Results 41-50 of 630.
|2012 ||Too big to fail: Motives, countermeasures, and the Dodd-Frank response||Shull, Bernard
|2010 ||Too big to fail in financial crisis: Motives, countermeasures, and prospects||Shull, Bernard
|2002 ||Enhancing bank transparency: A re-assessment||Hyytinen, Ari / Takalo, Tuomas
|2011 ||What regulatory policies work for emerging markets?||Ping, Luo
|2010 ||Performance and regulatory effects of non-compliant loans in German synthetic mortgage-backed securities transactions||Trinkaus, Gaby
|2010 ||Bank liquidity creation and risk taking during distress||Berger, Allen N. / Bouwman, Christa H. S. / Kick, Thomas / Schaeck, Klaus
|2007 ||Open-end real estate funds in Germany: genesis and crisis||Bannier, Christina E. / Fecht, Falko / Tyrell, Marcel
|2007 ||Granularity adjustment for Basel II||Lütkebohmert, Eva / Gordy, Michael B.
|2008 ||Stress testing of real credit portfolios||Mager, Ferdinand / Schmieder, Christian
|2011 ||Regulation, credit risk transfer, and bank lending||Pausch, Thilo / Welzel, Peter