1. Disasters, Beliefs, and the Behavior of Investors Xu, Xiao 2022 Theses FinanceEconomicsCOVID-19 (Disease)--Economic aspectsDisasters--Economic aspectsStock exchangesPolitical parties
2. Essays on Banking and Financial Intermediation De Souza Netto, Felipe Anderson 2022 Theses EconomicsFinanceBanks and bankingLoansCOVID-19 (Disease)--Economic aspectsCredit
3. Essays on Law and Economics Zytnick, Jonathon Albert 2021 Theses EconomicsFinanceLawDecision makingIndividual investors
4. Field Experiments in Entrepreneurial Finance Zhang, Ye 2021 Theses EconomicsFinanceEntrepreneurshipIndividual investorsNew business enterprises
5. Essays on the Japanese Economy LaPoint, Cameron 2020 Theses EconomicsFinanceReal propertyReal estate investmentEconomic policyEconomic assistanceGovernment aid
6. On the Unintended Effects of Non-standard Corporate Governance Mechanisms De Simone, Rebecca Ellen 2020 Theses FinanceCorporations--FinanceCorporate governanceStockholder wealthCorporations--Government policy
7. Three Essays on Debt Wang, Lijun 2020 Theses FinanceEconomicsDebts, PublicSpace in economicsBank loansIndustrial clusters
8. Essays on Banking and Financial Intermediation Hu, Jiayin 2019 Theses Banks and bankingFinanceIntermediation (Finance)Corporations--FinanceNonbank financial institutions
9. Essays on Finance and Macroeconomics Balloch, Cynthia Mei 2018 Theses EconomicsFinanceBanks and bankingMacroeconomics
10. Essays on International Economics Zhou, Jing 2018 Theses EconomicsMacroeconomicsInternational economic relationsFinance
11. Interconnectedness as a source of uncertainty in systemic risk Roukny, Tarik; Battiston, Stefano; Stiglitz, Joseph E. 2018 Articles EconomicsUncertaintyFinanceContagion (Social psychology)
13. Fed Policy, Inequality, and Equality of Opportunity Stiglitz, Joseph E. 2016 Reports EconomicsEqualityMacroeconomicsFinanceFederal Reserve banks
14. Preparation, Perception, and Policy Sundaresan, Savitar Vadul 2016 Theses PrejudicesFinancial risk managementCapital investmentsEmergency managementEconomicsFinance
15. The Price of Complexity in Financial Networks Battiston, Stefano; Caldarelli, Guido; May, Robert M.; Roukny, Tarik; Stiglitz, Joseph E. 2016 Articles FinanceDefault (Finance)Financial riskEconomics
16. An Empirical Analysis of Government-Sponsored Enterprise Policy Hogan, Joseph Patrick 2015 Theses Government-sponsored enterprisesHousing--FinanceGovernment-sponsored enterprises--Law and legislationGlobal Financial Crisis (2008-2009)EconomicsFinancePublic policy (Law)Federal National Mortgage AssociationFreddie Mac (Firm)
17. Different types of central bank insolvency and the central role of seignorage Reis, Ricardo 2015 Reports EconomicsFinanceBanks and banking
19. Essays in Macroeconomics and Finance Ottonello, Pablo 2015 Theses EconomicsFinanceMacroeconomicsStocksFinancial crises
20. Essays on Chinese Corporate Issuers and Financial Markets Wang, Zigan 2015 Theses FinanceAccountingEconomics
22. Sovereign Debt and Joint Liability: An Economic Theory Model for Amending the Treaty of Lisbon Basu, Kaushik; Stiglitz, Joseph E. 2015 Articles EconomicsFinanceDebts, PublicGame theory
23. Inflating Away the Public Debt? An Empirical Assessment Hilscher, Jens; Raviv, Alon; Reis, Ricardo 2014 Reports EconomicsFinance
24. Tapping the Brakes: Are Less Active Markets Safer and Better for the Economy? Stiglitz, Joseph E. 2014 Reports EconomicsCapital marketCapitalismFinance
27. Essays in Alternative Financial Services Czerwonko Pupi, Alejo Eduardo 2013 Theses EconomicsFinanceComputer science
30. Three Essays in Banking Antoniades, Adonis 2013 Theses Global Financial Crisis (2008-2009)Bank liquidityBank failuresLiquidity (Economics)Management buyoutsBanks and bankingFinance
33. Credit Default Swaps and the Financial Crisis Mirochnik, Michael 2010 Reports Global Financial Crisis (2008-2009)Swaps (Finance)Finance
34. The Central-Bank Balance Sheet As an Instrument of Monetary Policy Curdia, Vasco; Woodford, Michael 2010 Reports EconomicsFinance
35. Central bank communication and expectations stabilization Eusepi, Stefano; Preston, Bruce J. 2007 Reports Finance
36. Does a "two-pillar Phillips curve" justify a two-pillar monetary policy strategy? Woodford, Michael 2007 Reports EconomicsFinance
37. Forecast targeting as a monetary policy strategy: Policy rules in practice Woodford, Michael 2007 Reports EconomicsFinance
39. How important is money in the conduct of monetary policy? Woodford, Michael 2007 Reports EconomicsFinance
40. Intertemporal distortions in the second best Albanesi, Stefania; Armenter, Roc 2007 Reports EconomicsFinance
41. Robustly optimal monetary policy with near-rational expectations Woodford, Michael 2005 Reports Finance
42. Capital markets constrain industry scale Jean-Baptiste, Eslyn L.; Riordan, Michael H. 2003 Reports EconomicsFinance
43. Deposit insurance, institutions and bank interest rates Carapella, Francesca; Di Giorgio, Giorgio 2003 Reports Banks and bankingFinance
44. Testimony Before the U.S. House of Representatives Committee on Financial Services Subcommittee on Domestic and International Monetary Policy, Trade, and Technology, April 1, 2003 2003 Presentations (Communicative Events) Finance
46. Income tax cuts without spending cuts: Hazards to efficiency, equity, employment and growth Phelps, Edmund S. 2002 Reports EconomicsFinancePublic policy (Law)
49. National economic policies, currency areas and Arab monetary integration Mundell, Robert A. 2002 Reports EconomicsFinance
51. The international monetary system at the beginning of the new millennium Mundell, Robert A. 2002 Reports EconomicsFinance
54. Why Free Capital Mobility May Be Hazardous to Your Health: Lessons from the Latest Financial Crisis Bhagwati, Jagdish N. 1998 FinanceEconomics
55. Much ado about nothing? Capital market reaction to changes in antitrust precedent concerning exclusive territories Glied, Sherry A. M.; Kroszner, Randall S. 1994 Reports FinanceLaw
56. Financial Innovation and Endogenous Uncertainty in Incomplete Asset Markets Chichilnisky, Graciela; Wu, Ho-Mou 1992 Reports EconomicsFinance
57. The Term Structure of Forward Exchange Rates and the Forecastability of Spot Exchange Rates: Correcting the Errors Clarida, Richard H.; Taylor, Mark P. 1992 Reports EconomicsFinance