|
|
EconStor >
Search Results
Results 11-20 of 369.
Item hits:
| Date | Title |
Authors |
| 2011 | Strategic complementarity, fragility, and regulation | Vives, Xavier |
| 2009 | The emergence of the regulatory state: The political economy of Turkish banking reforms in the age of post-Washington consensus | Bakır, Caner / Öniş, Ziya |
| 2012 | Canadian bank balance-sheet management: Breakdown by types of Canadian financial institutions | Chen, David Xiao / Damar, H. Evren / Soubra, Hani / Terajima, Yaz |
| 2009 | Treatment of double default effects within the granularity adjustment for Basel II | Ebert, Sebastian / Lütkebohmert, Eva |
| 2010 | Lender of last resort policy in a global game and the role of depositors' aggregate behavior as signaling | Shino, Junnosuke |
| 2009 | Failure of saddle-point method in the presence of double defaults | Lütkebohmert, Eva |
| 2009 | Improved modeling of double default effects in Basel II: An endogenous asset drop model without additional correlation | Ebert, Sebastian / Lütkebohmert, Eva |
| 2010 | Estimating the effect of mortgage foreclosures on nearby property values: A critical review of the literature | Frame, W. Scott |
| 2011 | Optimal bank capital | Miles, David / Yang, Jing / Marcheggiano, Gilberto |
| 2012 | Medición del riesgo de renta variable mediante modelos internos en Solvencia II | Durán Sontomil, Pablo / Otero González, Luis A. / Redondo López, José A. / Vivel Búa, M. Milagros |
Back
1
2
3
4
5
6
7
8
9
10
11
Next
|