Issue Date | Title | Author(s) |
30-Mar-1999 | Standard Risk Aversion and the Demand for Risky Assets in the Presence of Background Risk | Franke, Gunter; Stapleton, Richard C.; Subrahmanyam, Marti G. |
Sep-1999 | Multivariate Stock Returns Around Extreme Events: A Reassessment of Economic Fundamentals and the 1987 Market Crash | Fisher, Adlai |
Jan-1999 | The IT Revolution and the Stock Market | Greenwood, Jeremy; Jovanovic, Boyan |
May-1999 | Tax and Education Policy in a Heterogeneous Agent Economy: What Levels of Redistribution Maximize Growth and Efficiency? | Benabou, Roland |
Jul-1999 | Arbitrage And Viability in Securities Markets With Fixed Trading Costs | Jouini, Elyes; Kallal, Hedi; Napp, Clotilde |
6-Jul-1999 | Optimal Investment with Taxes: An Existence Result | Jouini, Elyès; Koehl, Pierre-Francois; Touzi, Nizar |
13-Sep-1999 | Financial Markets and Firm Dynamics | Cooley, Thomas F.; Quadrini, Vincenzo |
1-Nov-1999 | Regime Shifts and Bond Returns | Boudoukh, Jacob; Richardson, Matthew; Smith, Tom; Whitelaw, Robert |
Mar-1999 | Private Insurance Markets or Redistributive Taxes? | Krueger, Dirk; Perri, Fabrizio |
Jun-1999 | Liquidity Crises in Emerging Markets: Theory and Policy | Chang, Roberto; Velasco, Andres |