European Economic Review

Kuznitz, A., Kandel, S., Fos, V. 2008. A Portfolio Choice Model with Utility from Anticipation of Future Consumption and Stock Market Mean Reversion. European Economic Review, 52: 1338-1352

Kahn, C. , Santos, J. 2005. Allocating Bank Regulatory Power: Lender of Last Resort, Deposit Insurance and Supervision. European Economic Review, 49: 2107-2136

Kahn, C. , Longhofer, S. 1993. An Equilibrium Model of Quits Under Optimal Contracting. European Economic Review, 37: 1203-1222