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Publications

by members of

Barcelona School of Economics (BSE) → Universitat Pompeu Fabra → Departament d'Economia i Empresa → Centre de Recerca en Economia Financera i Comptabilitat (CREFC)

→ Pompeu Fabra University → Department of Economics and Business → Research Centre in Financial Economics and Accounting

These are publications listed in RePEc written by members of the above institution who are registered with the RePEc Author Service. Thus this compiles the works all those currently affiliated with this institution, not those affilated at the time of publication. List of registered members. Register yourself. Citation analysis. This page is updated in the first days of each month.
| Working papers | Journal articles | Books |

Working papers

2024

  1. Javier Gil-Bazo & Alexander Kempf & Raffaele Santioni, 2024, "Geographic shareholder dispersion and mutual fund flow risk," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1461, Jul.
  2. Juan Imbet & J. Anthony Cookson & Corbin Fox & Christoph Schiller & Javier Gil-Bazo, 2024, "Social Media as a Bank Run Catalyst," Post-Print, HAL, number hal-04660083.

2022

  1. Juan Imbet & Javier Gil-Bazo, 2022, "Tweeting for Money: Social Media and Mutual Fund Flows," Working Papers, Barcelona School of Economics, number 1366, Oct.

2021

  1. Utz Weitzel & Michael Razen & Sebastian Neussüs & Michael Kirchler & Magnus Johannesson & Juergen Huber & Felix Holzmeister & Anna Dreber & Albert J. Menkveld & Javier Gil-Bazo, 2021, "Non-Standard Errors," Working Papers, Barcelona School of Economics, number 1303, Dec.
    • Albert J. Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüß & Michael Razen & Utz Weitzel & David Abad‐Díaz & Menachem (Meni) Abudy , 2024, "Nonstandard Errors," Journal of Finance, American Finance Association, volume 79, issue 3, pages 2339-2390, June, DOI: 10.1111/jofi.13337.
    • Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Juergen & Johannesson, Magnus & Hasse, Jean-Baptiste & e.a.,, 2023, "Non-Standard Errors," LIDAM Reprints LFIN, Université catholique de Louvain, Louvain Finance (LFIN), number 2023002, Jan.
    • Gerardo Ferrara & Simon Jurkatis, 2021, "Non-standard errors," Bank of England Staff Working Paper series, Bank of England, number 955, Dec.
    • Menkveld, A. & Dreber, A. & Holzmeister, F. & Huber, J. & Johannesson, M. & Kirchler, M. & Neusüss, S. & Razen, M. & Neusüss, S. & Neusüss, S., 2021, "Non-Standard Errors," Cambridge Working Papers in Economics, Faculty of Economics, University of Cambridge, number 2182, Nov.
    • Albert J. et al. Menkveld, 2021, "Non-Standard Errors," CESifo Working Paper Series, CESifo, number 9453.
    • Francesco Franzoni & Roxana Mihet & Markus Leippold & Per Ostberg & Olivier Scaillet & Norman Schürhoff & Oksana Bashchenko & Nicola Mano & Michele Pelli, 2022, "Non-Standard Errors," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 22-09, Jan.
    • Wolff, Christian & Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Juergen & Johannesson, Magnus & Kirchler, Michael & Neusüess, Sebastian & Razen, Michael & Weitzel, Utz, 2021, "Non-Standard Errors," CEPR Discussion Papers, Centre for Economic Policy Research, number 16751, Nov.
    • Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Juergen & Johannesson, Magnus & Kirchler, Michael & Neusüß, Sebastian & Razen, Michael & Weitzel, Utz & Abad-Díaz, David & Abudy, Menac, 2024, "Nonstandard errors," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 123002, Jun.
    • Albert Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüß & Michael Razen & Utz Weitzel & David Abad-Díaz & Tobias Adrian & Yacine Ai, 2024, "Nonstandard Errors," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number hal-05077550, Apr, DOI: 10.1111/jofi.13337.
    • Albert J Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüss & Michael Razen & Utz Weitzel & Gunther Capelle-Blancard & David Abad-Dí, 2021, "Non-Standard Errors," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number halshs-03500882, Nov.
    • Albert Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüß & Michael Razen & Utz Weitzel & David Abad-Díaz & Tobias Adrian & Yacine Ai, 2024, "Nonstandard Errors," Post-Print, HAL, number hal-04676112, Apr, DOI: 10.1111/jofi.13337.
    • Albert Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüß & Michael Razen & Utz Weitzel & David Abad-Díaz & Tobias Adrian & Yacine Ai, 2024, "Nonstandard Errors," Post-Print, HAL, number hal-05077550, Apr, DOI: 10.1111/jofi.13337.
    • Albert J Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüss & Michael Razen & Utz Weitzel & Gunther Capelle-Blancard & David Abad-Dí, 2021, "Non-Standard Errors," Post-Print, HAL, number halshs-03500882, Nov.
    • Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Juergen & Johannesson, Magnus & Kirchler, Michael & Neusüss, Sebastian & Razen, Michael & Weitzel, Utz & Abad-Díaz, David & Abudy, Mena, 2021, "Non-Standard Errors," Working Papers, Lund University, Department of Economics, number 2021:17, Nov.
    • Albert J. Menkveld & Anna Dreber & Felix Holzmeister & Jürgen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüss & Michael Razen & Utz Weitzel & David Abad-Dí­az & Menachem Abudy & Tobi, 2021, "Non-Standard Errors," Working Papers, Faculty of Economics and Statistics, Universität Innsbruck, number 2021-31.
    • Albert J. Menkveld & Anna Dreber & Félix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neusüss & Michael Razen & Utz Weitzel & Gunther Capelle-Blancard, 2021, "Non-Standard Errors," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 21033, Nov.
    • Albert J. Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neus ss & Michael Razen & Utz Weitzel & Edwin Baidoo & Michael Fr mmel & et al, 2021, "Non-Standard Errors," Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration, number 21/1032, Nov.
    • Menkveld, Albert J. & Dreber, Anna & Declerck, Fany & Moinas, Sophie, 2023, "Non-Standard Errors," TSE Working Papers, Toulouse School of Economics (TSE), number 23-1451, Jun.
    • Albert J. Menkveld & Anna Dreber & Felix Holzmeister & Juergen Huber & Magnus Johannesson & Michael Kirchler & Sebastian Neussüs & Michael Razen & Utz Weitzel & Christian T. Brownlees & Javier Gil-Baz, 2021, "Non-standard errors," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1807, Dec.
    • Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Jürgen & Johannesson, Magnus & Kirchler, Michael & Neusüss, Sebastian & Razen, Michael & Weitzel, Utz, 2021, "Non-standard errors," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 11/2021.
    • Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Jürgen & Johannesson, Magnus & Kirchler, Michael & Neusüss, Sebastian & Razen, Michael & Weitzel, Utz, 2021, "Non-standard errors," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 327, DOI: 10.2139/ssrn.3961574.
  2. Victor DeMiguel & Javier Gil-Bazo & Francisco J. Nogales & André A. P. Santos, 2021, "Can machine learning help to select portfolios of mutual funds?," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1772, Mar.

