Results 221 to 230 of about 33,753 (322)
Monetary Policy and Wealth Effects: The Role of Risk and Heterogeneity
ABSTRACT We study the role of asset revaluation in the monetary transmission mechanism. We build an analytical heterogeneous‐agents model with two main ingredients: (i) rare disasters and (ii) heterogeneous beliefs. The model captures time‐varying risk premia and precautionary savings in a setting that nests the textbook New Keynesian model.
NICOLAS CARAMP, DEJANIR H. SILVA
wiley +1 more source
The Evolving Indian Insolvency Law Regime in a Pandemic Era
Awasthi A, Reshmi D.
europepmc +1 more source
Proxying credit curves via Wasserstein distances. [PDF]
Michielon M, Khedher A, Spreij P.
europepmc +1 more source
Bank Monitoring with On‐Site Inspections
ABSTRACT Using proprietary transaction‐level data on nonsyndicated construction loans, we provide some of the first empirical evidence on the drivers and consequences of bank monitoring through on‐site inspections. Banks trade off monitoring intensity with favorable origination terms.
Amanda Rae Heitz +2 more
wiley +1 more source
Prices of Credit Default Swaps and the Term Structure of Credit Risk
Mary Elizabeth Desrosiers
openalex +1 more source
Credit Default Swap and Corporate Social Responsibility
Chunrong Wang +2 more
openalex +1 more source
ABSTRACT Higher education institutions (HEIs) play a crucial role in shaping the future by educating students, advancing research, and fostering innovation. Societies, including those in developing countries, face wicked problems such as climate change, social and economic inequality, and geopolitical tensions that require all stakeholders, including ...
Mohammad Moshtari, Aline P. Seepma
wiley +1 more source
A common risk factor in global credit and equity markets: An exploratory analysis of the subprime and the sovereign-debt crises. [PDF]
Corzo T +4 more
europepmc +1 more source

