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目录
The Term Structure of Currency Futures' Risk Premia
货币期货风险溢价的期限结构
The Term Structure of Uncertainty: New Evidence from Survey Expectations
不确定性的期限结构:来自调查预期的新证据
What Does the Cross‐Section Tell About Itself? Explaining Equity Risk Premia with Stock Return Moments
横截面本身说明了什么? 用股票回报时刻解释股票风险溢价
Money in the Equilibrium of Banking
银行业均衡中的货币
Chinese Exchange Rate Policy: Lessons for Global Investors
中国汇率政策:全球投资者的经验教训
Unconventional Monetary Policy and Auction Cycles of Eurozone Sovereign Debt
非常规货币政策和欧元区主权债务拍卖周期
Countercyclical Foreign Currency Borrowing: Eurozone Firms in 2007–09
逆周期外币借贷:2007-09 年欧元区企业
Labor Market Policies in a Deep Recession: Lessons from Hoover's Policies during the U.S. Great Depression
深度衰退中的劳动力市场政策:美国大萧条时期胡佛政策的教训
Sovereign Risk and the Bank Lending Channel: Differences across Countries and the Effects of the Financial Crisis
主权风险与银行贷款渠道:各国差异与金融危机的影响
Output Comovement and Inflation Dynamics in a Two‐Sector Model with Durable Goods: The Role of Sticky Information and Heterogeneous Factor Markets
具有耐用品的双部门模型中的产出联动和通货膨胀动态:粘性信息和异质要素市场的作用
Government Bailout Funds: Balancing Rules and Discretion
政府救助基金:平衡规则和自由裁量权
原文链接:https://onlinelibrary.wiley.com/toc/15384616/2022/54/1
翻译:谷歌翻译
整理者:冯盼盼
上一条:Journal of Money,Credit and Banking, 2022年第2-3期 下一条:Journal of International Business Studies, 2022年第1期
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