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Year of publication
Subject
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Theorie 356 Theory 279 USA 223 Schätzung 214 Estimation 171 Geldpolitik 163 Deutschland 157 United States 143 Germany 140 Welt 126 Monetary policy 122 Börsenkurs 101 World 98 EU-Staaten 96 EU countries 78 Share price 75 Volatilität 74 Monetary Policy 66 Anlageverhalten 65 Portfolio-Management 65 Risk 63 Eurozone 62 Wertpapierhandel 62 Risiko 61 Volatility 61 Financial crisis 60 Euro area 59 Finanzkrise 57 Finanzmarkt 57 Kreditrisiko 57 Capital income 56 Kapitaleinkommen 56 Schock 56 Venture Capital 53 Credit risk 52 Portfolio selection 50 Sparen 50 Behavioural finance 48 Risikokapital 48 Kapitalanlage 47
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Online availability
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Free 2,165
Type of publication
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Book / Working Paper 2,283
Type of publication (narrower categories)
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Working Paper 1,486 Arbeitspapier 772 Graue Literatur 723 Non-commercial literature 723 Systematic review 3 Übersichtsarbeit 3 Advisory report 1 Gutachten 1
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Language
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English 1,704 Undetermined 532 German 47
Author
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Kräussl, Roman 139 Wieland, Volker 113 Krahnen, Jan Pieter 83 Hautsch, Nikolaus 79 Diebold, Francis X. 71 Kilian, Lutz 67 Mitchell, Olivia S. 63 Lusardi, Annamaria 62 Jappelli, Tullio 61 Mittnik, Stefan 59 Brühl, Volker 50 Krueger, Dirk 46 Walz, Uwe 46 Theissen, Erik 43 Pagano, Marco 42 Zaghini, Andrea 41 Adam, Klaus 40 Beck, Günter W. 40 Georgarakos, Dimitris 38 Koulovatianos, Christos 35 Orphanides, Athanasios 33 Laux, Christian 32 Muermann, Alexander 32 Leuz, Christian 29 Christelis, Dimitris 28 Bannier, Christina E. 27 Haas, Markus 27 Padula, Mario 27 Paolella, Marc S. 27 Baumeister, Christiane 26 Carroll, Christopher D. 26 Coenen, Günter 26 Bollerslev, Tim 25 Issing, Otmar 25 Koeniger, Winfried 25 Zechner, Josef 25 Carletti, Elena 24 Haliassos, Michael 22 Weber, Martin 22 Maurer, Raimond 21
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Institution
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Center for Financial Studies 659
Published in...
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CFS Working Paper Series 914 CFS working paper series 828 CFS Working Paper 589 Center for Financial Studies Working Paper 5 CFS WP 2 CFS Working Paper, WP 2 CFS Working Paper 2008/23 1 CFS working paper / Natural Resources Canada, Canadian Forest Service 1 Kelley School of Business Research Paper 1 Technical report / Forest Engineering Research Institute of Canada 1 Working paper 1
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Source
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ECONIS (ZBW) 913 EconStor 714 RePEc 656
Showing 1,391 - 1,400 of 2,283
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The volatility of capital flows to emerging markets and financial services trade
Beck, Roland - 2000
Persistent link: https://www.econbiz.de/10001596240
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Number of bank relationships : an indicator of competition, borrower quality, or just size?
Machauer, Achim; Weber, Martin - 2000
/Martin Weber CFS Working Paper No. 2000/06 Number of Bank Relationships: An Indicator of Competition, Borrower Quality, or …
Persistent link: https://www.econbiz.de/10001596245
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(Partial) privatization social security: the Chilean model : a lesson to follow?
Eisen, Roland - 2000
Persistent link: https://www.econbiz.de/10001596261
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Information production in credit relationships : on the role of internal ratings in commercial banking
Brunner, Antje; Krahnen, Jan Pieter; Weber, Martin - 2000
Persistent link: https://www.econbiz.de/10001596263
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The Euro and international capital markets
Detken, Carsten; Hartmann, Philipp - 2000
Persistent link: https://www.econbiz.de/10001596264
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A real differential view of equilibrium real exchange rates and misalignments
Hoffmann, Mathias; MacDonald, Ronald - 2000
Persistent link: https://www.econbiz.de/10001596267
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Number of bank relationships : an indicator of competition, borrower quality, or just size?
Machauer, Achim; Weber, Martin - 2000
Persistent link: https://www.econbiz.de/10001556737
Saved in:
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Information production in credit relationship : on the role of internal ratings in commercial banking
Brunner, Antje; Pieter, Jan; Weber, Martin - 2000
Persistent link: https://www.econbiz.de/10001556739
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The volatility of capital flows to emerging markets and financial services trade
Beck, Roland - 2000
Persistent link: https://www.econbiz.de/10001556740
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Cover Image
Generally accepted rating principles : a primer
Krahnen, Jan Pieter; Weber, Martin - 2000 - This version: February 14, 2000
Bank internal ratings of corporate clients are intended to quantify the expected likelihood of future borrower defaults. This paper develops a comprehensive framework for evaluating the quality of standard rating systems. We suggest a number of principles that ought to be met by 'good rating...
Persistent link: https://www.econbiz.de/10009767692
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