Central Bank Research Hub - JEL classification G1: General Financial Markets

Title Author(s)

The portfolio of euro area fund investors and ECB monetary policy announcements

European Central Bank Working papers [View] (Paper: 2116, 13.01.2018)

JEL: E2, F3, G11, G15

The portfolio of euro area fund investors and ECB monetary policy announcements

European Central Bank Working papers [View] (Paper: 2116, 13.01.2018)

JEL: E2, F3, G11, G15

Systemic risk and systemic importance measures during the crisis

Bank of Italy Working Papers [View] (Paper: 1153, 05.12.2017)

JEL: G01, G18, G21

The CSPP at work: yield heterogeneity and the portfolio rebalancing channel

Bank of Italy Working Papers [View] (Paper: 1157, 05.12.2017)

JEL: G15, G32, G38

Pairwise trading in the money market during the European sovereign debt crisis

Bank of Italy Working Papers [View] (Paper: 1160, 05.12.2017)

JEL: C30, D40, E40, E50, G01, G10

ETF arbitrage under liquidity mismatch

European Systemic Risk Board Working papers [View] (Paper: 59, 04.12.2017)

JEL: G12, G14, G23

ETF arbitrage under liquidity mismatch

European Systemic Risk Board Working papers [View] (Paper: 59, 04.12.2017)

JEL: G12, G14, G23

Evidence on finance and economic growth

European Central Bank Working papers [View] (Paper: 2115, 04.12.2017)

JEL: G1, O4

The risk premium channel and long-term growth

European Central Bank Working papers [View] (Paper: 2114, 01.12.2017)

JEL: D53, G01, G12

Customer Liquidity Provision : Implications for Corporate Bond Transaction Costs

Board of Governors of the Federal Reserve System FEDS series [View] (Paper: 2017-116, 30.11.2017)

JEL: G10, G21, G28

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