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Home | People | Sjoerd van Bekkum
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Sjoerd van Bekkum

Research Fellow

University
Erasmus University Rotterdam
Research field
Finance
Interests
Banking, Corporate Governance, Finance

List of publications

\van Bekkum\, S., Gabarro, M., Irani, \RustomM.\ and Peydró, \.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., \Gabarro Bonet\, M. and Irani, \RustomM.\ (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.