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Year of publication
Subject
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Systemic risk 2 Systemrisiko 2 Bailout 1 Bond market 1 Capital income 1 Cash management 1 Cash-Management 1 Commercial real estate 1 Competitive advantage 1 Corporate bond 1 Cost of capital 1 Debt financing 1 Denmark 1 Deposit insurance 1 Dänemark 1 Eigenkapital 1 Einlagensicherung 1 Equity capital 1 Financial crisis 1 Finanzkrise 1 Fremdkapital 1 Gewerbeimmobilien 1 Großbank 1 Immobilienfonds 1 Industrialized countries 1 Industrieländer 1 Institutional investor 1 Institutioneller Investor 1 Kapitaleinkommen 1 Kapitalkosten 1 Large bank 1 Liquidity 1 Liquidität 1 Measurement 1 Messung 1 Personal banking 1 Privatkundengeschäft 1 Real estate fund 1 Rentenmarkt 1 Risiko 1
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Online availability
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Free 4
Type of publication
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Book / Working Paper 4
Language
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English 4
Author
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Etula, Erkko M. 1 Iyer, Rajkamal 1 Jensen, Thais 1 Johannesen, Niels 1 Rinne, Kalle 1 Sagi, Jacob Shimon 1 Schestag, Raphael 1 Schuster, Philipp 1 Sheridan, Adam 1 Suominen, Matti 1 Uhrig-Homburg, Marliese 1 Vaittinen, Lauri 1
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Forthcoming in The Review of Financial Studies 3 FORTHCOMING IN THE REVIEW OF FINANCIAL STUDIES 1
Source
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ECONIS (ZBW) 4
Showing 1 - 4 of 4
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Asset-Level Risk and Return in Real Estate Investments
Sagi, Jacob Shimon - 2020
In stark contrast with liquid asset returns, I find that commercial real estate idiosyncratic return means and variances do not scale with the holding period, even after accounting for all cash flow relevant events. This puzzling phenomenon survives controlling for vintage effects, systematic...
Persistent link: https://www.econbiz.de/10012856255
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The Distortive Effects of Too Big To Fail : Evidence from the Danish Market for Retail Deposits
Iyer, Rajkamal - 2019
We study the impact of too big to fail (TBTF) guarantees on bank competition for retail deposits. Exploiting information about all personal deposit accounts in Denmark and salient changes to the deposit insurance limit, we provide evidence that systemically important banks successfully retain...
Persistent link: https://www.econbiz.de/10012903335
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Dash for Cash : Monthly Market Impact of Institutional Liquidity Needs
Etula, Erkko M. - 2019
We present broad-based evidence that the monthly payment cycle induces systematic patterns in liquid markets around the globe. First, we document temporary increases in the costs of debt and equity capital that coincide with key dates associated with month-end cash needs. Second, we present...
Persistent link: https://www.econbiz.de/10012904617
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Measuring Liquidity in Bond Markets
Schestag, Raphael - 2019
In the literature, there is no consensus on a common approach to measure bond liquidity. This paper is the first to comprehensively compare all commonly employed liquidity measures based on intraday and daily data for the U.S. corporate bond market. We find that high-frequency measures based on...
Persistent link: https://www.econbiz.de/10012905204
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