The rate of return on everything, 1870–2015 Ò Jordà, K Knoll, D Kuvshinov, M Schularick, AM Taylor The quarterly journal of economics 134 (3), 1225-1298, 2019 | 751 | 2019 |
The big bang: Stock market capitalization in the long run D Kuvshinov, K Zimmermann Journal of Financial Economics 145 (2), 527-552, 2022 | 118 | 2022 |
Sovereigns going bust: estimating the cost of default D Kuvshinov, K Zimmermann European Economic Review 119, 1-21, 2019 | 74 | 2019 |
Monetary policy, inflation, and crises: Evidence from history and administrative data G Jiménez, D Kuvshinov, JL Peydró, B Richter Inflation, and Crises: Evidence From History and Administrative Data (June 6 …, 2023 | 16 | 2023 |
The Expected Return on Risky Assets: International Long-run Evidence D Kuvshinov, K Zimmermann Available at SSRN 3546005, 2021 | 15 | 2021 |
Deleveraging, deflation and depreciation in the euro area D Kuvshinov, GJ Müller, M Wolf European Economic Review 88, 42-66, 2016 | 13 | 2016 |
The co-movement puzzle D Kuvshinov Available at SSRN 3289584, 2023 | 12* | 2023 |
Recent trends in the UK first-time buyer mortgage market D Kuvshinov IFC Bulletin 25, 599, 2010 | 8 | 2010 |
DP17761 Monetary policy, inflation, and crises: New evidence from history and administrative data G Jiménez, D Kuvshinov, J Peydro, B Richter CEPR Press Discussion Paper, 2022 | 2 | 2022 |
The shifts and the shocks: bank risk, leverage, and the macroeconomy D Kuvshinov, B Richter, K Zimmermann Leverage, and the Macroeconomy (June 25, 2022), 2022 | 1 | 2022 |
Sectoral dynamics of safe assets in advanced economies MC Jauregui, D Kuvshinov, B Richter, V Vanasco Universitat Pompeu Fabra, Department of Economics and Business, 2024 | | 2024 |
Essays in Macro-finance D Kuvshinov Universitäts-und Landesbibliothek Bonn, 2019 | | 2019 |