2015

  1. Jean-Charles Rochet & Xavier Freixas, 2015, "Taming SIFIs," Working Papers, Barcelona School of Economics, number 649, Sep.
  2. Kebin Ma & Xavier Freixas, 2015, "Banking Competition and Stability: The Role of Leverage," Working Papers, Barcelona School of Economics, number 781, Sep.
  3. Ariadna Dumitrescu & Javier Gil-Bazo, 2015, "Familiarity and Competition: The Case of Mutual Funds," Working Papers, Barcelona School of Economics, number 815, Sep.
  4. Ariadna Dumitrescu & Javier Gil-Bazo, 2015, "Market Frictions, Investor Heterogeneity, and Persistence in Mutual Fund Performance," Working Papers, Barcelona School of Economics, number 816, Sep.

2013

  1. Patrick Bolton & Xavier Freixas & Leonardo Gambacorta & Paolo Emilio Mistrulli, 2013, "Relationship and transaction lending in a crisis," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1385, Sep.

2011

  1. Freixas, Xavier & Laux, Christian, 2011, "Disclosure, transparency, and market discipline," CFS Working Paper Series, Center for Financial Studies (CFS), number 2011/11.
  2. Mathias Dewatripont & Xavier Freixas, 2011, "Bank resolution: A framework for the assessment of regulatory intervention," ULB Institutional Repository, ULB -- Universite Libre de Bruxelles, number 2013/184479, Oct.

