Systemic risk and bank consolidation : international evidence
Year of publication: |
2014
|
---|---|
Authors: | Weiß, Gregor ; Neumann, Sascha ; Bostandzic, Denefa |
Published in: |
Journal of banking & finance. - Amsterdam [u.a.] : Elsevier, ISSN 0378-4266, ZDB-ID 752905-3. - Vol. 40.2014, p. 165-181
|
Subject: | M&A | Banks | Consolidation | Systemic risk | Lower tail dependence | Marginal expected shortfall | Systemrisiko | Bank | Risikomaß | Risk measure | Finanzkrise | Financial crisis | Welt | World | Bankrisiko | Bank risk | Risikomanagement | Risk management |
-
Measuring systemic risk : a comparison of alternative market-based approaches
Kleinow, Jacob, (2017)
-
Systemic risk in financial risk regulation
Cipra, Tomáš, (2017)
-
Dependence between Islamic banks and conventional banks and risk factors
Chakroun, Mohamed Amin, (2021)
- More ...
-
What factors drive systemic risk during international financial crises?
Weiß, Gregor, (2014)
-
What Factors Drive Systemic Risk during International Financial Crises?
Weiß, Gregor, (2014)
-
Systemic Risk and Bank Consolidation : International Evidence
Weiß, Gregor, (2013)
- More ...