SAFE Policy White Papers, Leibniz-Institut für Finanzmarktforschung SAFE

ISSN: n.a.

Publikationen (sortiert nach Titel in absteigender Richtung): 21 bis 40 von 114
ErscheinungsjahrTitelAutor:innen
2023Mind the gap?! The current state of biodiversity reportingvon Zedlitz, Gerrit
2023KI in der Leitungsentscheidung des Vorstands der AktiengesellschaftLangenbucher, Katja
2023Do "white knights" make excessive profits in bank resolution?Heider, Florian; Schlegel, Jonas; Tröger, Tobias; Wahrenburg, Mark
2023Quo vadis sustainable funds? Sustainability and taxonomy-aligned disclosure in Germany under the SFDRBadenhoop, Nikolai; Hackmann, Angelina; Mücke, Christian; Pelizzon, Loriana
2022Institutional protection schemes: What are their differences, strengths, weaknesses, and track records?Haselmann, Rainer; Krahnen, Jan Pieter; Tröger, Tobias; Wahrenburg, Mark
2022Is there a "retail challenge" to banks' resolvability? What do we know about the holders of bail-inable securities in the Banking Union?Farina, Tatiana; Krahnen, Jan Pieter; Mecatti, Irene; Pelizzon, Loriana; Schlegel, Jonas; Tröger, Tobias
2022The weaponization of global payment infrastructures: A strategic dilemmaNölke, Andreas
2022Die Generationenrente ab Geburt: Vorschlag für eine Altersarmut vermeidende ergänzende kapitalgedeckte AlterssicherungMaurer, Raimond; Schwintowski, Hans-Peter
2022Completing the banking union: Economic requirements and legal conditionsBeck, Thorsten; Krahnen, Jan Pieter; Martin, Philippe J.; Mayer, Franz C.; Pisani-Ferry, Jean; Tröger, Tobias; Weder, Beatrice; Véron, Nicolas; Zettelmeyer, Jeromin
2022Monitoring complex financial instruments in banks' balance sheetsBischof, Jannis; Haselmann, Rainer; Tröger, Tobias
2021Captured by financial institutions? New academic insights for EU policy makersMosk, Thomas
2021BaFin (in)dependence - a reform proposalKaufhold, Ann-Katrin; Langenbucher, Katja; Blank, Patrick; Krahnen, Jan Pieter
2021What are the main differences between the practice of supervising large banks in the UK and in the euro area, and what are the main risks of regulatory divergence?Haselmann, Rainer; Tröger, Tobias
2021When and how to unwind COVID-support measures to the banking system?Haselmann, Rainer; Tröger, Tobias
2021KI in der Finanzbranche: Im Spannungsfeld zwischen technologischer Innovation und regulatorischer AnforderungBauer, Kevin; Hinz, Oliver; Weber, Patrick
2021Reset required: The euro area crisis management and deposit insurance frameworkHuertas, Thomas F.
2021Non-performing loans - new risks and policies? NPL resolution after COVID-19: Main differences to previous crisesKasinger, Johannes; Krahnen, Jan Pieter; Ongena, Steven; Pelizzon, Loriana; Schmeling, Maik; Wahrenburg, Mark
2021A primer on green finance: From wishful thinking to marginal impactKrahnen, Jan Pieter; Rocholl, Jörg; Thum, Marcel
2021Corona and banking: A financial crisis in slow motion? An evaluation of the policy optionsBoot, Arnoud W. A.; Carletti, Elena; Kotz, Hans-Helmut; Krahnen, Jan Pieter; Pelizzon, Loriana; Subrahmanyam, Marti G.
2020EMU reform proposals and their (non) implementation: An overviewEckert, Sandra; Lindner, Vincent; Nölke, Andreas
Publikationen (sortiert nach Titel in absteigender Richtung): 21 bis 40 von 114
Browsen
RePEc
Auch gelistet in RePEc / EconPapers