EconStor >

Search Results

 
for  

Results 141-150 of 879.


Item hits:

DateTitle 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 IIGürtler, Marc / Heithecker, Dirk
2011 Pitfalls in modeling loss given default of bank loansHibbeln, Martin / Gürtler, Marc
2005 Multi-period defaults and maturity effects on economic capital in a ratings-based default-mode modelGürtler, Marc / Heithecker, Dirk
2007 Measuring concentration risk for regulatory purposesGürtler, Marc / Hibbeln, Martin / Vöhringer, Clemens
2009 On the real effects of bank bailouts: Micro-evidence from JapanGiannetti, Mariassunta / Simonov, Andrei
2009 A new capital regulation for large financial institutionsHart, Oliver / Zingales, Luigi
2007 Best instruments for market discipline in bankingCaldwell, Greg
2010 Leverage, balance sheet size and wholesale fundingDamar, 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