Suche im EconStor Index

Filter hinzufügen:

Benutzen Sie Filter um Ihre Ergebnisse zu verfeinern.


Ergebnisse 111-120 von 146.
ErscheinungsjahrTitelAutor:innen
2016Double bank runs and liquidity risk managementIppolito, Filippo; Peydró, José-Luis; Polo, Andrea; Sette, Enrico
2021Financial crises, macroprudential policy and the reliability of credit-to-GDP gapsAlessandri, Piergiorgio; Bologna, Pierluigi; Galardo, Maddalena
2021Measuring the impact of a bank failure on the real economy: An EU-wide analytical frameworkVacca, Valerio Paolo; Bichlmeier, Fabian; Biraschi, Paolo; Boschi, Natalie; Álvarez, Antonio J. Bravo; Di Primio, Luciano; Ebner, André; Hoeretzeder, Silvia; Ballesteros, Elisa Llorente; Miani, Claudia; Ricci, Giacomo; Santioni, Raffaele; Schellerer, Stefan; Westman, Hanna
2018Regulating the doom loopAlogoskoufis, Spyros; Langfield, Sam
2016ESBies: Safety in the tranchesBrunnermeier, Markus K.; Langfield, Sam; Pagano, Marco; Reis, Ricardo; Nieuwerburgh, Stijn Van; Vayanos, Dimitri
2019Rethinking capital regulation: The case for a dividend prudential targetMuñoz, Manuel
2016Financial intermediation, resource allocation, and macroeconomic interdependenceOzhan, Galip Kemal
2016Assessing the costs and benefits of capital-based macroprudential policyBehn, Markus; Groß, Marco; Peltonen, Tuomas
2018Short-selling bans and bank stabilityBeber, Alessandro; Fabbri, Daniela; Pagano, Marco; Simonelli, Saverio
2017Mapping the interconnectedness between EU banks and shadow banking entitiesAbad, Jorge; D'Errico, Marco; Killeen, Neill; Luz, Vera; Peltonen, Tuomas A.; Portes, Richard; Urbano, Teresa