Paul Söderlind
Paul Söderlind
Verified email at unisg.ch
Title
Cited by
Cited by
Year
Solution and estimation of RE macromodels with optimal policy
P Söderlind
European Economic Review 43 (4-6), 813-823, 1999
5461999
New techniques to extract market expectations from financial instruments
P Söderlind, L Svensson
Journal of Monetary Economics 40 (2), 383-429, 1997
4331997
Inflation forecast uncertainty
P Giordani, P Söderlind
European Economic Review 47 (6), 1037-1059, 2003
4322003
Performance and characteristics of Swedish mutual funds
M Dahlquist, S Engström, P Söderlind
Journal of Financial and quantitative Analysis, 409-423, 2000
4292000
Safe haven currencies
A Ranaldo, P Söderlind
Review of finance 14 (3), 385-407, 2010
4102010
The time-varying systematic risk of carry trade strategies
C Christiansen, A Ranaldo, P Söderlind
Journal of Financial and Quantitative Analysis, 1107-1125, 2011
2532011
Understanding FX liquidity
N Karnaukh, A Ranaldo, P Söderlind
The Review of Financial Studies 28 (11), 3073-3108, 2015
1482015
Devaluation expectations: the Swedish krona 1985-92
H Lindberg, P Söderlind, LEO Svensson
The Economic Journal 103 (420), 1170-1179, 1993
1341993
Solution of macromodels with Hansen–Sargent robust policies: Some extensions
P Giordani, P Söderlind
Journal of Economic Dynamics and control 28 (12), 2367-2397, 2004
1232004
Evaluating portfolio performance with stochastic discount factors
M Dahlquist, P Söderlind
The Journal of Business 72 (3), 347-383, 1999
931999
Testing the basic target zone model on Swedish data 1982–1990
H Lindberg, P Söderlind
European Economic Review 38 (7), 1441-1469, 1994
931994
The Swedish business cycle: stylized facts over 130 years
J Hassler, P Lundvik, T Persson, P Söderlind
Institute for International Economic Studies, Stockholm University, 1992
891992
Target zone models and the intervention policy: The Swedish case
H Lindberg, P Söderlind
Scandinavian Journal of Economics 96, 499-513, 1994
741994
Inflation risk premia and survey evidence on macroeconomic uncertainty
P Söderlind
International Journal of Central Banking, forthcoming, 2010
722010
Is there evidence of pessimism and doubt in subjective distributions? Implications for the equity premium puzzle
P Giordani, P Söderlind
Journal of Economic Dynamics and Control 30 (6), 1027-1043, 2006
722006
New‐Keynesian Models and Monetary Policy: A Re‐examination of the Stylized Facts
U Söderström, P Söderlind, A Vredin
scandinavian Journal of Economics 107 (3), 521-546, 2005
662005
Market expectations in the UK before and after the ERM crisis
P Söderlin
Economica 67 (265), 1-18, 2000
642000
Individual investor activity and performance
M Dahlquist, JV Martinez, P Söderlind
Netspar Discussion Paper, 2015
622015
Intervention policy and mean reversion in exchange rate target zones: The Swedish case
H Lindberg, P Söderlind
The Scandinavian Journal of Economics, 499-513, 1994
581994
Monetary policy and the Fisher effect
P Söderlind
Journal of Policy Modeling 23 (5), 491-495, 2001
572001
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Articles 1–20