Browsing All of EconStor by Author Summer, Martin
Showing results 1 to 15 of 15
Year of Publication | Title | Author(s) |
2001 | The Financial System in the Czech Republic, Hungary and Poland after a Decade of Transition | Schardax, Franz; Reininger, Thomas; Summer, Martin |
2001 | Arbitrage and Optimal Portfolio Choice with Financial Constraints | Elsinger, Helmut; Summer, Martin |
2002 | Financial System Transition in Central Europe: The First Decade | Reininger, Thomas; Schardax, Franz; Summer, Martin |
2002 | Banking Regulation and Systemic Risk | Summer, Martin |
2002 | Risk Assessment for Banking Systems | Elsinger, Helmut; Lehar, Alfred; Summer, Martin |
2004 | Bank Capital, Liquidity and Systemic Risk | Eichberger, Juergen; Summer, Martin |
2008 | Regulatory capital for market and credit risk interaction: is current regulation always conservative? | Breuer, Thomas; Jandacka, Martin; Rheinberger, Klaus; Summer, Martin |
2009 | How to find plausible, severe, and useful stress scenarios | Breuer, Thomas; Jandacka, Martin; Rheinberger, Klaus; Summer, Martin |
2011 | Credit Risk in General Equilibrium | Eichberger, Jürgen; Rheinberger, Klaus; Summer, Martin |
2012 | Credit risk in general equilibrium | Eichberger, Jürgen; Rheinberger, Klaus; Summer, Martin |
2013 | Endogenous Leverage and Asset Pricing in Double Auctions | Breuer, Thomas; Summer, Martin; Vollbrecht, Hans-Joachim |
2014 | Credit Risk in General Equilibrium | Eichberger, Jürgen; Rheinberger, Klaus; Summer, Martin |
2018 | Systematic Systemic Stress Tests | Breuer, Thomas; Summer, Martin |
2021 | Bank Solvency Stress Tests with Fire Sales | Breuer, Thomas; Summer, Martin; Urošević, Branko |
2022 | What can CBDC designers learn from asking potential users? Results from a survey of Austrian residents | Abramova, Svetlana; Böhme, Rainer; Elsinger, Helmut; Stix, Helmut; Summer, Martin |