2010

  1. Francisco Peñaranda & Enrique Sentana, 2010, "A Unifying Approach to the Empirical Evaluation of Asset Pricing Models," Working Papers, CEMFI, number wp2010_1004, Jul.

2009

  1. Patrick Bolton & Xavier Freixas & Joel Shapiro, 2009, "The Credit Ratings Game," NBER Working Papers, National Bureau of Economic Research, Inc, number 14712, Feb.
  2. Xavier Freixas & Antoine Martin & David R. Skeie, 2009, "Bank liquidity, interbank markets, and monetary policy," Staff Reports, Federal Reserve Bank of New York, number 371.
  3. Xavier Freixas, 2009, "Monetary policy in a systemic crisis," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1200, Nov.
  4. Xavier Freixas, 2009, "Post crisis challenges to bank regulation," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1201, Dec.
  5. Francisco Peñaranda, 2009, "Understanding Portfolio Efficiency with Conditioning Information," FMG Discussion Papers, Financial Markets Group, number dp626, Jan.
  6. Francisco Peñaranda & Augusto Rupérez-Micola, 2009, "On the drivers of commodity co-movement: Evidence from biofuels," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1174, Oct, revised Oct 2011.

2008

  1. Xavier Freixas & Bruno Maria Parigi, 2008, "Lender of Last Resort and Bank Closure Policy," CESifo Working Paper Series, CESifo, number 2286.
  2. Ferreira, Eva & Gil-Bazo, Javier & Orbe, Susan, 2008, "Nonparametric estimation of conditional beta pricing models," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb082403, May.
  3. Gil-Bazo, Javier & Ruiz-Verdú, Pablo & Santos, André A. P., 2008, "The performance of socially responsible mutual funds: the role of fees and management companies," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb083409, Jun.

2007

  1. Xavier Freixas & José Jorge, 2007, "The role of interbank markets in monetary policy: A model with rationing," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1027, Mar, revised Apr 2008.
  2. Xavier Freixas & Bruno Maria Parigi, 2007, "Banking Regulation and Prompt Corrective Action," CESifo Working Paper Series, CESifo, number 2136.
  3. Francisco Penaranda & Jon Danielsson, 2007, "On the Impact of Fundamentals, Liquidity and Coordination on Market Stability," FMG Discussion Papers, Financial Markets Group, number dp586, Jan.
  4. Francisco Penaranda, 2007, "Portfolio Choice Beyond the Traditional Approach," FMG Discussion Papers, Financial Markets Group, number dp587, Mar.
  5. Francisco Peñaranda & Enrique Sentana, 2007, "Duality in mean-variance frontiers with conditioning information," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1058, Oct.

2006

  1. Gil-Bazo, Javier & Ruiz-Verdú, Pablo, 2006, "Yet another puzzle? the relation between price and performance in the mutual fund industry," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb066519, Nov.

2005

  1. Xavier Freixas & Gyöngyi Lóránth & Alan D. Morrison, 2005, "Regulating financial conglomerates," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 820, Mar.
  2. Gil-Bazo, Javier & Ruiz-Verdú, Pablo, 2005, "When cheaper is better: fee determination in the market for equity mutual funds," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb054309, Jun.
  3. Balbás, Alejandro & Downarowicz, Anna & Gil-Bazo, Javier, 2005, "Market imperfections, discount factors and stochastic dominance: an empirical analysis with oil-linked derivatives," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb055013, Sep.
  4. Gil Bazo, Javier & Moreno Muñoz, Jesús David & Tapia, Mikel, 2005, "Price dynamics, informational efficiency and wealth distribution in continuous double auction markets," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb057819, Dec.

