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Year of publication
Subject
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EU countries 35 EU-Staaten 35 Theorie 17 Theory 17 Estimation 14 Risiko 14 Risk 14 Schätzung 14 Climate change 13 Klimawandel 13 Welt 13 World 13 Impact assessment 12 Wirkungsanalyse 12 Italy 10 Risikomanagement 9 Risk management 9 climate change 9 Business cycle 8 Coronavirus 8 EU 8 Einkommensverteilung 8 Income distribution 8 Bank 7 DSGE model 7 DSGE-Modell 7 Euro area 7 European Union 7 Eurozone 7 Konjunktur 7 Nachhaltige Kapitalanlage 7 Schock 7 Shock 7 Sustainable investment 7 Bayesian inference 6 Dynamic equilibrium 6 Dynamisches Gleichgewicht 6 Forecasting model 6 Gravity model 6 Italien 6
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Online availability
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Free 221 CC license 63
Type of publication
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Book / Working Paper 221
Type of publication (narrower categories)
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Working Paper 218 Graue Literatur 113 Non-commercial literature 113 Arbeitspapier 112 Amtsdruckschrift 1 Conference paper 1 Government document 1 Konferenzbeitrag 1
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Language
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English 221
Author
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Alessi, Lucia 22 Fatica, Serena 20 Gregori, Wildmer Daniel 16 Kvedaras, Virmantas 14 Bellia, Mario 13 Ratto, Marco 12 Petracco Giudici, Marco 11 Vogel, Lukas 11 Giovannini, Massimo 9 Hohberger, Stefan 9 Bratti, Massimiliano 8 Ciani, Andrea 8 Colagrossi, Marco 8 Cseres-Gergely, Zsombor 8 Nardo, Michela 8 Pagano, Andrea 8 Calès, Ludovic 7 Kancs, D'Artis 7 Kátay, Gábor 7 Panzica, Roberto Calogero 7 Papadopoulos, Georgios 7 Barbaglia, Luca 6 Battiston, Stefano 6 Cardani, Roberta 6 Ciaian, Pavel 6 Di Girolamo, Erica Francesca 6 Elisa, Ossola 6 Geraci, Andrea 6 Heynderickx, Wouter 6 Mazzarella, Gianluca 6 Onorante, Luca 6 Pataracchia, Beatrice 6 Pericoli, Filippo 6 Pfeiffer, Philipp 6 Rancan, Michela 6 Rho, Caterina 6 Verzillo, Stefano 6 Benczúr, Péter 5 Hirschbühl, Dominik 5 Kancs, d'Artis 5
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Institution
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Europäische Kommission / Gemeinsame Forschungsstelle 5
Published in...
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JRC working papers in economics and finance 113 JRC Working Papers in Economics and Finance 108 JRC technical report 3 JRC technical reports 1
Source
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ECONIS (ZBW) 115 EconStor 106
Showing 131 - 140 of 221
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Do CDS markets care about the G-SIB status?
Bellia, Mario; Heynderickx, Wouter; Maccaferri, Sara; … - 2020
"Ending too big to fail" is a declared policy aim and a key element of the globally coordinated financial regulatory reform. An official list of banks considered to be global systemically important (G-SIBs) is published on an annual basis since 2011. The goal of the present paper is to assess to...
Persistent link: https://www.econbiz.de/10012806432
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Banks' bail-in and the new banking regulation: An EU event study
Mario, Bellia; Sara, Maccaferri - 2020
The purpose of the study is to estimate the short term reaction of equity and CDS prices of a sample of European banks to various events and announcements, such as bail-ins, recapitalisations, and the proposal and final agreement of the EU reform package of prudential and resolution rules in...
Persistent link: https://www.econbiz.de/10012806436
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Welfare Gains from the Variety Growth
Kancs, d'Artis; Persyn, Damiaan - 2019
We estimate the variety gains of trade in Estonia, Latvia and Lithuania following the fall of the iron curtain more than a quarter of a century ago. We apply the methodology of Feenstra (1994); Broda and Weinstein (2006); Ardelean and Lugovskyy (2010) and Soderbery (2015) to domestic and...
Persistent link: https://www.econbiz.de/10012055430
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Employment Effect of Innovation
Kancs, d'Artis; Siliverstovs, Boriss - 2019
We provide a novel evidence about the innovation-employment nexus by decomposing it by R&D intensity in a continuous setup and relaxing the linearity assumption. Using a large international firm-level panel data set for OECD countries and employing a flexible semi-parametric method – the...
Persistent link: https://www.econbiz.de/10012055431
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Anatomy of a Sovereign Debt Crisis: CDS Spreads and Real-Time Macroeconomic Data
Alessi, Lucia; Balduzzi, Pierluigi; Savona, Roberto - 2019
We construct a unique and comprehensive data set of 19 real-time daily macroeconomic indicators for 11 Eurozone countries, for the 5/11/2009{4/25/2013 period. We use this new data set to characterize the time-varying dependence of the cross-section of sovereign credit default swap (CDS) spreads...
Persistent link: https://www.econbiz.de/10012055432
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The intergenerational transmission of education. Evidence from the World War II cohorts in Europe
Havari, Enkelejda; Peracchi, Franco - 2019
Abstract: The negativ e long-term effects of World War II on those directly exposed to it are well documented, but there is no evidence whether these effects extended to subsequent generations. Our paper aims to fill this gap by analyzing the intergenerational effects of World War II in terms of...
Persistent link: https://www.econbiz.de/10012055433
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International mobility of students in Italy and the UK. Does it pay off and for whom?
Schnepf, Sylke; d'Hombres, Beatrice - 2019
International student mobility is the most recognised element of Erasmus+, a major EU policy. Not enough is known about the causal effect of studying abroad on labour market outcomes. This is because most of the existing studies dismiss selection bias: the different composition of students...
Persistent link: https://www.econbiz.de/10012055434
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The Median Voter Takes it All: Preferences for Redistribution and Income Inequality in the EU-28
Colagrossi, Marco; Karagiannis, Stelios; Raab, Roman - 2019
The relation between income inequality and support for redistributive policies has long being debated by social scientists, albeit with mostly contrasting findings. We shed light on this puzzle by exploiting a novel EU-28 wide survey (Eurobarometer 471) and matching it with an array of regional...
Persistent link: https://www.econbiz.de/10012055435
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The pricing of green bonds: are financial institutions special?
Fatica, Serena; Panzica, Roberto; Rancan, Michela - 2019
The financial system plays a major role in the transition to a low-carbon economy. We investigate this issue analysing the recent developments and challenges in the bond and debt markets. First, we study the pricing of green bonds at issuance. We find a premium when green bonds are issued by...
Persistent link: https://www.econbiz.de/10012055436
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The Bank-Sovereign Loop and Financial Stability in the Euro Area
Langedijk, Sven; Fontana, Alessandro - 2019
We propose a simple model that captures the link between bank and sovereign credit risk. It allows evaluating policy options to address this ‘doom loop’ in which the government may need to raise debt to recapitalise banks, and an increase in government debt raises sovereign risk and in turn...
Persistent link: https://www.econbiz.de/10012055437
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