Browsing All of EconStor by Author Hoerova, Marie


Showing results 1 to 20 of 20
Year of PublicationTitleAuthor(s)
2007Run-prone banking and asset marketsHoerova, Marie
2009What do asset prices have to say about risk appetite and uncertainty?Bekaert, Geert; Hoerova, Marie; Scheicher, Martin
2009Money talksHoerova, Marie; Monnet, Cyril; Temzelides, Ted
2009Liquidity hoarding and interbank market spreads: the role of counterparty riskHeider, Florian; Hoerova, Marie; Holthausen, Cornelia
2009Interbank lending, credit risk premia and collateralHeider, Florian; Hoerova, Marie
2012Clearing, counterparty risk and aggregate riskBiais, Bruno; Heider, Florian; Hoerova, Marie
2012Risk-sharing or risk-taking? Counterparty risk, incentives and marginsBiais, Bruno; Heider, Florian; Hoerova, Marie
2012Risk, uncertainty and monetary policyBekaert, Geert; Hoerova, Marie; Lo Duca, Marco
2013Risk, uncertainty and monetary policyBekaert, Geert; Hoerova, Marie; Lo Duca, Marco
2014The VIX, the variance premium and stock market volatilityBekaert, Geert; Hoerova, Marie
2014Commonality in hedge fund returns: driving factors and implicationsBussière, Matthieu; Hoerova, Marie; Klaus, Benjamin
2016Lending-of-last-resort is as lending-of-last-resort does: central bank liquidity provision and interbank market functioning in the euro areaGarcia-de-Andoain, Carlos; Heider, Florian; Hoerova, Marie; Manganelli, Simone
2017On collateral: Implications for financial stability and monetary policyCorradin, Stefano; Hoerova, Marie; Heider, Florian
2018Variation margins, fire sales, and information-constrained optimalityBiais, Bruno; Heider, Florian; Hoerova, Marie
2018Benefits and costs of liquidity regulationHoerova, Marie; Mendicino, Caterina; Nikolov, Kalin; Schepens, Glenn; Van den Heuvel, Skander
2019Money markets, collateral and monetary policyDe Fiore, Fiorella; Hoerova, Marie; Uhlig, Harald
2020Money markets, central bank balance sheet and regulationCorradin, Stefano; Eisenschmidt, Jens; Hoerova, Marie; Linzert, Tobias; Schepens, Glenn; Sigaux, Jean-David
2023Do non-banks need access to the lender of last resort? Evidence from fund runsBreckenfelder, Johannes; Hoerova, Marie
2023Risk, monetary policy and asset prices in a global worldBekaert, Geert; Hoerova, Marie; Xu, Nancy R.
2023Fund fragility: The role of investor baseAllaire, Nolwenn; Breckenfelder, Johannes; Hoerova, Marie