2004

  1. Xavier Freixas & Sjaak Hurkens & Alan D. Morrison & Nir Vulkan, 2004, "Interbank comptetition with costly screening," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 802, Nov.
  2. Joel Shapiro & Patrick Bolton & Xavier Freixas, 2004, "Conflicts of Interest and Credible Information Provision by Specialized and One-Stop Banks," Econometric Society 2004 North American Winter Meetings, Econometric Society, number 132, Aug.
  3. Patrick Bolton & Xavier Freixas & Joel Shapiro, 2004, "Conflicts of Interest, Information Provision, and Competition in Banking," NBER Working Papers, National Bureau of Economic Research, Inc, number 10571, Jun.
  4. Xavier Freixas & Dimitrios P. Tsomocos, 2004, "Book vs. fair value accounting in banking and intertemporal smoothing," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 771, Sep.
  5. Enrique Sentana & Francisco Penaranda, 2004, "Spanning Tests in Return and Stochastic Discount Factor Mean-Variance Frontiers: A Unifying Approach," FMG Discussion Papers, Financial Markets Group, number dp497, May.

2003

  1. Freixas, Xavier & Parigi, Bruno M. & Rochet, Jean-Charles, 2003, "The Lender of Last Resort: A 21th Century Approach," IDEI Working Papers, Institut d'Économie Industrielle (IDEI), Toulouse, number 215.
  2. Francisco Penaranda, 2003, "Evaluation of Joint Density Forecasts of Stock and Bond Returns: Predictability and Parameter Uncertainty," FMG Discussion Papers, Financial Markets Group, number dp458, Jul.

2002

  1. Xavier Freixas & Anthony M. Santomero, 2002, "An overall perspective on banking regulation," Working Papers, Federal Reserve Bank of Philadelphia, number 02-1.

2001

  1. Freixas, X. & Holthausen, C., 2001, "Interbank Market Integration under Asymmetric Information," Papers, Quebec a Montreal - Recherche en gestion, number 74.
  2. Gil-Bazo, Javier & Rubio, Gonzalo, 2001, "A nonparametric dimension test of the term structure," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb012106, Mar.
  3. Gil-Bazo, Javier, 2001, "Optimal demand for long-term bonds when returns are predictable," DEE - Working Papers. Business Economics. WB, Universidad Carlos III de Madrid. Departamento de Economía de la Empresa, number wb012308, Mar.

2000

  1. Patrick Bolton & Xavier Freixas, 2000, "Corporate finance and the monetary transmission mechanism," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 511, Jun.

1999

  1. Freixas, Xavier, 1999, "Optimal Bail-Out, Conditionality and Creative Ambiguity," CEPR Discussion Papers, Centre for Economic Policy Research, number 2238, Sep.
  2. Xavier Freixas, 1999, "Optimal bail out policy, conditionality and constructive ambiguity," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 400, Jun.
  3. Xavier Freixas, 1999, "Optimal Bail Out Policy, Conditionality and Creative Ambiguity," FMG Discussion Papers, Financial Markets Group, number dp327, May.

1998

  1. Freixas, X. & Gabillon, E., 1998, "Optimal Regulation of a Fully Insured Deposit Banking System," Papers, Toulouse - GREMAQ, number 98.506.
  2. Xavier Freixas & Bruno Parigi & Jean Charles Rochet, 1998, "Systemic risk, interbank relations and liquidity provision by the Central Bank," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 440, Oct, revised Sep 1999.

1997

  1. Patrick Bolton & Xavier Freixas, 1997, "A dilution cost approach to financial intermediation and securities markets," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 286, Dec.

1996

  1. Xavier Freixas & Bruno Parigi, 1996, "Contagion and efficiency in gross and net interbank payment systems," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 176, Mar, revised Jun 1996.

1995

  1. Xavier Freixas & Jean Charles Rochet, 1995, "Fair pricing of deposit insurance. Is it possible? Yes. Is it desirable? No," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 130, Jan, revised Jun 1995.

1993

  1. Xavier Freixas, 1993, "Short term credit versus account receivable financing," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 27, Mar.

1981

  1. FREIXAS, Xavier, 1981, "Révélation des préférences dans l’allocation des biens publics," Institut des Mathématiques Economiques – Document de travail de l’I.M.E. (1974-1993), Institut des Mathématiques Economiques. LATEC, Laboratoire d'Analyse et des Techniques EConomiques, CNRS, Université de Bourgogne, number 52, Jul.

Journal articles

2026

  1. Cookson, J. Anthony & Fox, Corbin & Gil-Bazo, Javier & Imbet, Juan F. & Schiller, Christoph, 2026, "Social media as a bank run catalyst," Journal of Financial Economics, Elsevier, volume 176, issue C, DOI: 10.1016/j.jfineco.2025.104218.

