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Harvey, Campbell R. Bekaert, Geert Siegel, Stephan Jotikasthira, Chotibhak Chari, Anusha Stedman, Karlye Dilts Ellul, Andrew Ramadorai, Tarun Wagner, Wolf Kartasheva, Anastasia Wang, Yihui Babina, Tania Brown, Gregory W. Feunou, Bruno Dittmar, Robert F. Bekaert, Geert Le, Anh Fontaine, Jean-Sébastien Bansal, Ravi Le, Anh Howard, Philip Kartasheva, Anastasia V. Fontaine, Jean-Sebastien Chotibhak, Jotikasthira Binfarè, Matteo Darby, Mary Wadsworth Harris, Robert S. All co-authors growth market financial emerging equity markets liberalization capital countries global effects shocks flows economic asset political integration openness schwellenländer finanzmarktregulierung tail expected segmentation associated wirtschaftswachstum effect factors measure country development important term opportunities bond variation model kapitalmobilität fund impact
Composed terms emerging market equity market emerging economies financial market regulation equity markets economic growth financial liberalization growth opportunities capital mobility growth volatility risk risk financial openness expected returns stock market country risk market capital quality institutions consumption growth liquidity expected capital income risk spreads liberalization spur spur growth emerging equity risk premium flows returns portfolio management portfolio selection yield curve capital market returns market tail segments equity economic financial valuation differentials financial development financial liberalizations real economic impact assessment risk emerging investor risk structure models risk sharing euro equity market integration returns lessons lessons emerging volatility financial markets financial market liberalization roro index productivity growth cross sectional differentials countries eu membership internationaler finanzmarkt international financial market euro area eu staaten eu countries financial market openness productivity insurers asset asset managers managers systemic systemic risk financial integration union euro global growth opportunities market asset returns market segmentation life insurance illiquid bonds risk factors policy shocks direct investment percent increase business cycle european integration public bond flows risky times risk quantitative easing
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The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata
Christian Lundblad Alternative spellings: Christian T. Lundblad C. Lundblad C. T. Lundblad Biblio: Tätig an der Duke Univ., Durham, NC (2000); tätig an der Kelly School of Business, Indiana Univ. ; tätig an der Indiana University Bloomington - Department of Finance (2004)
Profession Economist
Affiliations University of North Carolina at Chapel Hill
Q41799750
Publishing years Series Working paper / National Bureau of Economic Research, Inc. (11) NBER Working Paper (11) Discussion paper / Centre for Economic Policy Research (6) NBER working paper series (3) Faculty research papers / The Fuqua School of Business, Duke University (2) kcFed research working papers (2) AFA 2010 Atlanta Meetings Paper (1) Working paper / National Bank of Belgium (1) NBP working paper (1) EFA 2002 Berlin, Forthcoming (1) AFA 2004 San Diego Meetings (1) EFA 2004 Maastricht Meetings Paper (1) Netspar Discussion Paper (1) Research paper series / Swiss Finance Institute (1) Discussion paper / LSE Financial Markets Group (1) AFA 2012 Chicago Meetings Paper (1) Columbia Business School Research Paper (1) Staff working paper / Bank of Canada (1) Duke I&E Research Paper (1) Working paper series (1) Discussion papers / CEPR (1) Kelley School of Business Research Paper (1) ESRB: Working Paper Series (1) Working paper / National Bank of Belgium / National Bank of Belgium (1)