Results 71-80 of 1632.
|2013 ||Robustness and informativeness of systemic risk measures||Löffler, Gunter / Raupach, Peter
|2014 ||Banking market structure and macroeconomic stability: Are low-income countries special?||Bremus, Franziska / Buch, Claudia M.
|2014 ||Why do firms switch banks? Evidence from China||Yin, Wei / Matthews, Kent
|2011 ||In search for yield? Survey-based evidence on bank risk taking||Buch, Claudia M. / Eickmeier, Sandra / Prieto, Esteban
|2011 ||Substitution between net and gross settlement systems: A concern for financial stability?||Craig, Ben / Fecht, Falko
|2004 ||Foreign Bank Entry into Emerging Economies: An Empirical Assessment of the Determinants and Risks Predicated on German FDI Data||Wezel, Torsten
|2012 ||Bank Capital and liquidity creation: Granger causality evidence||Horvath, Roman / Seidler, Jakub / Weill, Laurent
|2010 ||Liquidity and capital requirements and the probability of bank failure||König, Philipp Johann
|2008 ||Risk transfer with CDOs||Krahnen, Jan Pieter / Wilde, Christian
|2002 ||Estimating Bilateral Exposures in the German Interbank Market: Is there a Danger of Contagion?||Upper, Christian / Worms, Andreas