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  • Search: person:"Jahan-Parvar, Mohammad R."
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Year of publication
Subject
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Theorie 26 Theory 26 Börsenkurs 18 Risikoprämie 18 Share price 18 Capital income 17 Kapitaleinkommen 17 Risk premium 17 CAPM 14 Risiko 13 Risk 13 Volatility 10 Volatilität 10 Aktienmarkt 9 Stock market 9 USA 9 United States 9 Forecasting model 8 Prognoseverfahren 8 Financial crisis 7 Finanzkrise 7 Risikoaversion 7 Decision under uncertainty 6 Entscheidung unter Unsicherheit 6 Portfolio selection 6 Portfolio-Management 6 Risk aversion 6 Schock 6 Shock 6 Statistical distribution 6 Statistische Verteilung 6 Financial market 5 Finanzmarkt 5 Impact assessment 5 Kleine offene Volkswirtschaft 5 Measurement 5 Messung 5 Oil price 5 Oil prices 5 Small open economy 5
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Online availability
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Free 66 Undetermined 18
Type of publication
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Book / Working Paper 66 Article 39
Type of publication (narrower categories)
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Article in journal 23 Aufsatz in Zeitschrift 23 Working Paper 22 Arbeitspapier 19 Graue Literatur 18 Non-commercial literature 18 Collection of articles written by one author 1 Conference paper 1 Hochschulschrift 1 Konferenzbeitrag 1 Sammlung 1 Thesis 1 research-article 1
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Language
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English 85 Undetermined 20
Author
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Jahan-Parvar, Mohammad R. 102 Mohammadi, Hassan 15 Feunou, Bruno 14 Liu, Hening 9 Rothman, Philip 9 Aramonte, Sirio 7 Rosen, Samuel 7 Tédongap, Roméo 7 Cheng, Ai-ru 6 Fan, Qinbin 6 Beltran, Daniel O. 5 Gallant, A. Ronald 5 Giudice Rodriguez, Marius del 5 Iacoviello, Matteo 5 Londono, Juan M. 5 Rogers, John H. 5 Cascaldi-Garcia, Danilo 4 Covas, Francisco 4 Driscoll, John C. 4 Ghasseminejad, Saeed 4 Guerrieri, Luca 4 Liu, Xuan 4 Loria, Francesca 4 Ma, Sai 4 Sarisoy, Cisil 4 Schindler, John W. 4 Sun, Bo 4 Wilson, Beth Anne 4 Zer, Ilknur 4 Datta, Deepa Dhume 3 Ferreira, Thiago 3 Kiley, Michael T. 3 Landry, Craig E. 3 Okou, Cedric 3 Okou, Cédric 3 Paine, Fiona A. 3 Queralto, Albert 3 Sim, Jae W. 3 Zikes, Filip 3 Blanchard, Olivier 2
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Institution
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Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 5 Bank of Canada 1
Published in...
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International finance discussion papers 9 FRB International Finance Discussion Paper 5 Finance and economics discussion series 5 MPRA Paper 5 Emerging markets review 3 FEDS Working Paper 3 International Finance Discussion Paper 3 The quarterly review of economics and finance : journal of the Midwest Economics Association ; journal of the Midwest Finance Association 3 The review of financial studies 3 Bank of Canada Working Paper 2 Emerging Markets Review 2 International review of economics & finance : IREF 2 Journal of Developing Areas 2 Journal of Economic Studies 2 Journal of economic studies 2 Journal of money, credit and banking : JMCB 2 Journal of policy modeling : JPMOD ; a social science forum of world issues 2 Staff working paper / Bank of Canada 2 The journal of risk and insurance : the journal of the American Risk and Insurance Association 2 Working papers / Bank for International Settlements 2 BIS Working Paper 1 East Carolina University Economics Department Working Paper 1 FEDS Notes 1 International Review of Economics & Finance 1 International journal of central banking : IJCB 1 Journal of Empirical Finance 1 Journal of economic literature 1 Journal of economics and finance 1 Journal of empirical finance 1 Journal of financial econometrics : official journal of the Society for Financial Econometrics 1 Management science : journal of the Institute for Operations Research and the Management Sciences 1 Manchester Business School Working Paper 1 Review of Finance 1 Review of finance : journal of the European Finance Association 1 The European journal of finance 1 The North American journal of economics and finance : a journal of theory and practice 1 The Quarterly Review of Economics and Finance 1 The journal of developing areas 1 Working Papers / Bank of Canada 1 Working papers series / Manchester Business School 1
