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Publications

The Centre has a regular discussion paper series dedicated to academic research, as well as a special paper series focused on policy analysis. In addition, affiliated researchers publish a variety of books, reports and opinion pieces.

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Discussion Papers

The Econometrics of Stochastic Volatility

A stochastic volatility model may be estimated by a quasi-maximum likelihood procedure by transforming to a linear state space form. The method is...

July 1993
DP 166
Andrew Harvey
Neil Shephard

Discussion Papers

Limited Market Participation and Volatility of Asset Prices

This is considerable empirical evidence that most investors participate in only a limited number of markets. Once the participation decision is...

July 1993
DP 165
Franklin Allen
Douglas Gale

Discussion Papers

European Exchange Rate Credibility Before the Fall

Realignment expectations which measure exchange rate credibility are analyzed for European exchange rates, using daily financial data since the...

July 1993
DP 164
Andrew K. Rose
Lars E.O. Svensson

Discussion Papers

Fixing Exchange Rates: A Virtual Quest for Fundamentals

Fixed exchange rates are less volatile than floating rates. But the volatility of macroeconomic variables such as money and output does not change...

July 1993
DP 163
Robert P. Flood
Andrew K. Rose

Discussion Papers

Risk and Return in January: Some UK Evidence

A large body of empirical research has found that stock returns tend to be higher in January than in other months. One possible explanation is that...

July 1993
DP 162
Antonis Demos
Enrique Sentana
Mushtaq Shah

Discussion Papers

Optimal Debt Structure With Multiple Creditors

Within an optimal contracting framework, we analyze some important aspects of debt structure: the number of creditors a company borrows from; the...

June 1993
DP 161
Patrick Bolton
David S. Scharfstein

Discussion Papers

UK Directors' Trading: The Impact of Dealings in Smaller Firms

This paper reassesses the UK results of significant abnormal returns from directors' trading for a new sample of directors' trades 1984-1986, and...

May 1993
DP 160
Alan Gregory
John Matatko
Ian Tonks
Richard Purkis

Discussion Papers

Interday Price Formation on the London Stock Exchange

Using transactions data from the London Stock Exchange, the paper estimates the extent to which market maker's prices are influenced by trades (order...

March 1993
DP 158
Francis Breedon

Discussion Papers

An Economist's View of Fiduciary Duty

Download is not available 

February 1993
PD 157
Oliver Hart

Discussion Papers

The Economics of Mass Privatization: Czechoslovakia, East Germany, Hungary and Poland

This paper addresses the economics of mass privatization in Germany, Czechoslovakia, Hungry and Poland; it provides a summary description of the...

November 1992
PD 155
Patrick Bolton
Gérard Roland

Discussion Papers

Empirical Cross-Section Dynamics in Economic Growth

Traditional empirical strategies for studying convergence—more generally, the dynamics and determinants of economic growth—can be misleading if...

November 1992
DP 154
Danny Quah

Special Papers

Theories of Intermediation – Implications for Regulation

This paper seeks to stimulate thought and discussion regarding the future of regulation and the evolution of the financial sector. This first part...

November 1992
SP 50
E Philip Davis

Discussion Papers

The Interaction between the Frequency of Market Quotations, Spread and Volatility in the Foreign Exchange Market

This paper investigates the empirical relationship between volatility, average spread, and number of quotations in the foreign exchange spot market...

October 1992
DP 152
Antonis Demos
Charles Goodhart

Discussion Papers

Learning and Economic Fluctuations: Using Fiscal Policy to Steer Expectations

This paper combines three strands of recent work in theoretical macroeconomics: (i) general equilibrium models with "sunspot solutions", i.e...

October 1992
DP 151
George W. Evans
Seppo Honkapohja

Discussion Papers

Transparency and Liquidity: A Comparison of Auction And Dealer Markets with Informed Trading

It is often argued that greater transparency of the trading process enhances market liquidity by reducing the opportunities for taking advantage of...

October 1992
DP 150
Marco Pagano
Ailsa Röell

Discussion Papers

The Arbitrage Pricing Theory and Mutlifactor Models of Asset Returns

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September 1992
DP 149
Gregory Connor
Robert A. Korajczyk

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Creditor-on-Creditor Violence and Secured Debt Dynamics

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Marketwide Memory

The surprising leadership effect accelerators have on startu ...

Bond Supply, Yield Drifts, and Liquidity Provision Before Ma ...

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