Items where authors include "Alzuabi, R."
Article
Alzuabi, R. orcid.org/0000-0002-1783-4680, Brown, S., Kontonikas, A. et al. (1 more author) (2025) Household portfolios and monetary policy. International Journal of Finance and Economics. ISSN 1076-9307
Alzuabi, R. orcid.org/0000-0002-1783-4680, Brown, S. orcid.org/0000-0002-4853-9115, Gray, D. orcid.org/0000-0003-1840-4110 et al. (2 more authors) (2024) Portfolio allocation and borrowing constraints. The European Journal of Finance, 30 (9). pp. 915-948. ISSN 1351-847X
Alzuabi, R., Brown, S., Harris, M.N. et al. (1 more author) (2023) Modelling the composition of household portfolios: a latent class approach. Canadian Journal of Economics, 57 (1). pp. 243-275. ISSN 0008-4085
Alzuabi, R. orcid.org/0000-0002-1783-4680, Brown, S. orcid.org/0000-0002-4853-9115 and Taylor, K. orcid.org/0000-0002-6525-0815 (2022) Charitable behaviour and political affiliation: evidence for the UK. Journal of Behavioral and Experimental Economics, 100. 101917. ISSN 2214-8043
Alzuabi, R. orcid.org/0000-0002-1783-4680, Brown, S., Gray, D. et al. (2 more authors) (2022) Household saving, health, and healthcare utilization in Japan. Oxford Economic Papers, 74 (2). pp. 473-497. ISSN 0030-7653
Alzuabi, R., Caglayan, M. and Mouratidis, K. (2020) The risk‐taking channel in the United States : A GVAR approach. International Journal of Finance and Economics, 26 (4). pp. 5826-5849. ISSN 1099-1158
Monograph
Alzuabi, R. orcid.org/0000-0002-1783-4680 and Gray, D. (2024) Household portfolio allocation and stock market impressions: evidence from Japan households. Working Paper. Sheffield Economic Research Paper Series, 2024012 (2024012). Department of Economics, University of Sheffield ISSN 1749-8368
Alzuabi, R., Brown, S., Harris, M.N. et al. (1 more author) (2022) Modelling the composition of household portfolios: a latent class approach. Working Paper. Sheffield Economic Research Paper Series, 2022019 (2022019). Department of Economics, University of Sheffield ISSN 1749-8368
Alzuabi, R. orcid.org/0000-0002-1783-4680, Brown, S., Gray, D. et al. (2 more authors) (2021) Portfolio allocation and borrowing constraints. Working Paper. Sheffield Economic Research Paper Series, 2021009 (2021009). Department of Economics, University of Sheffield ISSN 1749-8368
Alzuabi, R., Brown, S., Kontonikas, A. et al. (1 more author) (2020) Household portfolios and monetary policy. Working Paper. Sheffield Economic Research Paper Series, 2020001 (2020001). Department of Economics, University of Sheffield ISSN 1749-8368
Alzuabi, R., Caglayan, M. and Mouratidis, K. (2017) The Risk-Taking Channel in the US: A GVAR Approach. Working Paper. Sheffield Economic Research Paper Series (SERPS), 201700 (2017009). Department of Economics, University of Sheffield ISSN 1749-8368