|
New York University |
|
|
| Home | Contact | Vita | Courses | Papers | Books |
| RESEARCH PAPERS |
||||
| X | Abstract (.html) |
Text (.pdf) |
Figures (.pdf) |
|
| "Network
Architecture, Salience and Coordination" (with S. Choi, S. Kariv
and T. Palfrey) Revised
2008-06-04 Appendix 1, Appendix 2 |
![]() |
|||
|
"Estimating
Ambiguity Aversion in a Portfolio Choice Experiment" (with D. Ahn, S. Choi, and S.
Kariv) New 2007-12-17 |
||||
| "An Introduction to Financial Crises"
(with Franklin
Allen) New 2007-08-19 |
![]() |
|||
|
"Trading in Networks: A Normal Form Game Experiment," (with Shachar Kariv) New 2007-04-18 |
||||
| "Consistency and Heterogeneity of Individual Behavior under Uncertainty," (with S. Choi, R. Fisman, and S. Kariv) New 2007-04-10 |
|
|||
| Appendices for "Consistency and Heterogeneity ..." | ||||
| "Financial Networks," (with Shachar Kariv) New 2007-01-01 | ||||
| "Revealing Preferences Graphically: An Old Method Gets a New Tool Kit," (with Syngjoo Choi, Raymond Fisman, and Shachar Kariv)" New 2006-12-30 | ||||
| "Substantive and
Procedural Rationality in Decisions Under Uncertainty," (with Syngjoo Choi, Ray Fisman, and
Shachar Kariv) Revised
2006-03-31 |
![]() |
|||
| "Sequential Equilibrium in Monotone Games: A Theory-Based Analysis of Experimental Data" (with Syngjoo Choi and Shachar Kariv) Revised 2006-012-20 | ![]() |
|||
| "Systemic Risk and
Regulation" (with Franklin
Allen) Revised
2005-02-12 |
![]() |
|||
| "From
Cash-in-the-Market Pricing to
Financial Fragility" (with
Franklin Allen) New
2004-09-03 |
![]() |
|||
| "Are Bank
Capital Ratios Too High or Too
Low: Risk Aversion, Incomplete Markets, and Optimal Capital
Structures" (with Onur
Özgür) New 2004-08-30 |
![]() |
|||
| "Financial
Fragility" (with
Franklin Allen) Revised 2004-07-18
|
![]() |
![]() |
||
| "Behavioral
Aspects of Learning in Social
Networks: An Experimental Study" (with Syngjoo Choi and Shachar Kariv) Revised 2004-10-21 |
![]() |
![]() |
||
| "Complexity
and
competition,
Part I: Sequential Matching" (with
Hamid Sabourian) Revised 2004-02-22
|
|
|||
The
following paper is based on the
2002 Fisher Schultz Lecture, presented at the European Meetings of the
Econometric Society, at San Giorgio Maggiore, Venice, in August 2002.
|
![]() |
|||
| "Learning
in Networks: An Experimental
Study" (with Syngjoo Choi and Shachar Kariv) Revised 2005-06-13 |
![]() |
![]() |
||
| "Notes on
Optimal Capital Regulation" New
January 30, 2004 |
![]() |
|||
| "Competition
and Financial Stability" (with
Franklin Allen) New September 6, 2003 |
![]() |
|||
| "Bayesian
Learning in
Social Networks" (with Shachar Kariv) Revised
March 13, 2003
|
![]() |
|||
| "Comparing
Financial
Systems: A Survey" (with
Franklin Allen) New April 2001
|
x |
|
x | |
| "Markov
Equilibria in
Dynamic Matching and Bargaining Games," (with Hamid Sabourian) Revised 2004-11-02
|
|
|
X | |
| "Financial
Intermediaries
and Markets" (with Franklin Allen) Final
version December 2003 This
paper
was previously titled "Banking and Markets" |
|
|
X | |
| "Prudential
Regulation
of
Banks: An Addendum to 'Financial Intermediaries and Markets' " (with
Franklin Allen) |
X |
|
X | |
| "Existence
of
Equilibrium: An Addendum to
'Financial Intermediaries and Markets' " (with Franklin Allen)
|
X |
|
X | |
| "Dollarization,
Bailouts
and
the Stability of the Banking System" (with Xavier
Vives) Revised July 1,
2001
|
|
|
|
|
| "Optimal
Currency Crises" (with Franklin Allen) Revised April 25, 2000
|
|
|
||
| "Financial
Contagion" (with Franklin Allen)
|
|
|
X | |
| "Monotone
Games"Revised August 25, 2000
|
|
|
X | |
| "Corporate
Governance and Competition" (with Franklin Allen)
|
|
|
X | |
| "Signaling
in Markets with Two-Sided Adverse Selection"Revised September 13, 1999
|
|
X | ||
| "Imitator-Experimenter
Dynamics: A Complete Characterization" (with Robert Rosenthal) New February 1, 2000
|
|
|
X | |
|
Conference papers |
||||
| The following notes were prepared for a conference on "Financial Crises and Global Governance" held at the London School of Economics, October 13 and 14, 2000.
|
|
X | ||
The
following notes were prepared for a Riksbank conference on "Asset Price
Bubbles and Monetary Policy" held in Stockholm, June 16 and 17, 2000.
|
X | |
X | |
This paper was presented
as the
keynote address to a conference at the John Deutsch Institute at
Queen's University, “Framing Financial Structure in an Information
Environment”, December 13-14.
|
X |
|
X | |
| "Comparative
Theory of Corporate Governance" |
![]() |
|||
The
following is a comment on the paper by Gobert, Gonzalez, Lai and
Poitevin, with the same
title, which was presented at
a confence held at the Bank of Canada on December 4-5, 2003.
|
![]() |
|||
| "Systemic Risk and
Regulation" |
![]() |
|||
Don't
see what you're looking for? Try looking
in ...
The support of the National Science Foundation through grant SES 9810912 and the C.V. Starr Center for Applied Economics at New York University is gratefully acknowledged |
||||