Browsing All of EconStor by Author Kaldorf, Matthias


Showing results 1 to 13 of 13
Year of PublicationTitleAuthor(s)
2021Risky financial collateral, firm heterogeneity, and the impact of eligibility requirementsKaldorf, Matthias; Wicknig, Florian
2021Risky Financial Collateral, Firm Heterogeneity, and the Impact of Eligibility RequirementsKaldorf, Matthias; Wicknig, Florian
2021How do central bank collateral frameworks affect non-financial firms?Kaldorf, Matthias; Wicknig, Florian
2021The preferential treatment of green bondsGiovanardi, Francesco; Kaldorf, Matthias; Radke, Lucas; Wicknig, Florian
2022Real effects of financial market integration: Evidence from an ECB collateral framework changeHüttl, Pia; Kaldorf, Matthias
2022The preferential treatment of green bondsGiovanardi, Francesco; Kaldorf, Matthias; Radke, Lucas; Wicknig, Florian
2022Geldpolitik und KlimawandelKaldorf, Matthias; Krause, Michael; Radke, Lucas; Wicknig, Florian
2023Convenient but risky government bondsKaldorf, Matthias; Röttger, Joost
2023Real effects of financial market integration: Evidence from an ECB collateral framework changeHüttl, Pia; Kaldorf, Matthias
2024The transmission of bank liquidity shocks: Evidence from the Eurosystem collateral frameworkHüttl, Pia; Kaldorf, Matthias
2024Climate change and the macroeconomics of bank capital regulationGiovanardi, Francesco; Kaldorf, Matthias
2024Climate Minsky Moments and endogenous financial crisesKaldorf, Matthias; Rottner, Matthias
2024Do firm credit constraints impair climate policy?Kaldorf, Matthias; Shi, Mengjie