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~person:"Pfingsten, Andreas"
~person:"Westermann, Frank"
~subject:"Finanzmarktregulierung"
~subject:"Schätzung"
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Finanzmarktregulierung
Schätzung
Deutschland
44
Bank
43
Germany
41
Kreditmarkt
39
Credit market
37
Estimation
36
Wirtschaftswachstum
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Pfingsten, Andreas
Westermann, Frank
Buch, Claudia M.
69
Levine, Ross
47
Peydró, José-Luis
40
Belke, Ansgar
35
Ongena, Steven
33
Caporale, Guglielmo Maria
32
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31
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31
Laeven, Luc
29
Gambacorta, Leonardo
28
Cockx, Bart
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Kim, Don H.
27
Hofmann, Boris
26
Acharya, Viral V.
25
Hülsewig, Oliver
25
Morrissey, Oliver
25
Koetter, Michael
24
Koopman, Siem Jan
24
Memmel, Christoph
24
Tornell, Aaron
24
Degryse, Hans
23
Hasan, Iftekhar
23
Rudebusch, Glenn D.
23
Härdle, Wolfgang
22
Wollmershäuser, Timo
22
Gerlach, Stefan
21
Krippner, Leo
20
Pesaran, M. Hashem
20
Schrimpf, Andreas
20
Afonso, António
19
Bekaert, Geert
19
Düllmann, Klaus
19
Haan, Jakob de
19
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18
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ECONIS (ZBW)
45
EconStor
3
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1
Do Specialization Benefits Outweigh Concentration Risks in
Credit
Portfolios of German Banks?
Böve, Rolf
-
2016
) abilities and on the sectoral concentration risk of a
credit
portfolio. In this paper, we examine in the first part if … cooperative banks. In the second part we measure the overall effect of better monitoring and the associated higher sectoral
credit
… concentrations on the
credit
risk of the portfolio. Our empirical results suggest that specialization benefits overcompensate the …
Persistent link: https://www.econbiz.de/10012989241
Saved in:
2
Banks' specialization versus diversification in the loan portfolio : new evidence from Germany
Jahn, Nadya
;
Memmel, Christoph
;
Pfingsten, Andreas
- In:
Schmalenbach business review : sbr
17
(
2016
)
1
,
pp. 25-48
Persistent link: https://www.econbiz.de/10011634070
Saved in:
3
Do specialization benefits outweigh concentration risks in
credit
portfolios of German banks?
Böve, Rolf
;
Düllmann, Klaus
;
Pfingsten, Andreas
-
2010
) abilities and on the sectoral concentration risk of a
credit
portfolio. In this paper, we examine in the first part if … cooperative banks. In the second part we measure the overall effect of better monitoring and the associated higher sectoral
credit
… concentrations on the
credit
risk of the portfolio. Our empirical results suggest that specialization benefits overcompensate the …
Persistent link: https://www.econbiz.de/10008701994
Saved in:
4
Diversification and the Banks' Risk-Return-Characteristics : Evidence from Loan Portfolios of German Banks
Behr, Andreas
-
2016
Banks face a tradeoff between diversifying and focusing their loan portfolio. In this paper we carry out an empirical study for the German market to shed light on the question whether or not the benefits of risk sharing outweigh those of specialization. We use data from the Bundesbank's...
Persistent link: https://www.econbiz.de/10012989297
Saved in:
5
Systemic Crises and Growth
Rancière, Romain G.
;
Tornell, Aaron
;
Westermann, Frank
-
2022
, grown faster than countries with stable financial conditions. We measure the incidence of crisis with the skewness of
credit
…
Persistent link: https://www.econbiz.de/10013324629
Saved in:
6
Banks' concentration versus diversification in the loan portfolio : new evidence from Germany
Jahn, Nadya
;
Memmel, Christoph
;
Pfingsten, Andreas
-
2013
-offs and write-downs, we examine the impact of loan portfolio sector concentration on
credit
risk. By controlling for common …
Persistent link: https://www.econbiz.de/10010233376
Saved in:
7
Systemic Crises and Growth
Rancière, Romain G.
;
Tornell, Aaron
;
Westermann, Frank
-
2021
, grown faster than countries with stable financial conditions. We measure the incidence of crisis with the skewness of
credit
…
Persistent link: https://www.econbiz.de/10013318563
Saved in:
8
Banks' Concentration Versus Diversification in the Loan Portfolio : New Evidence from Germany
Jahn, Nadya
-
2016
-offs and write-downs, we examine the impact of loan portfolio sector concentration on
credit
risk. By controlling for common …
Persistent link: https://www.econbiz.de/10012988758
Saved in:
9
Are Banks Using Hidden Reserves to Beat Earnings Benchmarks? Evidence from Germany
Bornemann, Sven
-
2016
Section 340f of the German Commercial Code allows banks to provision against the special risks inherent to the banking business by building hidden reserves. Beyond risk provisioning, these reserves are implicitly accepted as an earnings management device. By analyzing financial statements of...
Persistent link: https://www.econbiz.de/10012989239
Saved in:
10
Determinants for Using Visible Reserves in German Banks : An Empirical Study
Bornemann, Sven
-
2016
The German Commercial Code (HGB) allows banks to build visible reserves for general banking risks according to section 340g HGB. These GBR reserves may, in addition to their risk provisioning function, be used to enhance capital endowment, for internal financing, signaling or earnings management...
Persistent link: https://www.econbiz.de/10012989254
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