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How do banks adjust their capital ratios? Evidence from Germany Discussion paper 06/2007: Christoph Memmel, Peter Raupach
307 KB, PDF
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Diversification and the banks’ risk-return-characteristics – evidence from loan portfolios of German banks Discussion paper 05/2007: Andreas Behr, Andreas Kamp, Christoph Memmel, Andreas Pfingsten
333 KB, PDF
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Slippery slopes of stress: ordered failure events in German banking Discussion paper 03/2007: Thomas Kick, Michael Koetter
804 KB, PDF
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Efficient, profitable and safe banking: an oxymoron? Evidence from a panel VAR approach Discussion paper 02/2007: Michael Koetter, Daniel Porath
501 KB, PDF
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Granularity adjustment for Basel II Discussion paper 01/2007: Michael B. Gordy, Eva Lütkebohmert
329 KB, PDF
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Sector concentration in loan portfolios and economic capital Discussion paper 09/2006: Klaus Düllmann, Nancy Masschelein
377 KB, PDF
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The cost efficiency of German banks: a comparison of SFA and DEA Discussion paper 10/2006: Elisabetta Fiorentino, Alexander Karmann, Michael Koetter
559 KB, PDF
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The stability of efficiency rankings when risk-preferences and objectives are different Discussion paper 08/2006: Michael Koetter
599 KB, PDF
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Banks´ regulatory buffers, liquidity networks and monetary policy transmission Discussion paper 06/2006: Christian Merkl, Stéphanie Marie Stolz
179 KB, PDF
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Does diversification improve the performance of German banks? Evidence from individual bank loan portfolios Discussion paper 05/2006: Evelyn Hayden, Daniel Porath, Natalja von Westernhagen
382 KB, PDF