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home bias, carbon footprint, divestment, securities holdings statistics
home bias, carbon footprint, divestment, engagement, securities holdings statistics.omma separated]
firm heterogeneity, internationalization, innovation, transition economies
afa, factor analysis, Cronbach's alpha, reliability, heterogeneous scale construction, latent variable
International portfolio choice; home bias; foreign bias; informational advantage; familiarity; behavioral economics; active share.
International portfolio choice; home bias; foreign bias; informational advantage; familiarity; behavioral economics; active share
economic model, drug markets, the Netherlands,legalisation, law
micro-credit, access to finance, risk attitude, entrepreneurship, Africa
carbon emissions, pension funds, institutional investors, socially responsible investment, climate change
contingent convertible debt, CoCos, banks, systemic risk, securities holdings
quantitative easing, portfolio rebalancing, market concentration, ECB, PSPP, securities holdings statistics, unconventional monetary policy
Securities holdings statistics, portfolio investment, literature review, Eurosystem data, home currency bias
green bonds, preferred habitat, institutional investors, securities holdings statistics, greenium, climate change, environmental impact, sustainability-linked bonds, portfolio holdings
quantitative easing, sovereign bonds, European Central Bank, PSPP, securities holdings statistics
[comma seglobal risk, capital flows, global financial cycle, US dollar, foreign exchange rates, portfolio choice, emerging economies, spillovers, monetary policy, securities holdings statisticsparated]
international investment patterns, investor heterogeneity, securities holdings statistics
global risk, capital flows, global financial cycle, US dollar, exchange rates, portfolio choice, spillovers, emerging market bonds, securities holdings statistics, home currency bias.
learning-by-exporting, destination effects, firm-level, Africa, skill-bias, propensity scores
Arms industry, Stock market, Portfolio holdings, Proximity, Ukraine, EU
Credit ratings, systematic risk, regulatory arbitrage, portfolio concentration, capital buffers
entrepreneurship
China, FDI, regional distribution, factor analysis