Browsing All of EconStor by Author Ohls, Jana
Showing results 1 to 8 of 8
Year of Publication | Title | Author(s) |
2013 | Banks and sovereign risk: A granular view | Buch, Claudia M.; Koetter, Michael; Ohls, Jana |
2015 | Banks and Sovereign Risk: A Granular View | Buch, Claudia M.; Koetter, Michael; Ohls, Jana |
2015 | On the exposure of insurance companies to sovereign risk: Portfolio investments and market forces | Düll, Robert; König, Felix; Ohls, Jana |
2016 | International banking and cross-border effects of regulation: Lessons from Germany | Ohls, Jana; Pramor, Marcus; Tonzer, Lena |
2017 | Moral suasion in regional government bond markets | Ohls, Jana |
2021 | Sensitivitätsanalyse klimabezogener Transitionsrisiken des deutschen Finanzsektors | Schober, Dominik; Etzel, Tobias; Falter, Alexander; Frankovic, Ivan; Gross, Christian; Kablau, Anke; Lauscher, Pierre; Ohls, Jana; Strobel, Lena; Wilke, Hannes |
2021 | Sensitivity analysis of climate-related transition risks in the German financial sector | Schober, Dominik; Etzel, Tobias; Falter, Alexander; Frankovic, Ivan; Gross, Christian; Kablau, Anke; Lauscher, Pierre; Ohls, Jana; Strobel, Lena; Wilke, Hannes |
2023 | Climate transition risk stress test for the German financial system | Frankovic, Ivan; Etzel, Tobias; Falter, Alexander; Gross, Christian; Ohls, Jana; Strobel, Lena; Wilke, Hannes |