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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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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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ECONIS (ZBW) 92
Showing 51 - 60 of 92
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Financial Education, Financial Knowledge and Risky Credit Behavior of College Students
Xiao, Jing Jian - 2010
The purpose of this study is to examine associations among financial education, financial knowledge, and risky credit behavior of college students. Using data from a sample of first-year college students, we found evidence that taking personal finance courses in high school and college is...
Persistent link: https://www.econbiz.de/10013136015
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A Re-Examination of the U.S. Underground Economy : Size, Estimation, and Policy Implications
Hassan, M. Kabir - 2010
We re-examine the size of the underground economy in the U.S. between 1972 and 2006, after properly adjusting for several statistical issues relating to its estimation. The dynamic error-correction-based currency demand approach confirms that income tax rates have no contemporaneous effect on...
Persistent link: https://www.econbiz.de/10013136275
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Reputation, Trust and the Logic of Group Lending
Guttman, Joel M. - 2010
This paper analyzes the interaction between the success of group lending institutions and the stock of social capital (modeled by the level of trust) in the community where the group lending programs are located. Agents play a finitely repeated “trust game” in parallel with a finitely...
Persistent link: https://www.econbiz.de/10013137899
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Financial Wellbeing and Some Problems in Assessing its Link to Financial Education
Tatom, John - 2010
In 2009, the National Endowment for Financial Education initiated a project to study the “Implications of a Quarter Century Research in Personal Finance.” As part of that effort, one of the major themes chosen was to study the measurement and evaluation of participant outcomes. This paper is...
Persistent link: https://www.econbiz.de/10013136447
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The Subsistence Constraint and Endogenous Risk Aversion
Guttman, Joel M. - 2010
This paper contributes to the literature on endogenous preferences by showing that, when income is close to the minimum required for subsistence, individuals rationally will behave as if they were risk averse. It is suggested that observed risk aversion in empirical studies can be explained by...
Persistent link: https://www.econbiz.de/10012716937
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Assortative Matching, Adverse Selection, and Group Lending
Guttman, Joel M. - 2010
This note reconsiders a theoretical result asserted to explain the success of group lending programs in LDCs. It has been claimed that if groups are allowed to form themselves, risky and safe borrowers will sort themselves into relatively homogenous groups. This positive assortative matching can...
Persistent link: https://www.econbiz.de/10012717118
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U.S. Monetary Policy and Stock Prices : Should the Fed Attempt to Control Stock Prices?
Tatom, John - 2009
This article rejects the linkages in proposals that the Federal Reserve Bank (Fed) target equity prices. The real federal funds rate (RFF) and stock prices (SP) are uncorrelated; causality tests show a positive effect of SP on RFF and a negative effect of SP on RFF. These results occur as part of...
Persistent link: https://www.econbiz.de/10013153036
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Global Impact of the Gramm-Leach-Bliley Act : Evidence from Insurance Industries of Developed Countries
Hassan, M. Kabir - 2009
This paper investigates the impact of the Gramm-Leach-Bliley Act (GLBA) on the insurance industries of developed countries. We find that the insurance industries of most of the developed countries in our sample have significant negative spillover effects from the GLBA. Further, we find that the...
Persistent link: https://www.econbiz.de/10013154675
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A Tool for Getting by or Getting Ahead? Consumers’ Views on Prepaid Cards
Romich, Jennifer L. - 2009
This paper summarizes lessons from interviews of 22 consumers who use prepaid cards (PPCs), an emerging product in the market space between institution-based transaction accounts and non-account services like check-cashing and money orders. A majority of interviewees used PPCs as their primary...
Persistent link: https://www.econbiz.de/10013155407
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The Risks of Off-Balance Sheet Derivatives in U.S. Commercial Banks
Hassan, M. Kabir - 2009
This study employs both contingent and non-contingent claim models to test for the existence of market discipline hypothesis for derivative contracts in U.S. banking industry. In addition to the Capital Asset Pricing Model (CAPM) measure of systematic risk and standard deviation of a bank's...
Persistent link: https://www.econbiz.de/10013155654
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