CFS Working Paper Series, Universität Frankfurt a. M.

Collection's Items (Sorted by Title in Descending order): 1 to 20 of 539
Year of PublicationTitleAuthor(s)
2016 Die Kosten der Flüchtlingskrise in Deutschland - eine Investition in die Zukunft? Ein 5-Punkte-Programm könnte dazu beitragenBrühl, Volker
2016 Sovereign risk, bank funding and investors' pessimismFaia, Ester
2016 Why do investors buy sovereign default insurance?Augustin, Patrick; Sokolovski, Valeri; Subrahmanyam, Marti G.
2016 How do insiders trade?Augustin, Patrick; Brenner, Menachem; Grass, Gunnar; Subrahmanyam, Marti G.
2016 Bank exposures and sovereign stress transmissionAltavilla, Carlo; Pagano, Marco; Simonelli, Saverio
2016 How to define a Systemically Important Financial Institution (SIFI): A new perspectiveBrühl, Volker
2016 ESBies: Safety in the tranchesBrunnermeier, Markus Konrad; Langfield, Sam; Pagano, Marco; Reis, Ricardo; van Nieuwerburgh, Stijn; Vayanos, Dimitri
2016 Prestige and loan pricingMuermann, Alexander; Rauter, Thomas
2016 Who gains from credit granted between firms? Evidence from inter-corporate loan announcements made in ChinaHe, Qing; Lu, Liping; Ongena, Steven
2016 Fragmentation and heterogeneity in the euro-area corporate bond market: Back to normal?Zaghini, Andrea
2016 Actual and perceived financial sophistication and wealth accumulation: The role of education and genderBannier, Christina E.; Neubert, Milena
2016 Asymmetric information in automobile insurance: Evidence from driving behaviorKremslehner, Daniela; Muermann, Alexander
2016 Why does idiosyncratic risk increase with market risk?Bartram, Söhnke M.; Brown, Gregory W.; Stulz, René M.
2016 Size and welfare costs of price differences across European countriesRühl, Christian
2016 Prices and consumer purchasing preferences at the border: Evidence from a multi-country household scanner data setBeck, Günter W.; Kotz, Hans-Helmut; Zabelina, Natalia
2016 The supply of 'safe' assets and fiscal policySchuknecht, Ludger
2016 Microeconometric evidence on demand-side real rigidity and implications for monetary non-neutralityBeck, Günter W.; Lein-Rupprecht, Sarah M.
2016 Sovereign reputation and yield spreads: A case study on retroactive legislationRandl, Otto; Zechner, Josef
2016 Risk control in asset management: Motives and conceptsDangl, Thomas; Randl, Otto; Zechner, Josef
2015 Forty years of oil price fluctuations: Why the price of oil may still surprise usBaumeister, Christiane; Kilian, Lutz
Collection's Items (Sorted by Title in Descending order): 1 to 20 of 539
Also listed in RePEc / EconPapers