|
|
EconStor >
Deutsche Bundesbank, Forschungszentrum, Frankfurt am Main >
Discussion Paper Series 2: Banking and Financial Studies, Deutsche Bundesbank
Collection home page
|
|
Showing items 21-41 of 120.
| Date | Title |
Authors |
| 2005 | Incorporating prediction and estimation risk in point-in-time credit portfolio models | Hamerle, Alfred / Knapp, Michael / Liebig, Thilo / Wildenauer, Nicole |
| 2005 | Time series properties of a rating system based on financial ratios | Krüger, Ulrich / Stötzel, Martin / Trück, Stefan |
| 2005 | Inefficient or just different? Effects of heterogeneity on bank efficiency scores | Bos, Jaap W. B. / Heid, Frank / Koetter, Michael / Kolari, James W. / Kool, Clemens J. M. |
| 2005 | Forecasting stock market volatility with macroeconomic variables in real time | Döpke, Jörg / Hartmann, Daniel / Pierdzioch, Christian |
| 2005 | Finance and growth in a bank-based economy: is it quantity or quality that matters? | Koetter, Michael / Wedow, Michael |
| 2005 | Measuring business sector concentration by an infection model | Düllmann, Klaus |
| 2006 | Banks' regulatory buffers, liquidity networks and monetary policy transmission | Merkl, Christian / Stolz, Stéphanie |
| 2006 | Does diversification improve the performance of German banks? Evidence from individual bank loan portfolios | von Westernhagen, Natalja / Porath, Daniel / Hayden, Evelyn |
| 2006 | Heterogeneity in lending and sectoral growth: evidence from German bank-level data | Schertler, Andrea / Buch, Claudia M. / von Westernhagen, Natalja |
| 2006 | Empirical risk analysis of pension insurance: the case of Germany | Schmieder, Christian / Reinschmidt, Timo / Mager, Ferdinand / Gerke, Wolfgang |
| 2006 | The stability of efficiency rankings when risk-preferences and objectives are different | Koetter, Michael |
| 2006 | Sector concentration in loan portfolios and economic capital | Masschelein, Nancy / Düllmann, Klaus |
| 2006 | The cost efficiency of German banks: a comparison of SFA and DEA | Koetter, Michael / Karmann, Alexander / Fiorentino, Elisabetta |
| 2006 | Limits to international banking consolidation | Grüner, Hans Peter / Fecht, Falko |
| 2006 | Money market derivatives and the allocation of liquidity risk in the banking sector | Hakenes, Hendrik / Fecht, Falko |
| 2007 | Granularity adjustment for Basel II | Lütkebohmert, Eva / Gordy, Michael B. |
| 2007 | Efficient, profitable and safe banking: an oxymoron? Evidence from a panel VAR approach | Koetter, Michael / Porath, Daniel |
| 2007 | Slippery slopes of stress: ordered failure events in German banking | Koetter, Michael / Kick, Thomas |
| 2007 | Open-end real estate funds in Germany: genesis and crisis | Bannier, Christina E. / Fecht, Falko / Tyrell, Marcel |
| 2007 | Diversification and the banks' risk-return-characteristics: evidence from loan portfolios of German banks | Behr, Andreas / Kamp, Andreas / Memmel, Christoph / Pfingsten, Andreas |
| 2007 | How do banks adjust their capital ratios? Evidence from Germany | Memmel, Christoph / Raupach, Peter |
|