SFI-LL - Chaire de finance internationale
11:48Credit Supply and the Macroeconomy: An Empirical Analysis of Capital Regulation, Bank Lending, and Firm Behavior. Thèse EPFL, n° 7371 (2016)
12:00Optimal exchange rate flexibility with large labor unions, in Journal of International Money and Finance, vol. 63, p. 112–136, 2016.
10:22International portfolios: A comparison of solution methods, in Journal Of International Economics, vol. 97, num. 2, p. 404-422, 2015.
09:50Portfolio and welfare consequences of debt market dominance, in Journal Of Monetary Economics, vol. 74, p. 89-101, 2015.
09:06Mortgage Default in an Estimated Model of the U.S. Housing Market, 2015.
14:17How Does Tax Progressivity and Household Heterogeneity Affect Laer Curves?, 2015.
14:06Marriage stability, taxation and aggregate labor supply in the U.S. vs. Europe, in the Journal of Monetary Economics, vol. 72, p. 1-20, 2015.
11:17International Interest Rates and Housing Markets, 2015.
10:37Capital Goods, Measured TFP and Growth: The Case of Spain, 2014.
10:09A two-period model with portfolio choice: Understanding results from different solution methods, in Economics Letters, vol. 124, num. 2, p. 239-242, 2014.