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Year of publication
Subject
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Bank 13 USA 13 United States 13 Theorie 9 Theory 9 Bank regulation 5 Bank risk 5 Bankenregulierung 5 Bankrisiko 5 Financial sector 5 Financial system 5 Finanzsektor 5 Finanzsystem 5 Basel Accord 4 Basler Akkord 4 Business start-up 4 Derivat 4 Derivative 4 Economic growth 4 Financial literacy 4 Finanzwissen 4 Insolvency 4 Insolvenz 4 Private Verschuldung 4 Private debt 4 Savings 4 Sparen 4 Unternehmensgründung 4 Wirtschaftswachstum 4 Altersvorsorge 3 Börsenkurs 3 Consumer behaviour 3 Consumer credit 3 Corporate finance 3 Credit card 3 Credit risk 3 Deposit insurance 3 Developing countries 3 Einlagensicherung 3 Entwicklungsländer 3
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Online availability
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Free 91
Type of publication
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Book / Working Paper 92
Language
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English 69 Undetermined 23
Author
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Hassan, M. Kabir 25 Tatom, John 9 Hippler, William 7 Guttman, Joel M. 4 Houston, Reza 4 Khasawneh, Ahmad Y. 4 Unsal, Omer 4 Yu, Jung-Suk 4 Zaher, Tarek S. 4 Aydede, Yigit 3 Chandra, Aruna 3 Lyons, Angela C. 3 Xiao, Jing Jian 3 Balasubramanyan, Lakshmi 2 Bitar, Mohammad 2 Dey, Malay K. 2 Osili, Una Okonkwo 2 Phillips, Ronnie J. 2 Robinson, David F. 2 Sanchez, Benito 2 Scherpf, Erik 2 Tatom, John A. 2 Tran, Dung Viet 2 Whalen, Richard Christopher 2 Yao, Rui 2 Agnew, Julie R. 1 Alhomaidi, Asem 1 Allgood, Sam 1 Balduzzi, Pierluigi 1 Barron, John M. 1 Bell, Catherine J. 1 Ben Braham, Mehdi 1 Broniarczyk, Susan M. 1 Cheng, Jiang 1 Copur, Zeynep 1 DePaolo, Concetta A. 1 Dew, James Kurt 1 Di, Wenhua 1 Dimmock, Stephen G. 1 Edmiston, Kelly D. 1
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Published in...
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Networks Financial Institute Working Paper 58 Networks Financial Institute Working Paper Series 2017-WP-03 3 Networks Financial Institute Working Paper 2009-WP-10 2 Networks Financial Institute Working Paper 2009-WP-11 2 Networks Financial Institute Working Paper Series 2017-WP-04 2 Networks Financial Institute Working Paper 2008-WP-07 1 Networks Financial Institute Working Paper 2009-WP-08 1 Networks Financial Institute Working Paper 2009-WP-09 1 Networks Financial Institute Working Paper 2009-WP-12 1 Networks Financial Institute Working Paper 2010-WP-03 1 Networks Financial Institute Working Paper 2010-WP-04 1 Networks Financial Institute Working Paper 2010-WP-05 1 Networks Financial Institute Working Paper 2010-WP-06 1 Networks Financial Institute Working Paper 2010-WP-07 1 Networks Financial Institute Working Paper 2011-WP-03 1 Networks Financial Institute Working Paper 2011-WP-04 1 Networks Financial Institute Working Paper 2011-WP-06 1 Networks Financial Institute Working Paper 2013-WP-02 1 Networks Financial Institute Working Paper 2018-WP-01 1 Networks Financial Institute Working Paper 2018-WP-02 1 Networks Financial Institute Working Paper Series 1 Networks Financial Institute Working Paper Series 2018-WP-04 1 Networks Financial Institute Working Paper Series 2108-WP-03 1 Networks Financial Institute working paper series 2017-WP-01 1 Networks Financial Institute: Working Paper Series: 2012-WP-01 1 Networks Financial Institute: Working Paper Series: 2012-WP-03 1 Networks Financial Institute: Working Paper Series: 2012-WP-04 1 Networks Financial Institute: Working Paper Series: 2012-WP-05 1 Networks Financial Institute: Working Paper Series: 2012-WP-06 1 Networks Financial institute Working Paper 1
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Source
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ECONIS (ZBW) 92
Showing 21 - 30 of 92
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Globalization and Inflation : A Swiss Perspective
Tatom, John A. - 2013
Globalization has given rise to new concerns that domestic inflation is caused by global developments, especially in the state of the global gap in GDP and resource utilization, and whether domestic monetary policy can control it. This paper explores the role of globalization, if any, for...
