//-->
Die Finanzkrise 2007-2009 : die Krise als nicht intendiertes Resultat unangemessener institutioneller Rahmenbedingungen
Hähnel, Stefan, (2016)
Capital, asset risk and bank failure
Hooks, Linda M., (1994)
A macroprudential framework for monitoring and examining financial soundness
Schou-Zibell, Lotte, (2012)
Modeling the bank regulator's closure option : a two-step logit regression approach
Thomson, James B., (1992)
A market-based approach to reforming bank regulation and federal deposit insurance
The use of market information in pricing deposit insurance
Thomson, James B., (1987)