Items where department is "Financial Markets Group"

University Structure (106206) LSE (106206) Research Centres (22374) Financial Markets Group (1369) Systemic Risk Centre (300)
Number of items: 10.
Article
  • Duffie, Darrell, Rahi, Rohit (1995). Financial market innovation and security design: an introduction. Journal of Economic Theory, 65(1), 1-42. https://doi.org/10.1006/jeth.1995.1001
  • Rahi, Rohit (1995). Optimal incomplete markets with asymmetric information. Journal of Economic Theory, 65(1), 171-197. https://doi.org/10.1006/jeth.1995.1006
  • Rahi, Rohit (1995). Partially revealing rational expectations equilibria with nominal assets. Journal of Mathematical Economics, 24(2), 137-146. https://doi.org/10.1016/0304-4068(94)00679-5
  • Chapter
  • Cornelli, Francesca, Felli, Leonardo (1995). The theory of bankruptcy and mechanism design. In Eichengreen, Barry, Portes, R (Eds.), Crisis? What Crisis? Orderly Workouts for Sovereign Debtors (pp. 69-86). Centre for Economic Policy Research (Great Britain).
  • Working paper
  • Frantianni, Michele, Huang, Haizhou (1995). Central bank reputation and conservativeness. (Financial Markets Group Discussion Papers 216). Financial Markets Group, The London School of Economics and Political Science. picture_as_pdf
  • Goodhart, C. A. E., Huang, Haizhou (1995). What is the Central Bank's game? (Financial Markets Group Discussion Papers 222). Financial Markets Group, The London School of Economics and Political Science. picture_as_pdf
  • Jackman, Richard (1995). Economic policies. (CEP discussion papers CEPDP0265). London School of Economics and Political Science. Centre for Economic Performance.
  • Jackman, Richard (1995). What can active labour market policy do? (CEP Discussion Papers 226). London School of Economics and Political Science. Centre for Economic Performance.
  • Rady, Sven (1995). Option pricing with a quadratic diffusion term. (Financial Markets Group Discussion Papers 226). Financial Markets Group, The London School of Economics and Political Science. picture_as_pdf
  • Sentana, Enrique (1995). Risk and return in the Spanish stock market. (Financial Markets Group Discussion Papers 212). Financial Markets Group, The London School of Economics and Political Science. picture_as_pdf