Discussion paper DP4832 Liquidity Risk, Leverage and Long-Run IPO Returns B Espen Eckbo Øyvind Norli 23 Jan 2005 Financial Economics G10 G11 G12 G20 G24
Discussion paper DP4852 Wealth Accumulation and Portfolio Choice with Taxable and Tax-Deferred Accounts Alexander Michaelides Francisco Gomes Valery Polkovnichenko 23 Jan 2005 Financial Economics International Macroeconomics G11
Discussion paper DP4853 Optimal Life-Cycle Asset Allocation: Understanding the Empirical Evidence Alexander Michaelides Francisco Gomes 23 Jan 2005 Financial Economics International Macroeconomics G11
Discussion paper DP4768 On the Role of Arbitrageurs in Rational Markets Suleyman Basak Benjamin Croitoru 23 Dec 2004 Financial Economics C60 D50 D90 G11 G12
Discussion paper DP4786 Portfolio Diversification, Proximity Investment and City Agglomeration William Goetzmann Massimo Massa Andrei Simonov 23 Dec 2004 Financial Economics G11 G14
Discussion paper DP4787 Mutual Fund Competition and Stock Market Liquidity Massimo Massa 23 Dec 2004 Financial Economics G11 G12 G14
Discussion paper DP4789 Hedging, Familiarity and Portfolio Choice Massimo Massa Andrei Simonov 23 Dec 2004 Financial Economics G11 G14
Discussion paper DP4815 History versus Geography: The Role of College Interaction in Portfolio Choice and Stock Market Prices Massimo Massa Andrei Simonov 23 Dec 2004 Financial Economics G11 G14
Discussion paper DP4818 Mutual Funds and the Market for Liquidity Massimo Massa Ludovic Phalippou 23 Dec 2004 Financial Economics G11 G12 G14
Discussion paper DP4656 Optimal Expectation Markus Brunnermeier Jonathan A Parker 23 Oct 2004 Financial Economics International Macroeconomics D10 D80 E21 G11 G12
Discussion paper DP4646 Estimates of Personal Sector Wealth for South Africa John Muellbauer Janine Aron 23 Sep 2004 International Macroeconomics E44 G11
Discussion paper DP4467 International Portfolio Holdings and Swiss Franc Asset Returns Peter Kugler Beatrice Weder Di Mauro 23 Jul 2004 International Macroeconomics E43 G11 G12