2023

  1. DeMiguel, Victor & Gil-Bazo, Javier & Nogales, Francisco J. & Santos, André A.P., 2023, "Machine learning and fund characteristics help to select mutual funds with positive alpha," Journal of Financial Economics, Elsevier, volume 150, issue 3, DOI: 10.1016/j.jfineco.2023.103737.

2022

  1. Javier Gil & Jorge Sequera, 2022, "The professionalization of Airbnb in Madrid: far from a collaborative economy," Current Issues in Tourism, Taylor & Francis Journals, volume 25, issue 20, pages 3343-3362, October, DOI: 10.1080/13683500.2020.1757628.

2020

  1. Dong, Hang & Gil-Bazo, Javier, 2020, "Sentiment stocks," International Review of Financial Analysis, Elsevier, volume 72, issue C, DOI: 10.1016/j.irfa.2020.101573.
  2. Javier Gil-Bazo & Peter Hoffmann & Sergio Mayordomo, 2020, "Mutual Funding," The Review of Financial Studies, Society for Financial Studies, volume 33, issue 10, pages 4883-4915.

2018

  1. Dumitrescu, Ariadna & Gil-Bazo, Javier, 2018, "Market frictions, investor sophistication, and persistence in mutual fund performance," Journal of Financial Markets, Elsevier, volume 40, issue C, pages 40-59, DOI: 10.1016/j.finmar.2018.01.001.

2016

  1. Dumitrescu, Ariadna & Gil-Bazo, Javier, 2016, "Information and investment under uncertainty," Economics Letters, Elsevier, volume 148, issue C, pages 17-22, DOI: 10.1016/j.econlet.2016.08.043.

2013

  1. Xavier Freixas & Jean-Charles Rochet, 2013, "Taming Systemically Important Financial Institutions," Journal of Money, Credit and Banking, Blackwell Publishing, volume 45, issue , pages 37-58, August.

2012

  1. Patrick Bolton & Xavier Freixas & Joel Shapiro, 2012, "The Credit Ratings Game," Journal of Finance, American Finance Association, volume 67, issue 1, pages 85-112, February, DOI: j.1540-6261.2011.01708.x.

2011

  1. Mathias Dewatripont & Xavier Freixas, 2011, "Bank resolution: a framework for the assessment of regulatory intervention," Oxford Review of Economic Policy, Oxford University Press and Oxford Review of Economic Policy Limited, volume 27, issue 3, pages 411-436.
  2. Xavier Freixas & Antoine Martin & David Skeie, 2011, "Bank Liquidity, Interbank Markets, and Monetary Policy," The Review of Financial Studies, Society for Financial Studies, volume 24, issue 8, pages 2656-2692.
  3. Xavier Freixas & Colin Mayer, 2011, "Banking, finance, and the role of the state," Oxford Review of Economic Policy, Oxford University Press and Oxford Review of Economic Policy Limited, volume 27, issue 3, pages 397-410.
  4. Ferreira, Eva & Gil-Bazo, Javier & Orbe, Susan, 2011, "Conditional beta pricing models: A nonparametric approach," Journal of Banking & Finance, Elsevier, volume 35, issue 12, pages 3362-3382, DOI: 10.1016/j.jbankfin.2011.05.016.
  5. Jón Daníelsson & Francisco Peñaranda, 2011, "On The Impact Of Fundamentals, Liquidity, And Coordination On Market Stability," International Economic Review, Department of Economics, University of Pennsylvania and Osaka University Institute of Social and Economic Research Association, volume 52, issue 3, pages 621-638, August, DOI: j.1468-2354.2011.00642.x.

2010

  1. Javier Gil-Bazo & Pablo Ruiz-Verdú & André Santos, 2010, "The Performance of Socially Responsible Mutual Funds: The Role of Fees and Management Companies," Journal of Business Ethics, Springer, volume 94, issue 2, pages 243-263, June, DOI: 10.1007/s10551-009-0260-4.

