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

ISSN: n.a.

Publikationen (sortiert nach Titel in absteigender Richtung): 601 bis 620 von 686
ErscheinungsjahrTitelAutor:innen
2014Did consumers want less debt? Consumer credit demand versus supply in the wake of the 2008-2009 financial crisisGropp, Reint E.; Krainer, John; Laderman, Elizabeth
2014How important are hedge funds in a crisis?Gropp, Reint E.
2014Family status, social security claiming options, and life cycle portfoliosHubener, Andreas; Maurer, Raimond; Mitchell, Olivia S.
2014Making sense of the comprehensive assessmentAcharya, Viral V.; Steffen, Sascha
2014Transcript of a hearing before members of the House of Lords (UK) in Frankfurt on genuine economic and monetary union and its implication for the UKIssing, Otmar; Krahnen, Jan Pieter
2014The single supervisory mechanism - Panacea of quack banking regulation? Preliminary assessment of the evolving regime for the prudential supervision of banks with ECB involvementTröger, Tobias H.
2014Implementing bail-in properlyKrahnen, Jan Pieter
2014Systemic risk in an interconnected banking system with endogenous asset marketsBluhm, Marcel; Krahnen, Jan Pieter
2014Interbank network and bank bailouts: Insurance mechanism for non-insured creditors?Eisert, Tim; Eufinger, Christian
2014Assessing systemic fragility: A probabilistic perspectiveRadev, Deyan
2014AusterityDellas, Harris; Niepelt, Dirk
2014Politically acceptable debt restructuring in the euro zone: Is it really better than the redemption fund?Faia, Ester
2014Exit strategiesAngeloni, Ignazio; Faia, Ester; Winkler, Roland
2014The limits of model-based regulationBehn, Markus; Haselmann, Rainer; Vig, Vikrant
2014Lessons from the implementation of the Volcker Rule for banking structural reform in the European UnionElliott, Douglas J.; Rauch, Christian
2014Securities Transaction Tax in France: Impact on market quality and inter-market price coordinationGomber, Peter; Haferkorn, Martin; Zimmermann, Kai
2014Robustness, validity, and significance of the ECB's asset quality review and stress test exerciseSteffen, Sascha
2014Der makroprudenzielle Komplex: Der Prozess, das Schloss, das UrteilRemsperger, Hermann
2014What do we know about the tax planning of German-based multinational firms?Hebous, Shafik; Weichenrieder, Alfons J.
2014What does US money market mutual fund reform portend for the European Union?Lewis, Craig M.; Schlag, Christian
Publikationen (sortiert nach Titel in absteigender Richtung): 601 bis 620 von 686
Browsen