Juodis, A. and Sarafidis, V. (2022). A Linear Estimator for Factor-Augmented Fixed-T Panels With Endogenous Regressors Journal of Business and Economic Statistics, 22(1):1--15.
104 key alumni publications
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Brands, D., Klingen, J. and Ostermeijer, F. (2022). Hands on the wheel, eyes on the phone: The effect of smartphone usage fees on road safety European Economic Review, 146:1--23.
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Artmann, E., Oosterbeek, H. and van der Klaauw, B. (2022). Do Doctors Improve the Health Care of Their Parents? Evidence from Admission Lotteries American Economic Journal: Applied Economics, 14(3):164--184.
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Gardberg, M. and Pozzi, L. (2022). Aggregate consumption and wealth in the long run: The impact of financial liberalization Journal of Applied Econometrics, 37(1):161--186.
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Perotti, E. and Rola-Janicka, M. (2022). The Good, the Bad and the Missed Boom Review of Financial Studies, 35(11):5025–5056.
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Bindler, A. and Ketel, N. (2022). Scaring or Scarring? Labor Market Effects of Criminal Victimization Journal of Labor Economics, 40(4):939--970.
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Juodis, A. (2022). A regularization approach to common correlated effects estimation Journal of Applied Econometrics, 37(4):788--810.
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Chen, Y., Li, L. and Xiao, Y. (2022). Early-Life Exposure to Tap Water and the Development of Cognitive Skills Journal of Human Resources, 57(6):2113--2149.
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Opschoor, A., Lucas, A., Barra, I. and van Dijk, D. (2021). Closed-Form Multi-Factor Copula Models With Observation-Driven Dynamic Factor Loadings Journal of Business and Economic Statistics, 39(4):1066--1079.
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Oosterbeek, H., Sóvágó, S. and van der Klaauw, B. (2021). Preference heterogeneity and school segregation Journal of Public Economics, 197:1--26.
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Gryglewicz, S., Mayer, M. and Morellec, E. (2021). Optimal financing with tokens Journal of Financial Economics, 142(3):1038--1067.
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Juodis, A., Karabiyik, H. and Westerlund, J. (2021). On the robustness of the pooled CCE estimator Journal of Econometrics, 220(2):325--348.
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Baltussen, G., Swinkels, L. and Van Vliet, P. (2021). Global factor premiums Journal of Financial Economics, 142(3):1128--1154.
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Baltussen, G., Da, Z., Lammers, S. and Martens, M. (2021). Hedging Demand and Market Intraday Momentum Journal of Financial Economics, :.
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Huang, W., Menkveld, AlbertJ. and Yu, S. (2021). Central counterparty exposure in stressed markets Management Science, 67(6):3596--3617.
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Pelzl, P. and Poelhekke, S. (2021). Good mine, bad mine: Natural resource heterogeneity and Dutch disease in Indonesia Journal of International Economics, 131:1--21.
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Caballero, D., Lucas, A., Schwaab, B. and Zhang, X. (2020). Risk endogeneity at the lender/investor-of-last-resort Journal of Monetary Economics, 116:283--297.
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Braggion, F., Manconi, A. and Zhu, H. (2020). Credit and social unrest: Evidence from 1930s China Journal of Financial Economics, 138(2):295--315.
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Kopányi-Peuker, A. and Weber, M. (2020). Experience Does not Eliminate Bubbles: Experimental Evidence Review of Financial Studies, :.
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Bolhaar, J., Ketel, N. and van der Klaauw, B. (2020). Caseworker's discretion and the effectiveness of welfare-to-work programs Journal of Public Economics, 183:1--19.