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Source
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ECONIS (ZBW) 73 RePEc 15 BASE 7 OLC EcoSci 6 EconStor 3 Other ZBW resources 1
Showing 1 - 10 of 105
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Trend-cycle decomposition and forecasting using Bayesian multivariate unobserved components
Jahan-Parvar, Mohammad R.; Knipp, Charles; Szerszeń, … - 2024
Persistent link: https://www.econbiz.de/10015271311
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Optimizing composite early warning indicators
Beltran, Daniel O.; Dalal, Vihar M.; Jahan-Parvar, … - In: The North American journal of economics and finance : a … 74 (2024), pp. 1-13
Persistent link: https://www.econbiz.de/10015135683
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Foreign economic policy uncertainty and U.S. equity returns
Jahan-Parvar, Mohammad R.; Kitsul, Yuriy; Rahman, Jamil; … - 2024 - This draft: September 2024
Persistent link: https://www.econbiz.de/10015271870
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How Useful are Credit Gap-Based Early Warning Indicators of Financial Crises?
Beltran, Daniel O.; Jahan-Parvar, Mohammad R.; Paine, … - 2023
Are early warning indicators based on credit-gaps good predictors of financial crises? We systematically investigate the impact of modeling choices on the the ability of credit gap-based early warning indicators (EWIs) to predict financial crises in both advanced and emerging economies. The...
Persistent link: https://www.econbiz.de/10014355183
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When do low-frequency measures really measure effective spreads? : evidence from equity and foreign exchange markets
Jahan-Parvar, Mohammad R.; Zikes, Filip - In: The review of financial studies 36 (2023) 10, pp. 4190-4232
Persistent link: https://www.econbiz.de/10014392048
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SONOMA : A Small Open ecoNOmy for MAcrofinance
Croce, Mariano (Max) Massimiliano; Jahan-Parvar, Mohammad R. - 2022
We develop a new small open economy model (SONOMA) in which domestic corporate debt and equities are affected by shocks to both external credit and equity markets. In a novel empirical analysis of several small-but-developed economies, we show that both external debt and equity shocks are...
Persistent link: https://www.econbiz.de/10014030354
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SONOMA : A Small Open ecoNOmy for MAcrofinance
Croce, Mariano (Max) Massimiliano; Jahan-Parvar, Mohammad R. - 2022
We develop a new small open economy model (SONOMA) in which domestic corporate debt and equities are affected by shocks to both external credit and equity markets. In a novel empirical analysis of several small-but-developed economies, we show that both external debt and equity shocks are...
Persistent link: https://www.econbiz.de/10014033196
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What is Certain About Uncertainty?
Cascaldi-Garcia, Danilo; Sarisoy, Cisil; Londono, Juan M.; … - 2022
Researchers, policymakers, and market participants have become increasingly focused on the effects of uncertainty and risk on financial market and economic outcomes. This paper provides a comprehensive survey of the many existing measures of risk, uncertainty, and volatility. It summarizes what...
Persistent link: https://www.econbiz.de/10013298030
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SONOMA: a Small Open ecoNOmy for MAcrofinance
Croce, Mariano M.; Jahan-Parvar, Mohammad R.; Rosen, Samuel - 2022
Persistent link: https://www.econbiz.de/10013375225
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Global Economic Uncertainty and the U.S. Equity Returns
Jahan-Parvar, Mohammad R.; Kitsul, Yuriy; Rahman, Jamil A. - 2021
We document the predictive ability and economic significance of global economic policy uncertainty for U.S. equity returns. After orthogonalizing global economic policy uncertainty (global EPU) with respect to the U.S. EPU, we find that it has significant predictive power for aggregate stock...
Persistent link: https://www.econbiz.de/10013242535
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