arrangements

by Hans Fehr and Christian Habermann064
(Dec 2005)

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Defined Benefit Pension Plans and Regulation

by Peter Vlaar063
(Dec 2005)

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Sticky Prices in the Euro Area: a Summary of New Micro Evidence (JEL C25, D40, E31)

by (DNB)062
(Dec 2005)

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Asymmetric Price Adjustment in the Dutch Mortgage Market (JEL G21, L13)

by (DNB)061
(Dec 2005)

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Bond Market and Stock Market Integration in Europe (JEL C22, G10, G15)

by (DNB)060
(Dec 2005)

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Communication in Monetary Policy Committees (JEL D71, D78, E58)

by (DNB)059
(Nov 2005)

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The Pricing Behaviour of Firms in the Euro Area New Survey Evidence (JEL D40, E30)

by (DNB)058
(Nov 2005)

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Wars, Redistribution and Civilian Federal Expenditures in the US over the Twentieth Century (JEL E62, E65, N11, N12)

by (DNB)057
(Nov 2005)

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Real Exchange Rate and Current Account Dynamics with Sticky Prices and Distortionary Taxes (JEL E52, E62, F41)

by (DNB)056
(Nov 2005)

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A Non-Gaussian Panel Time Series Model for Estimating and Decomposing Default Risk (JEL C32, G21)

by (DNB)055
(Nov 2005)

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Currency Hedging for a Dutch Investor: The Case of Pension Funds and Insurers (JEL F31)

by (DNB)054
(Oct 2005)

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Payment Instruments as Perceived by Consumers - a Public Survey

by (DNB)053
(Sep 2005)

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Trade Spillovers of Fiscal Policy in the European Union: A Panel Analysis (JEL E62, F41, F42)

by (DNB)052
(Aug 2005)

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Internal Capital Markets in Multinational Banks: Implications for European Transition Countries (JEL F23, F36, G21, G31, G32)

by (DNB)051
(Aug 2005)

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Does Foreign Bank Entry Reduce Small Firms' Access to Credit? Evidence from European Transition Economies (JEL F23, F36, G21)

by (DNB)050
(Aug 2005)

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Subjective Expectations and New Keynesian Phillips Curves in Europe (JEL E31)

by (DNB)049
(Aug 2005)

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Globalisation and Monetary Policy (JEL F15, F41)

by (DNB)048
(Aug 2005)

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An Exploration into Competition and Efficiency in the Dutch Life Insurance Industry (JEL D4, D61, G22, L1)

by (DNB)047
(Jul 2005)

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Credit Booms in Emerging Market Economies: A Recipe for Banking Crises? (JEL E44, G10, G21)

by (DNB)046
(Jun 2005)

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The Impact of Government Debt on Private Consumption in OECD Countries (JEL C23, E21, E62)

by (DNB)045
(Jun 2005)

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A ‘Global Village' without borders? International price differentials at eBay (JEL E30, E31, E50, F40)

by (DNB)044
(May 2005)

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Housing and Equity Wealth Effects of Italian Households (JEL D12, E21)

by (DNB)043
(May 2005)

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Understanding Bequest Motives - An Empirical Analysis of Intergenerational Transfers (JEL D12, D64)

by (DNB)042
(May 2005)

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What Triggers Early Retirement? Results from Swiss Pension Funds

by (DNB)041
(May 2005)

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Stock market optimism and participation cost: a mean-variance estimation (JEL D12, D14, G11)

by (DNB)040
(May 2005)

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Changes in Consumption and Activities at Retirement (JEL D91, J26)

by (DNB)039
(May 2005)

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Financing development: debt versus equity (JEL C33, C52, F21)

by (DNB)038
(May 2005)

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no 037- Loan Extension in China: a Rational Affair (JEL C33, D21, G21, G32)

by (DNB)037
(May 2005)

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no 036- Public Good Aspects of TARGET: Natural Monopoly, Scale Economies, and Cost Allocation (JEL G20, H41, L10)

by (DNB)036
(Apr 2005)

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Financial Acceleration of Booms and Busts (JEL E32, E44)

by (DNB)035
(Apr 2005)

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no 034- Price Convergence in Europe from a Macro Perspective: Product Categories and Reliability (JEL E31, E50, F15, F40)

by (DNB)034
(Apr 2005)

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no 033- Were Verbal Efforts to Support the Euro Effective? A High-Frequency Analysis of ECB Statements (JEL C14, E58, F31)

by (DNB)033
(Apr 2005)

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no 032- Banking Sector Strenght and the Transmission of Currency Crises (JEL F30, F32, F34)

by (DNB)032
(Apr 2005)

