- Journal of Economic Literature Classification (71)
- G - Financial Economics (71)
- G1 - General Financial Markets (71)
- G10 - General (1)
 
 
 - G1 - General Financial Markets (71)
 
 - G - Financial Economics (71)
 
B
    Biais, Bruno
, Bisière, Christophe
 and Spatt, Chester
  
(2010)
Imperfect Competition in Financial Markets: An Empirical Study of Island and Nasdaq.
  
    Management Science, vol. 56 (n° 12).
     pp. 2237-2250.
  	
  
  
    Biais, Bruno
, Declerck, Fany
 and Moinas, Sophie
  
(2017)
Who supplies liquidity, how and when?
TSE Working Paper, n. 17-818, Toulouse
  
  
    Biais, Bruno
, Foucault, Thierry
 and Moinas, Sophie
  
(2015)
Equilibrium Fast Trading.
  
    Journal of Financial Economics, 116 (2).
     pp. 292-313.
  	
  
  
    Bonomo, Marco, Garcia, René
, Meddahi, Nour
 and Tédongap, Roméo
  
(2010)
Generalized Disappointment Aversion, Long Run Volatility Risk and Asset Prices.
TSE Working Paper, n. 10-187
  
  
    Bonomo, Marco, Garcia, René
, Meddahi, Nour
 and Tédongap, Roméo
  
(2011)
Generalized Disappointment Aversion, Long Run Volatility Risk and Asset Prices.
  
    Review of Financial Studies, 24 (1).
     pp. 82-122.
  	
  
  
    Bonomo, Marco, Garcia, René
, Meddahi, Nour
 and Tédongap, Roméo
  
(2015)
The long and the short of the risk-return trade-off?
  
    Journal of Econometrics, 187 (n°2).
     pp. 580-592.
  	
  
  
H
    Hörner, Johannes
, Lovo, Stefano
 and Tomala, Tristan
  
(2018)
Belief-free Price Formation.
  
    Journal of Financial Economics, 127 (2).
     pp. 342-365.
  	
  
  
M
    Moinas, Sophie
 and Pouget, Sébastien
  
(2016)
The Bubble Game: A classroom experiment.
  
    Southern Economic Journal, 82 (4).
     pp. 1402-1412.
  	
  
  
 
                        
                        
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