Publikationen von Forscherinnen und Forschern des Leibniz-Instituts für Finanzmarktforschung SAFE

ISSN: n.a.

Publikationen (sortiert nach Titel in absteigender Richtung): 381 bis 400 von 686
ErscheinungsjahrTitelAutor:innen
2018Passt das deutsche Dreisäulensystem in eine zunehmend harmonisierte Bankenstruktur für Europa?Schmidt, Reinhard H.
2018Liquidity provider incentives in fragmented securities marketsClapham, Benjamin; Gomber, Peter; Lausen, Jens; Panz, Sven
2018A new governance architecture for European financial markets? Towards a European supervision of CCPsFriedrich, Jan; Thiemann, Matthias
2018Stabiles Geld - eine Illusion? Alternative Währungssysteme - Hayeks Fundamentalkritik - Unabhängigkeit der NotenbankenIssing, Otmar
2018Measuring time inconsistency using financial transaction dataGill, Andrej; Hett, Florian; Tischer, Johannes
2018Wie viel Rente wirst du bekommen? Pilotstudie zur Einführung einer Renteninformationsplattform in DeutschlandHackethal, Andreas; Bucher-Koenen, Tabea; Kasinger, Johannes; Laudenbach, Christine
2018How demanding and consistent is the 2018 stress test design in comparison to previous exercises? Banking union scrutinyHaselmann, Rainer; Wahrenburg, Mark
2018Über Scheinriesen: Was TARGET-Salden tatsächlich bedeuten. Eine finanzökonomische ÜberprüfungKrahnen, Jan Pieter
2017Karlsruhe refers the QE case to Luxembourg: Summer of loveGoldmann, Matthias
2017Remarks on the German Regulation of CrowdfundingTröger, Tobias H.
2017Systemic risk for financial institutions of major petroleum-based economies: The role of oilKhalifa, Ahmed; Caporin, Massimiliano; Costola, Michele; Hammoudeh, Shawkat
2017Taking bail-in seriously: The looming risks for banking policy in the rescue of Monte Paschi di SienaGötz, Martin; Krahnen, Jan Pieter; Tröger, Tobias
2017Women form social networks more selectively and less opportunistically than menFriebel, Guido; Lalanne, Marie; Richter, Bernard; Schwardmann, Peter; Seabright, Paul
2017The impact of network connectivity on factor exposures, asset pricing and portfolio diversificationBillio, Monica; Caporin, Massimiliano; Panzica, Roberto Calogero; Pelizzon, Loriana
2017Growth options and firm valuationKraft, Holger; Schwartz, Eduardo S.; Weiss, Farina
2017Too complex to work: A critical assessment of the bail-in tool under the European bank recovery and resolution regimeTröger, Tobias H.
2017Heterogeneity in the Internationalization of R&D: Implications for anomalies in finance and macroeconomicsGrüning, Patrick
2017Financial resilience revisited: Why consistency in regulation is now paramount - across sectors and regions, and over timeAllen, Franklin; Krahnen, Jan Pieter; Rey, Hélène
2017Regulation of crowdfunding in GermanyTröger, Tobias
2017Whatever it takes: The real effects of unconventional monetary policyAcharya, Viral; Eisert, Tim; Eufinger, Christian; Hirsch, Christian
Publikationen (sortiert nach Titel in absteigender Richtung): 381 bis 400 von 686
Browsen