Results 51-60 of 1368.
|2013 ||A model of mortgage losses and its applications for macroprudential instruments||Hott, Christian
|2013 ||Uncertainty and bank wholesale funding||Dinger, Valeriya / Craig, Ben
|2013 ||Modelling and measuring business risk and the resiliency of retail banks||Chaffai, Mohamed / Dietsch, Michel
|2013 ||On the existence of credit rationing and screening with loan size in competitive markets with imperfect information||Kraus, Daniel
|2013 ||Does borrowers' impatience disclose their hidden information about default risk?||Kraus, Daniel
|2001 ||Cross-Border Bank Mergers: What Lures the Rare Animal?||DeLong, Gayle L. / Buch, Claudia M.
|2005 ||Bank control and the number of bank relations of Japanese firms||Ogawa, Kazuo / Sterken, Elmer / Tokutsu, Ichiro
|2013 ||Banking capital and risk-taking adjustment under capital regulation: The role of financial freedom, concentration and governance control||Lin, Shu Ling / Hwang, Da-Yeh / Wang, Keh Luh / Xie, Zhe Wen
|2006 ||Bank lending and asset prices in the Euro area.||Frömmel, Michael / Schmidt, Torsten
|1999 ||Foreign Competition and Disintermediation: No Threat to the German Banking System?||Golder, Stefan M. / Buch, Claudia M.