Browsing All of EconStor by Author Schüler, Martin

Jump to a point in the index:
Showing results 1 to 14 of 14
Year of PublicationTitleAuthor(s)
2002 The threat of systemic risk in banking - evidence for EuropeSchüler, Martin
2002 How integrated are the European retail financial markets? A cointegration analysisSchüler, Martin; Heinemann, Friedrich
2002 A Stigler View on Banking SupervisionHeinemann, Friedrich; Schüler, Martin
2002 The threat of systemic risk in banking: evidence for EuropeSchüler, Martin
2002 Integration of the European market for e-finance: evidence from online brokerageSchüler, Martin
2002 Integration benefits on EU retail credit markets: evidence from interest rate pass-throughHeinemann, Friedrich; Schüler, Martin
2002 How integrated are the European retail financial markets? A cointegration analysisHeinemann, Friedrich; Schüler, Martin
2003 Towards a single European market in asset managementHeinemann, Friedrich; Schröder, Michael; Schüler, Martin; Stirböck, Claudia; Westerheide, Peter
2003 Systemic Risk in European Banking: Evidence from Bivariate GARCH ModelsSchüler, Martin; Schröder, Michael
2003 Incentive Problems in Banking Supervision: The European CaseSchüler, Martin
2003 How Do Banking Supervisors Deal with Europe-wide Systemic Risk?Schüler, Martin
2004 Kapitalmärkte und Demographie: Eine Umfrage unter FinanzmarktexpertenSchröder, Michael; Schüler, Martin
2004 Integrated Financial Supervision in GermanySchüler, Martin
2005 The Costs of Supervisory Fragmentation in EuropeSchüler, Martin; Heinemann, Friedrich