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Gropp, Reint
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Ostdeutschland 30 Jahre nach dem Mauerfall : erreichtes und wirtschaftspolitischer Handlungsbedarf
Gropp, Reint
;
Heimpold, Gerhard
- In:
Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik
99
(
2019
)
7
,
pp. 471-476
Dass Ostdeutschland bei der Verringerung der Ost-West-Produktivitätslücke nur noch wenig vorankommt, hat nicht nur mit fehlenden Konzernzentralen zu tun. Eine Produktivitätslücke existiert in Betrieben aller Größen. Sie ist im städtischen Raum größer als im ländlichen. Der...
Persistent link: https://www.econbiz.de/10012120685
Saved in:
2
The cleansing effect of banking crises
Gropp, Reint
;
Rocholl, Jörg
;
Saadi, Vahid
- In:
Essays in empirical banking
,
(pp. 114-157)
.
2017
growth
after the crisis with more firm entries, job creation, and employment, wages, patents, and output
growth
. Supervisory …
Persistent link: https://www.econbiz.de/10012268095
Saved in:
3
Measurement of contagion in banks' equity prices
Gropp, Reint
;
Moerman, Gerard
-
2003
This paper uses the co-incidence of extreme shocks to banksu0092 risk to examine within country and across country contagion among large EU banks. Banksu0092 risk is measured by the first difference of weekly distances to default and abnormal returns. Using Monte Carlo simulations, the paper...
Persistent link: https://www.econbiz.de/10009636520
Saved in:
4
Deposit insurance, moral hazard and market monitoring
Gropp, Reint
;
Vesala, Jukka
-
2004
The paper analyses the relationship between deposit insurance, debt-holder monitoring, and risk taking. In a stylised banking model we show that deposit insurance may reduce moral hazard, if deposit insurance credibly leaves out non-deposit creditors. Testing the model using EU bank level data...
Persistent link: https://www.econbiz.de/10009636525
Saved in:
5
The impact of public guarantees on bank risk taking
Gropp, Reint
;
Gruendl, Christian
;
Guettler, Andre
-
2010
In 2001, government guarantees for savings banks in Germany were removed following a law suit. We use this natural experiment to examine the effect of government guarantees on bank risk taking, using a large data set of matched bank/borrower information. The results suggest that banks whose...
Persistent link: https://www.econbiz.de/10009640419
Saved in:
6
The determinants of bank capital structure
Gropp, Reint
;
Heider, Florian
-
2009
The paper shows that mispriced deposit insurance and capital regulation were of second order importance in determining the capital structure of large U.S. and European banks during 1991 to 2004. Instead, standard cross-sectional determinants of non-financial firms’ leverage carry over to...
Persistent link: https://www.econbiz.de/10009640517
Saved in:
7
The Internal Organization of Banks and the Transmission of Lending Shocks Across Borders
Radev, Deyan
;
Gropp, Reint
-
Verein für Socialpolitik - VfS
-
2014
The internal organization of global banks potentially plays a vital role in the transmission of shocks both within and across borders. The analysis of this transmission is of importance for regulators and policy makers. In this paper, we investigate how solvency and wholesale funding shocks to...
Persistent link: https://www.econbiz.de/10011164189
Saved in:
8
The Ex-Ante Versus Ex-Post Effect of Public Guarantees
Damar, H. Evren
;
Gropp, Reint
;
Mordel, Adi
-
Bank of Canada
-
2012
In October 2006, Dominion Bond Rating Service (DBRS) introduced new ratings for banks that account for the potential of government support. The rating changes are not a reflection of any changes in the respective banks’ credit fundamentals. We use this natural experiment to evaluate the...
Persistent link: https://www.econbiz.de/10010559813
Saved in:
9
Hidden gems and borrowers with dirty little secrets: Investment in soft information, borrower self-selection and competition
Gropp, Reint
;
Gruendl, Christian
;
Guettler, Andre
-
Research Center SAFE (Sustainable Architecture for …
-
2013
This paper empirically examines the role of soft information in the competitive interaction between relationship and transaction banks. Soft information can be interpreted as a private signal about the quality of a firm that is observable to a relationship bank, but not to a transaction bank. We...
Persistent link: https://www.econbiz.de/10010955121
Saved in:
10
Bank's financial distress, lending supply and consumption expenditure
Damar, H. Evren
;
Gropp, Reint
;
Mordel, Adi
-
Research Center SAFE (Sustainable Architecture for …
-
2013
The paper employs a unique identification strategy that links survey data on household consumption expenditure to bank level data in order to estimate the effects of bank financial distress on consumer credit and consumption expenditures. Specifically, we show that households whose banks were...
Persistent link: https://www.econbiz.de/10010955127
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