EconStor >

Search Results

 
for  

Results 11-20 of 369.


Item hits:

DateTitle Authors
2011 Strategic complementarity, fragility, and regulationVives, Xavier
2009 The emergence of the regulatory state: The political economy of Turkish banking reforms in the age of post-Washington consensusBakır, Caner / Öniş, Ziya
2012 Canadian bank balance-sheet management: Breakdown by types of Canadian financial institutionsChen, David Xiao / Damar, H. Evren / Soubra, Hani / Terajima, Yaz
2009 Treatment of double default effects within the granularity adjustment for Basel IIEbert, Sebastian / Lütkebohmert, Eva
2010 Lender of last resort policy in a global game and the role of depositors' aggregate behavior as signalingShino, Junnosuke
2009 Failure of saddle-point method in the presence of double defaultsLütkebohmert, Eva
2009 Improved modeling of double default effects in Basel II: An endogenous asset drop model without additional correlationEbert, Sebastian / Lütkebohmert, Eva
2010 Estimating the effect of mortgage foreclosures on nearby property values: A critical review of the literatureFrame, W. Scott
2011 Optimal bank capitalMiles, David / Yang, Jing / Marcheggiano, Gilberto
2012 Medición del riesgo de renta variable mediante modelos internos en Solvencia IIDurán 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