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The Impact of Central Bank Transparency on Inflation Expectations (JEL E31, E52, E58)

by (DNB)031
(Mar 2005)

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Measuring Financial Stability: Applying the MfRisk Model to the Netherlands (JEL G12, G13, G28, G32, G33)

by (DNB)030
(Mar 2005)

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Capital Market Frictions, Business Cycle and Monetary Transmission (JEL E13, E24, E51)

by (DNB)029
(Feb 2005)

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Forecasting Dutch GDP using Large Scale Factor Models

by (DNB)028
(Feb 2005)

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On the Optimality of Decisions made by Hub-and-Spokes Monetary Policy Committees (JEL D71, D78, E58)

by (DNB)027
(Feb 2005)

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The Impact of Interest-Rate Subsidies on Long-Term Household Debt: Evidence From a Large Program (JEL D91, E91, H20)

by (DNB)026
(Jan 2005)

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Risk-Return Preferences in the Pension Domain: are People Able to Choose? (JEL D12, D80, G11, J26)

by (DNB)025
(Jan 2005)

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2004

A Note on Social Welfare and Cost Recovery in Two-Sided Markets (JEL G21, L10, L41)

by (DNB)024
(Dec 2004)

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Let Me Vote! An experimental study of the effects of vote rotation in committees (JEL D70, D78, E58)

by (DNB)023
(Dec 2004)

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A Copula-Based Autoregressive Conditional Dependence Model of International Stock Markets (JEL C12, C13, C32, C51, G15)

by (DNB)022
(Dec 2004)

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New Architectures in the Regulation and Supervision of Financial Markets and Institutions: The Netherlands (JEL G18, G28, N24)

by (DNB)021
(Dec 2004)

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Biased Technological Shocks, Wage Rigidities and Low-Skilled Unemployment

by (DNB)020
(Dec 2004)

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An Empirical Analysis of Price Setting Behaviour in the Netherlands in the Period 1998-2003 Using Micro Data (JEL C41, D49, E31)

by (DNB)019
(Dec 2004)

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Trends in Competition and Profitability in the Banking Industry: A Basic Framework (JEL G21, L11, L22, L23)

by (DNB)018
(Nov 2004)

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Inflation Targets as Focal Points (JEL C71, C78, E52)

by (DNB)017
(Nov 2004)

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Does Market Timing Drive Capital Structures? A Panel Data Study for Dutch Firms (JEL C23, G32)

by (DNB)016
(Nov 2004)

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Monetary Policy Shocks and the Role of House Prices Across European Countries (JEL C32, E21, E52, R21)

by (DNB)015
(Nov 2004)

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Asset Price Shocks, Real Expenditures, and Financial Structure: A Multi-Country Analysis (JEL E2, E44, E52)

by (DNB)014
(Nov 2004)

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Skewed Pricing in Two-Sided Markets: An IO approach (JEL G21, L10, L41)

by (DNB)013
(Oct 2004)

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Price convergence in Europe from a macro perspective: Trends and determinants (1960-2003) (JEL E31, E50, F15, F40)

by (DNB)012
(Oct 2004)

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The Impact of Newspapers on Consumer Confidence: Does Spin Bias Exist? (JEL E20, E21, E30)

by (DNB)011
(Oct 2004)

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EMU Enlargement, Inflation and Adjustment of Tradable Goods Prices: What to Expect? (JEL E30, E31, E50, F40)

by (DNB)010
(Sep 2004)

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Is Bank Capital Procyclical? A Cross-Country Analysis (JEL E32, G21, G28, G31)

by (DNB)009
(Sep 2004)

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Explaining Foreign Direct Investment in Central and Eastern (JEL F02, F21, O16, O18, P34, R58)

by (DNB)008
(Sep 2004)

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Look Who´s Talking: ECB communication during the first years of EMU (JEL E52, E58)

by (DNB)007
(Aug 2004)

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Corporate Culture of Central Banks: Lessons from the Past

by (DNB)006
(Jul 2004)

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Interbank Contagion in the Dutch Banking Sector (JEL G15, G20)

by (DNB)005
(Jul 2004)

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On the predictability of GDP data revisions in the Netherlands (JEL C12, C13, C22, C53)

by (DNB)004
(Jul 2004)

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Central Bank Communication and Output Stabilization (JEL D83, E52, E58)

by (DNB)003
(Jul 2004)

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Bank Efficiency the Role of Bank Strategy and Local Market Conditions (JEL G21, L11, L22, L23)

by (DNB)002
(Jun 2004)

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Market Impact Costs of Institutional Equity Trades (JEL E32, G14, G23, G28)

by (DNB)001
(Jun 2004)

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