2009

  1. Xavier Freixas, 2009, "Monetary policy in a systemic crisis," Oxford Review of Economic Policy, Oxford University Press and Oxford Review of Economic Policy Limited, volume 25, issue 4, pages 630-653, Winter.
  2. Javier Gil‐Bazo & Pablo Ruiz‐Verdú, 2009, "The Relation between Price and Performance in the Mutual Fund Industry," Journal of Finance, American Finance Association, volume 64, issue 5, pages 2153-2183, October, DOI: 10.1111/j.1540-6261.2009.01497.x.

2008

  1. Xavier Freixas & Jos… Jorge, 2008, "The Role of Interbank Markets in Monetary Policy: A Model with Rationing," Journal of Money, Credit and Banking, Blackwell Publishing, volume 40, issue 6, pages 1151-1176, September.
  2. Gil-Bazo, Javier & Ruiz-Verdú, Pablo, 2008, "When cheaper is better: Fee determination in the market for equity mutual funds," Journal of Economic Behavior & Organization, Elsevier, volume 67, issue 3-4, pages 871-885, September.

2007

  1. Freixas Xavier & Hurkens Sjaak & Morrison Alan D & Vulkan Nir, 2007, "Interbank Competition with Costly Screening," The B.E. Journal of Theoretical Economics, De Gruyter, volume 7, issue 1, pages 1-27, May, DOI: 10.2202/1935-1704.1356.
  2. Freixas, Xavier & Loranth, Gyongyi & Morrison, Alan D., 2007, "Regulating financial conglomerates," Journal of Financial Intermediation, Elsevier, volume 16, issue 4, pages 479-514, October.
  3. Bolton, Patrick & Freixas, Xavier & Shapiro, Joel, 2007, "Conflicts of interest, information provision, and competition in the financial services industry," Journal of Financial Economics, Elsevier, volume 85, issue 2, pages 297-330, August.

2006

  1. Patrick Bolton & Xavier Freixas, 2006, "Corporate Finance and the Monetary Transmission Mechanism," The Review of Financial Studies, Society for Financial Studies, volume 19, issue 3, pages 829-870.
  2. Javier Gil‐Bazo, 2006, "Investment Horizon Effects," Journal of Business Finance & Accounting, Wiley Blackwell, volume 33, issue 1‐2, pages 179-202, January, DOI: 10.1111/j.1468-5957.2006.01098.x.
  3. Javier Gil-Bazo, 2006, "The value of the 'swap' feature in equity default swaps," Quantitative Finance, Taylor & Francis Journals, volume 6, issue 1, pages 67-74, DOI: 10.1080/14697680500467822.

2005

  1. Xavier Freixas, 2005, "Interbank Market Integration under Asymmetric Information," The Review of Financial Studies, Society for Financial Studies, volume 18, issue 2, pages 459-490.
  2. Xavier Freixas, 2005, "Deconstructing relationship banking," Investigaciones Economicas, Fundación SEPI, volume 29, issue 1, pages 3-31, January.

2004

  1. Xavier Freixas & Jean-Charles Rochet & Bruno M. Parigi, 2004, "The Lender of Last Resort: A Twenty-First Century Approach," Journal of the European Economic Association, MIT Press, volume 2, issue 6, pages 1085-1115, December.
  2. Freixas, Xavier & Kashyap, Anil K., 2004, "JFI special issue: Financial Structure and Monetary Policy Channels," Journal of Financial Intermediation, Elsevier, volume 13, issue 4, pages 411-413, October.
  3. Xavier Freixas, 2004, "The Assessment: European Financial Integration," Oxford Review of Economic Policy, Oxford University Press and Oxford Review of Economic Policy Limited, volume 20, issue 4, pages 475-489, Winter.
  4. Gil-Bazo Javier & Rubio Gonzalo, 2004, "A Nonparametric Dimension Test of the Term Structure," Studies in Nonlinear Dynamics & Econometrics, De Gruyter, volume 8, issue 3, pages 1-28, September, DOI: 10.2202/1558-3708.1117.
  5. Eva Ferreira, 2004, "Beyond Single-Factor Affine Term Structure Models," Journal of Financial Econometrics, Oxford University Press, volume 2, issue 4, pages 565-591.

