EconStor >
Deutsche Bundesbank, Forschungszentrum, Frankfurt am Main >

Discussion Paper Series 2: Banking and Financial Studies, Deutsche Bundesbank

Collection home page

or browse     

Ordering With Most Recent First Show Oldest First

Showing items 21-41 of 120.

Previous page Next page
DateTitle Authors
2010 Are banks using hidden reserves to beat earnings benchmarks? Evidence from GermanyBornemann, Sven / Kick, Thomas / Memmel, Christoph / Pfingsten, Andreas
2010 Interbank tiering and money center banksCraig, Ben R. / von Peter, Goetz
2010 Do specialization benefits outweigh concentration risks in credit portfolios of German banks?Böve, Rolf / Düllmann, Klaus / Pfingsten, Andreas
2010 Do banks benefit from internationalization? Revisiting the market power-risk nexusBuch, Claudia M. / Koch, Cathérine Tahmee / Koetter, Michael
2010 Completeness, interconnectedness and distribution of interbank exposures: A parameterized analysis of the stability of financial networksSachs, Angelika
2010 Banks' exposure to interest rate risk, their earnings from term transformation, and the dynamics of the term structureMemmel, Christoph
2010 Performance and regulatory effects of non-compliant loans in German synthetic mortgage-backed securities transactionsTrinkaus, Gaby
2010 Bank liquidity creation and risk taking during distressBerger, Allen N. / Bouwman, Christa H. S. / Kick, Thomas / Schaeck, Klaus
2010 What drives portfolio investments of German banks in emerging capital markets?Wildmann, Christian
2010 Purchase and redemption decisions of mutual fund investors and the role of fund familiesJank, Stephan / Wedow, Michael
2010 Deriving the term structure of banking crisis risk with a compound option approach: The case of KazakhstanEichler, Stefan / Karmann, Alexander / Maltritz, Dominik
2010 Recovery determinants of distressed banks: Regulators, market discipline, or the environment?Kick, Thomas / Koetter, Michael / Poghosyan, Tigran
2009 Systematic risk of CDOs and CDO arbitrageHamerle, Alfred / Liebig, Thilo / Schropp, Hans-Jochen
2009 What macroeconomic shocks affect the German banking system? Analysis in an integrated micro-macro modelBlank, Sven / Dovern, Jonas
2009 The dependency of the banks' assets and liabilities: evidence from GermanyMemmel, Christoph / Schertler, Andrea
2009 Margins of international banking: is there a productivity pecking order in banking, too?Buch, Claudia M. / Koch, Cathérine Tahmee / Koetter, Michael
2009 Determinants for using visible reserves in German banks: an empirical studyBornemann, Sven / Homölle, Susanne / Hubensack, Carsten / Kick, Thomas / Pfingsten, Andreas
2009 The dark and the bright side of liquidity risks: evidence from open-end real estate funds in GermanyFecht, Falko / Wedow, Michael
2009 Income diversification in the German banking industryBusch, Ramona / Kick, Thomas
2009 Financial market´s appetite for risk: and the challenge of assessing its evolution by risk appetite indicatorsUhlenbrock, Birgit
2009 Time dynamic and hierarchical dependence modelling of an aggregated portfolio of trading books: a multivariate nonparametric approachGaisser, Sandra / Memmel, Christoph / Schmidt, Rafael / Wehn, Carsten
Previous page Next page