Results 211-220 of 669.
|2014 ||The limits of model-based regulation||Behn, Markus / Haselmann, Rainer / Vig, Vikrant
|2013 ||State dependence in the finance-growth nexus: A functional coefficient approach||Herwartz, Helmut / Walle, Yabibal M.
|2013 ||Bank rescues and bailout expectations: The erosion of market discipline during the financial crisis||Hett, Florian / Schmidt, Alexander
|2013 ||Systemic risk in the financial sector: What can se learn from option markets?||Kraft, Holger / Schmidt, Alexander
|2008 ||Capital market imperfections and the theory of optimum currency areas||Agénor, Pierre-Richard / Aizenman, Joshua
|2013 ||Towards a genuine economic and monetary union: Comments on a roadmap||Belke, Ansgar
|2013 ||Hidden gems and borrowers with dirty little secrets: Investment in soft information, borrower self-selection and competition||Gropp, Reint / Gruendl, Christian / Guettler, Andre
|2009 ||Regulatory constraints on bank leverage: Issues and lessons from the Canadian experience||Bordeleau, Etienne / Crawford, Allan / Graham, Christopher
|2007 ||Bank lending, bank capital regulation and efficiency of corporate foreign investment||Dietrich, Diemo / Hauck, Achim
|2013 ||Interest rate risk and the Swiss solvency test||Eder, Armin / Keiler, Sebastian / Pichl, Hannes