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Securities holdings statistics-based research publications

Securities holdings statistics-based research publications

External research publications

2018

  • Abbassi, Puriya and Schmidt, Michael (2018): „A comprehensive view on risk reporting: evidence from supervisory data“, Journal of Financial Intermediation, forthcoming.
  • Fecht, Falko; Hackethal, Andreas and Karabulut, Yigitcan (2013): “Is proprietary trading detrimental to retail investors?”, The Journal of Finance, volume 73 (3), pp. 1323-1361.
  • Timmer, Yannick (2018): “Cyclical Investment Behavior Across Financial Institutions”, Journal of Financial Economics, volume 129 (2), pp. 268-286.

2017

  • Abbassi, Puriya; Brownlees, Christian T.; Hans, Christina and Podlich, Natalia (2017): “Credit Risk Interconnectedness: What Does the Market Really Know?”, Journal of Financial Stability, volume 29, pp. 1-12.
  • Herrmann, Leonie (2017): „Mittelstandsanleihen und ihre privaten Investoren“, Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung, volume 69 (3), pp. 245–273.

2016

  • Buch, Claudia M.; Koetter, Michael and Ohls, Jana (2016): „Banks and sovereign risk: a granular view“, Journal of Financial Stability, volume 25, pp. 1-15.
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