Safe Assets
| Year of publication: |
October 2014
|
|---|---|
| Authors: | Barro, Robert J. |
| Other Persons: | Mollerus, Andrew (contributor) ; Fernández-Villaverde, Jesús (contributor) ; Levintal, Oren (contributor) |
| Institutions: | National Bureau of Economic Research (contributor) |
| Publisher: |
Cambridge, Mass : National Bureau of Economic Research |
| Subject: | Öffentliche Anleihe | Public bond | Kreditsicherung | Collateral | Konjunktur | Business cycle | Portfolio-Management | Portfolio selection | Risikoaversion | Risk aversion | Risiko | Risk | Kapitalmarkttheorie | Capital market theory | Anleihe | Bond | Schock | Shock |
| Extent: | 1 Online-Ressource |
|---|---|
| Series: | NBER working paper series ; no. w20652 |
| Type of publication: | Book / Working Paper |
| Language: | English |
| Notes: | Mode of access: World Wide Web System requirements: Adobe [Acrobat] Reader required for PDF files Hardcopy version available to institutional subscribers. |
| Other identifiers: | 10.3386/w20652 [DOI] |
| Source: | ECONIS - Online Catalogue of the ZBW |
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Barro, Robert J., (2017)
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Barro, Robert J., (2015)
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Barro, Robert J., (2014)
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Barro, Robert J., (2017)
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Barro, Robert J., (2017)
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A comment on safe assets by Barro et al. (2022)
Coqueret, Guillaume, (2024)
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