Browsing All of EconStor by Author Bekaert, Geert
Showing results 1 to 17 of 17
Year of Publication | Title | Author(s) |
1995 | The role of capital markets in economic growth | Garcia, Marcio Gomes Pinto; Bekaert, Geert; Harvey, Campbell R. |
1995 | The contribution of speculators to effective financial markets | Garcia, Marcio Gomes Pinto; Bekaert, Geert; Harvey, Campbell R. |
1999 | Emerging equity markets and market integration | Bekaert, Geert |
2001 | Economic growth and financial liberalization | Bekaert, Geert; Harvey, Campbell R. |
2004 | Does Financial Liberalization Spur Growth? | Bekaert, Geert; Harvey, Campbell R.; Lundblad, Christian |
2007 | The determinants of stock and bond return comovements | Baele, Lieven; Bekaert, Geert; Inghelbrecht, Koen |
2008 | International stock return comovements | Bekaert, Geert; Hodrick, Robert J.; Zhang, Xiaoyan |
2009 | What do asset prices have to say about risk appetite and uncertainty? | Bekaert, Geert; Hoerova, Marie; Scheicher, Martin |
2011 | Global crises and equity market contagion | Bekaert, Geert; Ehrmann, Michael; Fratzscher, Marcel; Mehl, Arnaud |
2012 | Flights to Safety | Baele, Lieven; Bekaert, Geert; Inghelbrecht, Koen; Wei, Min |
2012 | Risk, uncertainty and monetary policy | Bekaert, Geert; Hoerova, Marie; Lo Duca, Marco |
2013 | Risk, uncertainty and monetary policy | Bekaert, Geert; Hoerova, Marie; Lo Duca, Marco |
2014 | The VIX, the variance premium and stock market volatility | Bekaert, Geert; Hoerova, Marie |
2014 | The global crisis and equity market contagion | Bekaert, Geert; Ehrmann, Michael; Fratzscher, Marcel; Mehl, Arnaud |
2017 | Economic and Financial Integration in Europe | Bekaert, Geert; Harvey, Campbell R.; Lundblad, Christian T.; Siegel, Stephan |
2020 | Risk and return in international corporate bond markets | Bekaert, Geert; De Santis, Roberto A. |
2023 | Risk, monetary policy and asset prices in a global world | Bekaert, Geert; Hoerova, Marie; Xu, Nancy R. |