Results 81-90 of 448.
|2012 ||Covered bonds, core markets, and financial stability||Anand, Kartik / Chapman, James / Gai, Prasanna
|2013 ||Credit disruptions and the spillover effects between the household and business sectors||Nilavongse, Rachatar
|2013 ||Spillover effects among financial institutions: A state-dependent sensitivity value-at-risk approach||Adams, Zeno / Füss, Roland / Gropp, Reint
|2008 ||Systemic risk in the financial sector: an analysis of the subprime-mortgage financial crisis||Hellwig, Martin
|2013 ||Uncertainty and episodes of extreme capital flows in the Euro area||Schmidt, Torsten / Zwick, Lina
|2014 ||Local banking and local economic growth in Italy: Some panel evidence||Caporale, Guglielmo Maria / Di Colli, Stefano / Di Salvo, Roberto / Lopez, Juan Sergio
|2011 ||Volatility patterns of CDS, bond and stock markets before and during the financial crisis: Evidence from major financial institutions||Belke, Ansgar / Gokus, Christian
|2009 ||Were universal banks more vulnerable to banking failures? Evidence from the 1931 German banking crisis||Adalet, Müge
|2014 ||Uncertainty of macroeconomic forecasters and the prediction of stock market bubbles||Herwartz, Helmut / Kholodilin, Konstantin A.
|2009 ||The effect of financial structure on crises: universal banking in interwar Europe||Adalet, Müge