2000

  1. Xavier Freixas & Curzio Giannini & Glenn Hoggarth & Farouk Soussa, 2000, "Lender of Last Resort: What Have We Learned Since Bagehot?," Journal of Financial Services Research, Springer;Western Finance Association, volume 18, issue 1, pages 63-84, October, DOI: 10.1023/A:1026527607455.
  2. Freixas, Xavier & Parigi, Bruno M & Rochet, Jean-Charles, 2000, "Systemic Risk, Interbank Relations, and Liquidity Provision by the Central Bank," Journal of Money, Credit and Banking, Blackwell Publishing, volume 32, issue 3, pages 611-638, August.
  3. Patrick Bolton & Xavier Freixas, 2000, "Equity, Bonds, and Bank Debt: Capital Structure and Financial Market Equilibrium under Asymmetric Information," Journal of Political Economy, University of Chicago Press, volume 108, issue 2, pages 324-351, April, DOI: 10.1086/262121.

1999

  1. Freixas, Xavier & Gabillon, Emmanuelle, 1999, "Optimal Regulation of a Fully Insured Deposit Banking System," Journal of Regulatory Economics, Springer, volume 16, issue 2, pages 111-134, September.

1998

  1. Freixas, Xavier & Rochet, Jean-Charles, 1998, "Fair pricing of deposit insurance. Is it possible? Yes. Is it desirable? No," Research in Economics, Elsevier, volume 52, issue 3, pages 217-232, September.
  2. Freixas, Xavier & Parigi, Bruno, 1998, "Contagion and Efficiency in Gross and Net Interbank Payment Systems," Journal of Financial Intermediation, Elsevier, volume 7, issue 1, pages 3-31, January.

1992

  1. Xavier Freixas, 1992, "Estructura temporal de tipos de interés: hipótesis teóricas y resultados empíricos," Investigaciones Economicas, Fundación SEPI, volume 16, issue 2, pages 187-203, May.

1987

  1. Freixas, Xavier & Mas-Colell, Andreu, 1987, "Engel Curves Leading to the Weak Axiom in the Aggregate," Econometrica, Econometric Society, volume 55, issue 3, pages 515-531, May.
  2. Xavier Freixas, 1987, "L'effet d'irréversibilité dans le choix de grands projets," Revue Économique, Programme National Persée, volume 38, issue 1, pages 149-156.

1985

  1. Freixas, Xavier & Laffont, Jean-Jacques, 1985, "Average cost pricing versus marginal cost pricing under moral hazard," Journal of Public Economics, Elsevier, volume 26, issue 2, pages 135-146, March.

1984

  1. Freixas, Xavier, 1984, "A cardinal approach to straightforward probabilistic mechanisms," Journal of Economic Theory, Elsevier, volume 34, issue 2, pages 227-251, December.

1981

  1. Freixas, Xavier, 1981, "Optimal growth with experimentation," Journal of Economic Theory, Elsevier, volume 24, issue 2, pages 296-309, April.
  2. Xavier Freixas, 1981, "Une analyse coût-avantage des mécanismes d'allocation : l'approche prix-quantités," Revue Économique, Programme National Persée, volume 32, issue 6, pages 1074-1086, DOI: 10.3406/reco.1981.408631.
  3. Xavier Freixas, 1981, "Comparaison de mécanismes d'allocation," Revue Économique, Programme National Persée, volume 32, issue 5, pages 870-886.

Books

2012

  1. Freixas, Xavier & Hartmann, Philipp & Mayer, Colin (ed.), 2012, "Handbook of European Financial Markets and Institutions," OUP Catalogue, Oxford University Press, number 9780199662692, ISBN: ARRAY(0x8136f4f0).

2008

  1. Xavier Freixas & Jean-Charles Rochet, 2008, "Microeconomics of Banking, 2nd Edition," MIT Press Books, The MIT Press, number 0262062704, edition 2, ISBN: ARRAY(0x83aabff8), December.
  2. Freixas, Xavier & Hartmann, Philipp & Mayer, Colin (ed.), 2008, "Handbook of European Financial Markets and Institutions," OUP Catalogue, Oxford University Press, number 9780199229956, ISBN: ARRAY(0x849309d0).

1997

  1. Xavier Freixas & Jean-Charles Rochet, 1997, "Microeconomics of Banking," MIT Press Books, The MIT Press, number 0262061937, edition 1, ISBN: ARRAY(0x83c54340), December.

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