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Stress testing the Canadian banking system: A system-wide approach Anand K., Bédard-Pagé G., Traclet V.
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Capturing the financial cycle in euro area countries, Special Feature B Hiebert P., Klaus B., Peltonen T., Schüler Y., Welz P.
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The Distribution of Debt Across Euro Area Countries: The Role of Individual Characteristics, Institutions and Credit Conditions Bover O., Casado J.M., Costa S., Du Caju P., McCarthy Y., Sierminska E., Tzamourani P., Villanueva E., Zavadil T.
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A single composite financial stress indicator and ist real impact in the euro area Islami M., Kurz-Kim J.-R.
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Does Non-Interest Income Make Banks More risky? Retail- vs. Investment-Oriented Banks Köhler M.
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Price discovery on traded inflation expectations: Does the financial crisis matter? Schulz A., Stapf J.
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Business Models in Banking – How did they evolve and how do they need to be changed in the post-crisis period? Köhler M.
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Provisionseinkommen: Alternative Einnahmequelle von Retailbanken Köhler M.
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Carry funding and safe haven currencies: a threshold regression approach Hossfeld O., MacDonald R.
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A consistent set of multilateral productivity approach-based indicators of price competitiveness Fischer C., Hossfeld O.
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Dramatische Schrumpfungsprozesse der Parteien? Mitgliederverluste der Parteien und die Konsequenzen Dose N., Fischer A.-K.
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Multinational banks in the crisis: Foreign affiliate lending as a mirror of funding pressure and competition on the internal capital market Frey R., Kerl C.
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Trennbankensystem – ein Weg zu mehr Finanzstabilität in Deutschland? Dombret A., Liebig T., Stein I.
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Perceived Inflation under Loss Aversion Dräger L., Fritsche U., Menz J.-O.
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Financial Constraints and Foreign Direct Investment: Firm-Level Evidence Buch C.M., Kesternich I., Lipponer A., Schnitzer M.
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Are SME Loans Less Risky than Regulatory Capital Requirements Suggest? Düllmann K., Koziol P.
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Cyclical adjustment in fiscal rules: some evidence on real-time bias for EU-15 countries Kempkes G.
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Low Interest Rate Policy and the Use of Reserve Requirements in Emerging Markets Löffler A., Hoffmann A.
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Inflation and Interest Rate Derivatives for FX Risk Management: Implications for Exporting Firms under Real Wealth Koziol P.
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Unemployment and Portfolio choice: Does persistence matters? Kuzin V., Bremus F. M.
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Same as it ever was? Europe's national borders and the market for corporate control Umber M., Grote M., Frey R.
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Existence and Computation of the Aumann-Serrano Index of Riskiness and its Extension Schulze K.
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Reforming the labor market and improving competitiveness: An analysis for Spain using FiMod Schwarzmüller T., Stähler N.
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Quantifying the Impact of Leveraging and Diversification on Systemic Risk Tasca P., Mavrodiev P., Schweitzer F.
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Equilibrium Asset Pricing in Directed Networks Branger N., Konermann P., Meinerding C., Schlag C.
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Kreditinstitute und Stresstests: Regulierung und risikoartenspezifische Umsetzung Grundke P., Pliszka K.
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Micro-based Evidence of EU Competitiveness: the CompNet Database Lopez-Garcia P., di Mauro F. and the CompNet Task Force
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Stellungnahme zum Entwurf eines Gesetzes zur Umsetzung der Richtlinie 2014/59/EU (BRRD-Umsetzungsgesetz) der Bundesregierung vom 22.09.2014 Goetz M.
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Historical Causes of Regional Differences in the Predominance of Cooperative Banks: an Empirical Analysis for Germany Bossler M., Schild C.-J.
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Cohort profile: The lidA study - a German cohort study on work, age, health and work participation Hasselhorn H.M., Peter R., Rauch A., Schröder H., Swart E., Bender S., du Prel J.-B., Ebener M., March S., Trappmann M., Steinwede J., Müller B.H.
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Datenzugang in Deutschland: Der Paradigmenwechsel hat bereits stattgefunden Bender S.
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Privacy, Big Data, and the Public Good: Frameworks for Engagement Lane J., Stodden V., Bender S., Nissenbaum H. (ed.)
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Linking Survey Data with Administrative Social Security Data – the Project “Interactions Between Capabilities in Work and Private Life” Antoni M., Schild C.-J.
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Wirtschaftliche Lage im Freistaat Sachsen – IV. Quartal 2013 Tabellen und Schaubilder
2 MB, PDF