|
|
EconStor >
Search Results
Results 141-150 of 879.
Item hits:
| Date | Title |
Authors |
| 2006 | Concentration risk under Pillar 2: When are credit portfolios infinitely fine grained? | Gürtler, Marc / Heithecker, Dirk / Hibbeln, Martin |
| 2004 | Modellkonsistente Bestimmung des LGD im IRB-Ansatz von Basel II | Gürtler, Marc / Heithecker, Dirk |
| 2011 | Pitfalls in modeling loss given default of bank loans | Hibbeln, Martin / Gürtler, Marc |
| 2005 | Multi-period defaults and maturity effects on economic capital in a ratings-based default-mode model | Gürtler, Marc / Heithecker, Dirk |
| 2007 | Measuring concentration risk for regulatory purposes | Gürtler, Marc / Hibbeln, Martin / Vöhringer, Clemens |
| 2009 | On the real effects of bank bailouts: Micro-evidence from Japan | Giannetti, Mariassunta / Simonov, Andrei |
| 2009 | A new capital regulation for large financial institutions | Hart, Oliver / Zingales, Luigi |
| 2007 | Best instruments for market discipline in banking | Caldwell, Greg |
| 2010 | Leverage, balance sheet size and wholesale funding | Damar, H. Evren / Meh, Césaire A. / Terajima, Yaz |
| 2008 | Are there Canada-US differences in SME financing? | Leung, Danny / Meh, Césaire / Terajima, Yaz |
Back
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
Next
|