Browsing All of EconStor by Author Schuermann, Til


Showing results 1 to 13 of 13
Year of PublicationTitleAuthor(s)
1997Businessmen's Expectations Are Neither Rational nor AdaptiveNerlove, Marc; Schuermann, Til
2003Macroeconomic Dynamics and Credit Risk: A Global PerspectiveSchuermann, Til; Treutler, Björn-Jakob; Weiner, Scott M.; Pesaran, M. Hashem
2004Estimating probabilities of defaultSchuermann, Til; Hanson, Samuel Gregory
2004A general approach to integrated risk management with skewed, fat-tailed risksRosenberg, Joshua V.; Schuermann, Til
2005Firm heterogeneity and credit risk diversificationHanson, Samuel; Pesaran, Mohammad Hashem; Schuermann, Til
2005Global business cycles and credit riskPesaran, Mohammad Hashem; Schuermann, Til; Treutler, Björn-Jakob
2006Visible and hidden risk factors for banksSchuermann, Til; Stiroh, Kevin J.
2007Hedge funds, financial intermediation, and systemic riskKambhu, John; Schuermann, Til; Stiroh, Kevin J.
2008Understanding the securitization of subprime mortgage creditAshcraft, Adam B.; Schuermann, Til
2008Forecasting economic and financial variables with global VARsPesaran, Mohammad Hashem; Schuermann, Til; Smith, L. Vanessa
2008Forecasting economic and financial variables with global VARsPesaran, M. Hashem; Schuermann, Til; Smith, L. Vanessa
2009Macroprudential supervision of financial institutions: Lessons from the SCAPHirtle, Beverly; Schuermann, Til; Stiroh, Kevin
2011Robust capital regulationAcharya, Viral; Mehran, Hamid; Schuermann, Til; Thakor, Anjan