EconStor >

Search Results

 
for  

Results 81-90 of 1537.


Item hits:

DateTitle Authors
2014 Financial stress, regime switching and macrodynamics: Theory and empirics for the US, the EU and non-EU countriesSemmler, Willi / Chen, Pu
2010 When do we have borrower or credit volume rationing in competitive credit market with imperfect information?Kraus, Daniel
2002 Will an optimal deposit insurance always increase financial stability?Drehmann, Mathias
2002 Pro-Cyclicality, Empirical Credit Cycles, and Capital Buffer FormationKoopman, Siem Jan / Lucas, André / Klaassen, Pieter
2003 Systemic Risk : Simulating Local Shocks To A Global SystemGould, Scot A. C. / Naftilan, Stephen A. / Khoury, Sarkis J.
2004 Why do banks hold capital in excess of regulatory requirements? : A functional approachDietrich, Diemo / Vollmer, Uwe
2007 Stale information, shocks and volatilityGropp, Reint / Kadareja, Arjan
2002 The threat of systemic risk in banking: Evidence for EuropeSchüler, Martin
2009 Does IT standardization help to boost cost and profit efficiency? Empirical evidence from German savings banksNoth, Felix / Slotty, Constantin / Hackethal, Andreas
2003 Business and Default Cycles for Credit RiskKoopman, Siem Jan / Lucas, André

Back 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 Next