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  • Search: subject:"“too big to fail”"
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Year of publication
Subject
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Bankenregulierung 168 Bank regulation 162 Bankenkrise 117 Banking crisis 115 Financial crisis 114 Finanzkrise 109 too big to fail 94 Systemic risk 89 Systemrisiko 89 Bankrisiko 87 Bank risk 85 Bankinsolvenz 79 Bank failure 75 Welt 73 Bank 72 Too-big-to-fail 72 World 70 too-big-to-fail 59 Too big to fail 56 Banks 50 systemic risk 48 Regulierung 45 Firm size 44 Betriebsgröße 43 Bailout 38 Bankenaufsicht 38 Too-Big-to-Fail 38 Großbank 36 Banking supervision 35 Regulation 35 Schuldenübernahme 35 Einlagensicherung 33 Large bank 33 Finanzmarktregulierung 32 Deposit insurance 31 Financial market regulation 31 Depository Institutions 29 Financial Innovations 29 Theorie 27 financial crisis 26
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Online availability
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Free 191 Undetermined 170 CC license 2
Type of publication
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Article 236 Book / Working Paper 198 Other 1
Type of publication (narrower categories)
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Article in journal 137 Aufsatz in Zeitschrift 137 Working Paper 87 Graue Literatur 58 Non-commercial literature 58 Arbeitspapier 52 Hochschulschrift 18 Article 10 Collection of articles of several authors 8 Sammelwerk 8 Conference proceedings 5 Konferenzschrift 5 Aufsatz im Buch 4 Book section 4 Proceedings 3 Research Report 3 research-article 3 Aufsatzsammlung 2 Collection of articles written by one author 2 Sammlung 2 Thesis 2 Conference Paper 1 Conference paper 1 Handbook 1 Handbuch 1 Interview 1 Konferenzbeitrag 1
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Language
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English 278 Undetermined 131 German 26
Author
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Zaghini, Andrea 15 Hellwig, Martin 8 Huizinga, Harry 8 Schnabel, Isabel 8 Schäfer, Dorothea 8 Admati, Anat R. 7 DeMarzo, Peter M. 6 Demirgüç-Kunt, Asli 6 Jagtiani, Julapa 6 Krahnen, Jan Pieter 6 Pianeselli, Daniele 6 Allen, Franklin 5 Balling, Morten 5 Correa, Ricardo 5 Hett, Florian 5 Horsch, Andreas 5 Kane, Edward J. 5 Kleinow, Jacob 5 Masciantonio, Sergio 5 Pfleiderer, Paul 5 Schmidt, Alexander 5 Vogel, Ursula 5 Alessandri, Piergiorgio 4 Barth, James R. 4 Bruinshoofd, Allard 4 Cetorelli, Nicola 4 Goldberg, Linda S. 4 Goldstein, Itay 4 Hakenes, Hendrik 4 Hellwig, Martin F. 4 Houben, Aerdt 4 Huang, Xin 4 Kellermann, Kersten 4 Klaus, Benjamin 4 Llewellyn, David T. 4 Machado, Clara 4 Moch, Nils 4 Moenninghoff, Sebastian C. 4 Mullineux, Andrew W. 4 Ongena, Steven 4
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Institution
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SUERF - The European Money and Finance Forum 8 C.E.P.R. Discussion Papers 6 International Monetary Fund (IMF) 6 Max-Planck-Institut zur Erforschung von Gemeinschaftsgütern, Max-Planck-Gesellschaft 5 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 5 Banca d'Italia 4 BANCO DE LA REPÚBLICA 3 Banco de la Republica de Colombia 3 Center for Financial Studies 3 Federal Reserve Bank of New York 3 Research Center SAFE (Sustainable Architecture for Finance in Europe), House of Finance 3 Springer Fachmedien Wiesbaden 3 De Nederlandsche Bank 2 Economics Section, Cardiff Business School 2 Levy Economics Institute 2 Nomos Verlagsgesellschaft 2 Peter G. Peterson Institute for International Economics (IIE) 2 Rabobank International <Utrecht> 2 Volkswirtschaftslehre-Lehrstühle, Gutenberg School of Management and Economics 2 Bank for International Settlements (BIS) 1 Banque de France 1 Center for Economic Institutions, Institute of Economic Research 1 Central Bank of Ireland 1 Centre for European Policy Studies 1 Centro de Estudios Monetarios Latinoamericanos (CEMLA) 1 Conference "Crisis Management at Cross-Roads" <2009, Brüssel> 1 Conference on “The Value of Banks and Their Business Models to Society" <2013, Amsterdam> 1 Department of Economics, College of Business Administration 1 Department of Economics, Rutgers University-New Brunswick 1 Deutsche Bundesbank 1 Duisenberg School of Finance <Amsterdam> 1 Duncker & Humblot 1 Economics Department, Organisation de Coopération et de Développement Économiques (OCDE) 1 Ernst & Young 1 Facultatea de Administraţie Publică, Şcoala Naţională de Studii Politice şi Administrative (SNSPA) 1 Federal Reserve Bank of Philadelphia 1 Federal Reserve Board (Board of Governors of the Federal Reserve System) 1 Fondazione ENI Enrico Mattei (FEEM) 1 Forum Financier Belge <Brüssel> 1 Friedrich-Schiller-Universität Jena 1
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Published in...
