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Year of publication
Subject
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Financial crisis 5 Finanzkrise 5 Eastern Europe 4 Osteuropa 4 Bank 3 Bankenkrise 3 Banking crisis 3 Corporate Governance 3 Corporate governance 3 Economic transition 3 Systemtransformation 3 Bank regulation 2 Bankenregulierung 2 Eigentümerstruktur 2 Firm performance 2 International bank 2 Internationale Bank 2 Ownership structure 2 Poland 2 Polen 2 Staatliche Einflussnahme 2 State intervention 2 Unternehmenserfolg 2 Welt 2 World 2 Agency theory 1 Anlageverhalten 1 Ausländische Tochtergesellschaft 1 Bank lending 1 Bank risk 1 Bankgeschäft 1 Banking services 1 Bankrisiko 1 Behavioural finance 1 Bond market 1 Business cycle 1 Capital structure 1 China 1 Communism 1 Comparison 1
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Online availability
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Free 32
Type of publication
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Book / Working Paper 32
Type of publication (narrower categories)
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Arbeitspapier 2 Graue Literatur 2 Non-commercial literature 2 Working Paper 2
Language
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Undetermined 17 English 15
Author
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Kowalewski, Oskar 13 Allen, Franklin 9 Jackowicz, Krzysztof 6 Kozłowski, Łukasz 4 Babbel, David F. 3 Gu, Xian 3 Schuermann, Til 3 Gale, Douglas 2 Hasan, Iftekhar 2 Hryckiewicz, Aneta 2 Qian, Jun 2 Rybiński, Krzysztof 2 Alwasiak, Stanislaw 1 Ashcraft, Adam B. 1 Babus, Ana 1 Brown, Jeffrey A. 1 Carletti, Elena 1 Dolan, Ricki 1 Herce, Miguel 1 Kalina, Lech 1 Kuritzkes, Andrew 1 Lewandowska-Kalina, Monika 1 McGourty, Brad 1 Merrill, Craig B. 1 Możdżeń, Michał 1 Qian, Meijun 1 Rasmussen, Kourosh Marjani 1 Schulz, Heiner 1 Serifsoy, Baris 1 Strickler, Vincent James 1 Tschoegl, Adrian E. 1 Tyrell, Marcel 1 Van den Heuvel, Skander 1 White, Lawrence J. 1 Zenios, Stauros Andrea 1 Zhao, Mengxin 1
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Published in...
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Wharton Financial Institutions Center Working Paper 29 Weiss Center working papers 2 Wharton Financial Institutions Center Working Paper 11-37 1 Wharton Financial Institutions Center Working Paper 12-02 1 Wharton Financial Institutions Center Working Paper 13-37 1
Source
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ECONIS (ZBW) 32
Showing 1 - 10 of 32
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Creditor Rights and Corporate Bond Market
Gu, Xian - 2015
We examine whether investor protection affects capital markets in terms of the development of corporate bond markets versus that of equity markets. Using a dataset of 42 countries, we show that in countries with stronger creditor rights, corporate bond markets are more developed than equity...
Persistent link: https://www.econbiz.de/10013031439
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Depositor Discipline During Good and Bad Times : The Role of the Guarantor of Last Resort
Jackowicz, Krzysztof - 2015
In this paper, we investigate, for the first time in the literature, whether the ability of the public sector or government (GLR), to effectively help banks or guarantee bank liabilities affects the sensitivity of interest costs and deposit dynamics to banks' fundamentals. To test our...
Persistent link: https://www.econbiz.de/10013027290
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Model Risk and the Great Financial Crisis : The Rise of Modern Model Risk Management
Brown, Jeffrey A. - 2015
We trace the development of model risk management in U.S. banking against the backdrop of the growing importance of complex financial models in banks, the recognition of model risk, the emergence of model validation as a response to model risk, and the contribution of failures in model risk...
Persistent link: https://www.econbiz.de/10013029304
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Banks, Markets and Liquidity
Allen, Franklin - 2014
The banking sector is one of the most highly regulated sectors in the economy. However,in contrast to other regulated sectors there is no wide agreement on the market failuresthat justify regulation. We suggest that there are two important ones. The first is a coordination problem that arises...
Persistent link: https://www.econbiz.de/10012709259
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Politically Connected Firms in Poland and Their Access to Bank Financing
Hasan, Iftekhar - 2013
This study investigates the relationship between politically connected firms and their access to bank financing in a post-communist eras in Poland. Overall, it finds that "recent" political connections do influence access to bank financing and the value of such connections increased during the...
Persistent link: https://www.econbiz.de/10013071495
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The Effects of Foreign and Government Ownership on Bank Lending Behavior During a Crisis in Central and Eastern Europe
Allen, Franklin - 2013
We examine whether foreign-owned and government-owned banks in Central and Eastern Europe reacted differently during a domestic systematic banking crisis and the global financial crisis of 2008. Our panel dataset comprises data on more than 400 banks for the period 1994-2010. Our analysis shows...
Persistent link: https://www.econbiz.de/10013079729
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What Determines State Capture in Poland?
Alwasiak, Stanislaw; Lewandowska-Kalina, Monika; … - 2013
In this paper we examine the determinants of ex-ante state capture analyzing all the legal acts that have been passed in the period 1990-2011 in Poland. We find that during this the majority of legal acts were passed with the aim to satisfy the interest of particular groups. Furthermore, the...
Persistent link: https://www.econbiz.de/10014161043
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Review of China's Financial System and Initiatives for the Future
Allen, Franklin - 2013
We provide a comprehensive review of China's financial system, and explore directions of future development. First, the current financial system is dominated by a large banking sector. In recent years banks have made considerable progress in reducing the amount of non-performing loans and...
Persistent link: https://www.econbiz.de/10012711036
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Optimal Mortgage Loan Diversification
Rasmussen, Kourosh Marjani - 2013
Homebuyers in several countries may finance the purchase of their properties using different variants of either adjustable-rate mortgages (ARMs) or fixed-rate mortgages (FRMs). The variety and complexity of these loan products poses a risk management task for mortgage bank advisors to recommend...
Persistent link: https://www.econbiz.de/10012711186
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Does Corporate Governance Determine Corporate Performance and Dividends During Financial Crisis : Evidence from Poland
Kowalewski, Oskar - 2012
This study seeks to investigate the relationship between corporate governance, measured by Corporate Governance Index (CGI), and firm's performance and dividend payouts during the financial crisis in Poland. The empirical approach in the study lies in constructing a comprehensive measures of the...
Persistent link: https://www.econbiz.de/10013100761
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