Persistent link: https://www.econbiz.de/10013071611
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U.S. Monetary Policy in Disarray
Tatom, John A. - 2013
Monetary policy became more difficult to characterize during and after the mortgage foreclose and financial crises because of a shift to a new credit policy focused on private sector credit and that relies on traditional commercial banking strategies. The new credit policy broke the tight link...
Persistent link: https://www.econbiz.de/10013092506
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The Determinants of Derivatives Activities in U.S. Commercial Banks
Khasawneh, Ahmad Y. - 2012
This paper aims to test the extent to which the tax regulatory and market discipline hypotheses determine derivative activities of U.S. commercial banks for the period starting 1992 through 2008. We employ Mansfield's (1961) logistic diffusion model and we consider derivative activities as real...
Persistent link: https://www.econbiz.de/10013116372
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The Risks of Off-Balance Sheet Derivatives in U.S. Commercial Banks
Khasawneh, Ahmad Y. - 2012
This paper aims to test the extent to which the tax regulatory and discipline hypotheses determine derivative activities of U.S. commercial banks for period starting 1992 through 2008. We employ Mansfield's (1961) logistic diffusion model and we consider derivative activities as real financial...
Persistent link: https://www.econbiz.de/10013116373
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The Determinants of Derivatives Activities in U.S. Commercial Banks
Hassan, M. Kabir - 2012
This paper aims to test the extent to which the tax regulatory and market discipline hypotheses determine derivative activities of U.S. commercial banks for the period starting 1992 through 2008. We employ Mansfield's (1961) logistic diffusion model and we consider derivative activities as real...
Persistent link: https://www.econbiz.de/10013116754
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Credit Card Debt and Payment Use
Sprenger, Charles - 2012
Approximately half of credit card holders in the United States regularly carry unpaid credit card debt. These so-called “revolvers” exhibit payment behavior that differs from the behavior of those who repay their entire credit card balance every month. So far there has been no empirical...
Persistent link: https://www.econbiz.de/10013104757
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Financial Literacy and Retirement Savings in Germany
Honekamp, Ivonne - 2012
The German pension reforms in 2001 and 2004 increased the importance of private supplemental savings for retirement. Calculating the appropriate retirement income needed and choosing the right product postulates some degree of financial knowledge, also referred to as financial literacy. This...
Persistent link: https://www.econbiz.de/10013104759
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The Reluctant Retirement Trader : Do Asset Returns Overcome Inertia?
Agnew, Julie R. - 2012
We study a new and unique data set of daily aggregate transfers of funds between mutual funds held in 401(k) accounts. We find that 401(k) transfers correlate strongly and positively with contemporaneous daily returns in the corresponding asset class. GMM estimation based on the...
Persistent link: https://www.econbiz.de/10013104760
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The Development and Diffusion of Business Incubation Capabilities in Five Emerging Markets in South America
Robinson, David F. - 2012
Business incubation encourages new business formation and offers the potential to improve emerging market economies. Business incubation is a system of routines for creating and improving survival rates and growth of new businesses. Incubation originated in developed economies and is now...
Persistent link: https://www.econbiz.de/10012712669
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Predicting Failure in the Commercial Banking Industry
Tatom, John - 2011
The ability to predict bank failure has become much more important since the mortgage foreclosure crisis began in 2007. The model proposed in this study uses proxies for the regulatory standards embodied in the so-called CAMELS rating system, as well as several local or national economic...
Persistent link: https://www.econbiz.de/10013117748
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