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The Social Value of the Financial Sector:Too Big to Fail or Just Too Big? 28 Journal of banking & finance 15 Journal of banking regulation 8 Preprints of the Max Planck Institute for Research on Collective Goods 8 Journal of Banking & Finance 7 Journal of financial services research : JFSR 7 CEPR Discussion Papers 6 DIW Wochenbericht 6 Discussion papers / CEPR 6 Journal of financial stability 6 SUERF Studies 6 IMF Staff Discussion Notes 5 International review of financial analysis 5 Journal of risk management in financial institutions 5 MPRA Paper 5 Working Paper Series of the Max Planck Institute for Research on Collective Goods 5 Cardiff Economics Working Papers 4 Research 4 SUERF studies 4 Staff Report 4 BORRADORES DE ECONOMIA 3 Borradores de Economia 3 Business economics : the journal of the National Association for Business Economists 3 CFS Working Paper 3 CFS Working Paper Series 3 CFS working paper series 3 Economic Policy Review 3 Economics letters 3 Journal of Financial Services Research 3 Journal of Financial Stability 3 Journal of money, credit and banking : JMCB 3 Pacific-Basin finance journal 3 Research paper series / Swiss Finance Institute 3 Speech / Federal Reserve Bank of New York 3 Staff reports / Federal Reserve Bank of New York 3 Swiss Finance Institute Research Paper 3 Technical Paper 3 Working Paper 3 Annual Review of Financial Economics 2 Applied financial economics 2
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Source
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ECONIS (ZBW) 225 RePEc 154 EconStor 52 Other ZBW resources 3 BASE 1
Showing 291 - 300 of 435
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Implicit guarantees, business models and banks’ risk-taking through the crisis: Global and European perspectives
Prabha, Apanard; Wihlborg, Clas - In: Journal of Economics and Business 76 (2014) C, pp. 10-38
The objectives of this paper are, first, to analyze whether banks’ risk-taking can be explained by factors contributing to implicit guarantees and by factors associated with banks’ business models. Second, it analyzes how risk-taking associated with these factors has changed from a period...
Persistent link: https://www.econbiz.de/10011118216
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Does Size of Banks Really Matter? Evidence from Credit Default Swaps Market Data
ARSLAN, İlker; BİNATLI, Ayla Oğuş - In: Iktisat Isletme ve Finans 29 (2014) 338, pp. 67-90
This study aims to discover whether markets take into account the phenomenon known as Too Big to Fail. Using Credit … the riskiness of a bank. We conclude that the well-known concept of ‘Too Big to Fail’ cannot be considered as a concept …
Persistent link: https://www.econbiz.de/10010894802
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The cost of firms’ debt financing and the global financial crisis
Pianeselli, Daniele; Zaghini, Andrea - In: Finance Research Letters 11 (2014) 2, pp. 74-83
We provide an assessment of the determinants of the risk premium paid by non-financial corporations on long-term bonds. By looking at 5500 issues over the period 2005–2012, we find that in recent years the sovereign debt market turbulence has been a major driver of corporate risk. Compared...
Persistent link: https://www.econbiz.de/10010785418
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Too big to fail in banking: What does it mean?
Kaufman, George G. - In: Journal of Financial Stability 13 (2014) C, pp. 214-223
Interest in too big to fail (TBTF) resolutions of insolvent large complex financial firms has intensified in recent …
Persistent link: https://www.econbiz.de/10011046553
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The perennial challenge to abolish too-big-to-fail in banking : empirical evidence from the new international regulation dealing with global systemically important banks
Moenninghoff, Sebastian C.; Ongena, Steven; Wieandt, Axel - 2014
, government ownership of banks supports the view that the positive reaction to these designations can be attributed to a Too-Big-to-Fail … reduce the costs and risks of Too-Big-to-Fail demonstrates the inherently paradoxical nature of the new regulation. These …
Persistent link: https://www.econbiz.de/10010412297
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Everything you always wanted to know about systemic importance (but were afraid to ask)
Alessandri, Piergiorgio; Masciantonio, Sergio; Zaghini, … - 2014
We develop a methodology to identify and rank "systemically important financial institutions" (SIFIs). Our approach is consistent with that followed by the Financial Stability Board (FSB) but, unlike the latter, it is free of judgment and it is based entirely on publicly available data, thus...
Persistent link: https://www.econbiz.de/10010364717
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Bankregulierung zur Lösung des "too big to fail" -Problems
Rudolph, Bernd - In: Die Unternehmung : Swiss journal of business research … 68 (2014) 2, pp. 72-91
Persistent link: https://www.econbiz.de/10010365622
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Bank bonds : size, systemic relevance and the sovereign
Zaghini, Andrea - 2014
We analyze the risk premium on bank bonds at origination with a special focus on the role of implicit and explicit public guarantees and the systemic relevance of the issuing institutions. By looking at the asset swap spread on 5,500 bonds, we find that explicit guarantees and sovereign...
Persistent link: https://www.econbiz.de/10010343421
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Too big to be efficient? : the impact of implicit subsidies on estimates of scale economies for banks
Davies, Richard; Tracey, Belinda - In: Journal of money, credit and banking : JMCB 46 (2014), pp. 219-253
Persistent link: https://www.econbiz.de/10010465063
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Fed credit policy : what is a Lender of Last Resort?
Lacker, Jeffrey Malcolm - In: Journal of economic dynamics & control 49 (2014), pp. 135-138
Persistent link: https://www.econbiz.de/10010486587
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