Risk, uncertainty and monetary policy G Bekaert, M Hoerova, ML Duca Journal of Monetary Economics 60 (7), 771-788, 2013 | 1494 | 2013 |
The VIX, the variance premium and stock market volatility G Bekaert, M Hoerova Journal of econometrics 183 (2), 181-192, 2014 | 903 | 2014 |
Liquidity hoarding and interbank market rates: The role of counterparty risk F Heider, M Hoerova, C Holthausen Journal of Financial Economics 118 (2), 336-354, 2015 | 770 | 2015 |
A theory of bank liquidity requirements CW Calomiris, F Heider, M Hoerova Columbia Business School Research Paper, 2015 | 210 | 2015 |
Risk‐sharing or risk‐taking? Counterparty risk, incentives, and margins B Biais, F Heider, M Hoerova The Journal of Finance 71 (4), 1669-1698, 2016 | 201 | 2016 |
Lending-of-last-resort is as lending-of-last-resort does: Central bank liquidity provision and interbank market functioning in the euro area C Garcia-de-Andoain, F Heider, M Hoerova, S Manganelli Journal of Financial Intermediation 28, 32-47, 2016 | 142 | 2016 |
Risk, uncertainty and monetary policy G Bekaert, M Hoerova, ML Duca National Bureau of Economic Research, 2010 | 120 | 2010 |
Clearing, counterparty risk, and aggregate risk B Biais, F Heider, M Hoerova IMF Economic Review 60 (2), 193-222, 2012 | 119 | 2012 |
What do asset prices have to say about risk appetite and uncertainty? G Bekaert, M Hoerova Journal of Banking & Finance 67, 103-118, 2016 | 112 | 2016 |
Interbank lending, credit risk premia and collateral F Heider, M Hoerova ECB working paper, 2009 | 82 | 2009 |
Money markets, collateral and monetary policy F De Fiore, M Hoerova, C Rogers, H Uhlig National Bureau of Economic Research, 2018 | 59 | 2018 |
Risk, monetary policy and asset prices in a global world G Bekaert, M Hoerova, NR Xu ECB Working Paper, 2023 | 50* | 2023 |
Benefits and costs of liquidity regulation M Hoerova, C Mendicino, K Nikolov, G Schepens, S Van den Heuvel ECB Working Paper, 2018 | 48 | 2018 |
Commonality in hedge fund returns: Driving factors and implications M Bussière, M Hoerova, B Klaus Journal of Banking & Finance 54, 266-280, 2015 | 42 | 2015 |
Money markets, central bank balance sheet and regulation S Corradin, J Eisenschmidt, M Hoerova, T Linzert, G Schepens, ... ECB Working Paper, 2020 | 36 | 2020 |
What do asset prices have to say about risk appetite and uncertainty? G Bekaert, M Hoerova, M Scheicher ECB Working Paper, 2009 | 29 | 2009 |
On collateral: implications for financial stability and monetary policy S Corradin, M Hoerova, F Heider ECB Working Paper, 2017 | 27 | 2017 |
Money talks M Hoerova, C Monnet, T Temzelides Economics Letters 116 (3), 617-621, 2012 | 24 | 2012 |
Do non-banks need access to the lender of last resort? Evidence from fund runs J Breckenfelder, M Hoerova ECB Working paper, 2023 | 21 | 2023 |
Variation margins, fire sales, and information-constrained optimality B Biais, F Heider, M Hoerova The Review of Economic Studies 88 (6), 2654-2686, 2021 | 20 | 2021 |