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1. A note on optimal experimentation under risk aversion

2. A simple method to estimate large fixed effects models applied to wage determinants and matching

3. Advertising response to new entry

4. Agent-based risk assessment model of the European banking network

6. Anti-social behavior in groups

7. Asset prices in a production economy with long run and idiosyncratic risk

8. Asymmetries in the firm's use of debt to changing market values

9. Automation and job polarization: on the decline of middling occupations in Europe

10. Bank credit, liquidity shocks and firm performance: evidence from the financial crisis of 2007-2009