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Subject
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Financial crisis 53 Finanzkrise 53 Theorie 51 Theory 51 Bankenkrise 33 Banking crisis 33 Bank regulation 30 Bankenregulierung 30 EU countries 30 EU-Staaten 30 Systemic risk 29 Systemrisiko 29 Welt 27 World 27 Bank lending 26 Bank risk 26 Bankrisiko 26 Credit risk 26 Kreditgeschäft 26 Kreditrisiko 26 Financial supervision 25 Finanzmarktaufsicht 25 Euro area 22 Eurozone 22 Geldpolitik 21 Monetary policy 21 Business cycle 16 Konjunktur 16 Portfolio selection 15 Portfolio-Management 15 Spillover effect 15 Spillover-Effekt 15 Bank liquidity 14 Bankenliquidität 14 Liquidity 14 Liquidität 14 systemic risk 14 Bank 13 Financial market 13 Finanzmarkt 13
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Online availability
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Free 154
Type of publication
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Book / Working Paper 154
Type of publication (narrower categories)
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Arbeitspapier 154 Graue Literatur 154 Non-commercial literature 154 Working Paper 154 Conference paper 1 Konferenzbeitrag 1
Language
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English 154
Author
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Peltonen, Tuomo 7 Dunne, Peter G. 5 Thesmar, David 5 Giuliana, Raffaele 4 Langfield, Sam 4 McCann, Fergal 4 Suárez, Javier 4 Timmer, Yannick 4 D'Errico, Marco 3 Dávila, Eduardo 3 Fiedor, Paweł 3 Pagano, Marco 3 Robatto, Roberto 3 Schoenmaker, Dirk 3 Segura, Anatoli 3 Aldasoro, Iñaki 2 Anand, Kartik 2 Behn, Markus 2 Bologna, Pierluigi 2 Crosignani, Matteo 2 Faria-e-Castro, Miguel 2 Fricke, Daniel 2 Gross, Christian 2 Guagliano, Claudia 2 Hau, Harald 2 Hauzenberger, Niko 2 Hałaj, Grzegorz 2 Hodula, Martin 2 Kelly, Robert 2 Killeen, Neill 2 Kirti, Divya 2 Kundu, Shohini 2 Landier, Augustin 2 Lane, Philip R. 2 Lelyveld, Iman van 2 Mazzacurati, Julien 2 Muñoz, Manuel A. 2 Pancost, N. Aaron 2 Peydró, José-Luis 2 Pfeifer, Lukáš 2
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Working paper series 154
Source
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ECONIS (ZBW) 154
Showing 1 - 10 of 154
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Riding the rate wave : interest rate and run risks in euro area banks during the 2022-2023 monetary cycle
Rice, Jonathan; Guerrini, Giulia Maria - 2025
This paper examines how the ECB's 2022-2023 interest-rate hikes affected euro-area banks' economic net worth and vulnerability to deposit runs. Drawing on granular, confidential data for 139 banks, we estimate each bank's economic net worth and find that unrealised losses on loans and bonds...
Persistent link: https://www.econbiz.de/10015427429
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Price dislocations : insights from trade repository data
Menkveld, Albert J.; Saru, Ion Lucas; Yu, Shihao - 2025
This paper identifies price dislocation events in EuroSTOXX 50 futures, i.e., periods marked by high absolute returns. Combining public limit order book data with confidential trade repository data collected under the European Market Infrastructure Regulation (EMIR), we analyze market conditions...
Persistent link: https://www.econbiz.de/10015550399
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Digitalisation, social media and bank deposit dynamics : evidence from the recent euro area monetary tightening
Giuliana, Raffaele; Panfilo, Matteo; Peltonen, Tuomo - 2025
This study sheds light on the impact of digitalisation and social media on deposit flows and rates of euro area banks during the recent period of monetary tightening. Drawing on difference-in-differences analysis of confidential monthly data (12/2019 - 10/2023) of deposit flows and rates as well...
Persistent link: https://www.econbiz.de/10015550425
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Public money as a store of value, heterogeneous beliefs and banks : implications of CBDC
Muñoz, Manuel A.; Soons, Oscar - 2024
The bulk of cash is held for store of value purposes, with such holdings sharply increasing in times of high economic uncertainty and only a fraction of the population choosing to hoard cash. We develop a Diamond and Dybvig model with public money as a store of value and heterogeneous beliefs...
Persistent link: https://www.econbiz.de/10014473061
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Mitigating fragility in open-ended investment funds : the role of redemption restrictions
Molestina Vivar, Luis - 2024
Using supervisory data of alternative investment funds investing in bonds, I exploit the COVID-19 crisis to examine the effectiveness of redemption restrictions. First, I find that redemption restrictions reduced outflows during the March 2020 market turmoil but did not result in higher outflows...
Persistent link: https://www.econbiz.de/10015168506
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Fund-level FX hedging redux
Bräuer, Leonie; Hau, Harald - 2024
Over the past decade, European investment funds have substantially increased their investment in dollar-denominated assets to more than 3.8 USD trillion, which should give raise to substantial currency hedging if US investor have reciprical currency exposures in their international portfolios....
Persistent link: https://www.econbiz.de/10015168533
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Microstructure implications of ETF arbitrage with custom baskets
Körükmez, Berke - 2024
Exchange-traded funds (ETFs) are typically considered to be passive investment vehicles designed to track a benchmark index. However, with the promulgation of the Securities and Exchange Commission's 2019 ETF Rule, funds are permitted the use of custom creation/redemption baskets. This change...
Persistent link: https://www.econbiz.de/10015168534
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The market liquidity of interest rate swaps
Boudiaf, Ismael Alexander; Frieden, Immo; Scheicher, Martin - 2024
This paper studies market liquidity in interest rate swaps (IRS) before and during the global tightening of monetary policy. IRS constitute the single largest derivatives segment globally. Banks and Pension Funds extensively rely on IRS to hedge interest rate risk. Hence, providing an...
Persistent link: https://www.econbiz.de/10015549441
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The demand for long-term mortgage contracts and the role of collateral
Liu, Lu - 2023
Long-term fixed-rate mortgage contracts protect households against interest rate risk, yet most countries have relatively short interest rate fixation lengths. Using administrative data from the UK, the paper finds that the choice of fixation length tracks the life-cycle decline of credit risk...
Persistent link: https://www.econbiz.de/10014309040
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Fear the walking dead? : zombie firms in the euro area and their effect on healthy firms' credit conditions
Havemeister, Lea Katharina; Horn, Kristian - 2023
Zombie firms may adversely impact healthy firms through several transmission channels. Besides real spillover effects on productivity or investment, zombies may also cause negative financial spillover effects, where zombies receive credit at more favourable conditions than healthy firms. We...
Persistent link: https://www.econbiz.de/10014309045
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