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Sjoerd van Bekkum
Key publications
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List of publications
van Bekkum, S., Gabarro, M., Irani, RustomM. and Peydró, J.L. (2024). The real effects of borrower-based macroprudential policy: Evidence from administrative household-level data Journal of Monetary Economics, 147:.
van Bekkum, S., Verwijmeren, P. and Grundy, B. (2023). Complementarity of Sovereign and Corporate Debt Issuance: Mind the Gap Review of Finance, :.
Baltussen, G., Bekkum, S. and Da, Z. (2018). Indexing and Stock Market Serial Dependence Around the World Journal of Financial Economics, 132(1):26--48.
van Bekkum, S., Irani, R. and Gabarro Bonet, M. (2018). Does a Larger Menu Increase Appetite? Collateral Eligibility and Credit Supply Review of Financial Studies, 31(3):2855--2896.
Baltussen, G., Bekkum, S. and van der Grient, B. (2018). Unknown Unknowns: Uncertainty About Risk and Stock Returns Journal of Financial and Quantitative Analysis, 53(4):1--37.
van Bekkum, S. (2017). Ireland's 2010 EU/IMF Intervention: Costs and Benefits Journal of Banking and Finance, 72(4):175--183.
van Bekkum, S. (2016). Inside Debt and Bank Risk Journal of Financial and Quantitative Analysis, 51(2):359--385.
van Bekkum, S., Smit, J.T.J. and Pennings, E. (2011). Buy Smart, Time Smart: Are Takeovers Driven by Growth Options or Mispricing? Financial Management, 40(4):911--940.
van Bekkum, S., Pennings, E. and Smit, H. (2009). A Real Options Perspective on R&D Portfolio Diversification Research Policy, 38(7):1150--1158.