目录
Low Interest Rates and Risk-Taking: Evidence from IndividualInvestment Decisions
低利率与风险承担:来自个人投资决策的证据
Unleashing Animal Spirits: Self-Control and Overpricing inExperimental Asset Markets
释放动物精神:实验资产市场的自我控制和过高定价
AnalystCareer Concerns, Effort Allocation, and Firms’ Information Environment
分析师职业关注、努力分配和公司信息环境
Is Silence Golden? Real Effects ofMandatory Disclosure
沉默是金?强制性披露的真实效果
Institutional Investors and Information Acquisition:Implications for Asset Prices and Informational Efficiency
机构投资者和信息获取:对资产价格和信息效率的影响
Contingent Convertibles with StockPrice Triggers: The Case of Perpetuities
具有股价触发的或有可转换债券:永续年金案例
Social Risk, Fiscal Risk, and the Portfolioof Government Programs
社会风险、财政风险和政府项目组合
Bank Resolution and the Structureof Global Banks
银行决议和全球银行结构
Asset Encumbrance, Bank Funding, and Fragility
资产抵押,银行资金和脆弱性
Financial Sector Stress and RiskSharing: Evidence from the Weather Derivatives Market
金融部门压力与风险分担:来自天气衍生品市场的证据
原文链接:https://academic.oup.com/rfs/issue/32/6
翻译者:景薇