Study our datasets and research papers and explore how household financial markets
(such as mortgage, pension, and risky asset markets) are set up around the world.

Title Research field
Sticky Expectations and Consumption Dynamics
Carroll et al. (2018)
Risky asset portfolio choice
On The Origins of Risk-Taking in Financial Markets
Black, S., Devereux, P., Lundborg, P., & Majlesi, K. (2016)

Journal of Finance
Risky asset portfolio choice
Incompatible European Partners? Cultural Predispositions and Household Financial Behavior
Haliassos, M., Jansson, T., Karabulut, Y. (2016), forth. MS

Management Science
Consumer credit
What Calls to ARMs? International Evidence on Interest Rates and the Choice of Adjustable-Rate Mortgages
Badarinza, Campbell and Ramadorai (2015)
Housing and mortgage debt
Learning to Take Risks? The Effect of Education on Risk-Taking in Financial Markets
Black, S., Devereux, P., Lundborg, P., & Majlesi, K. (2015)
Financial literacy and education