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  • Search: subject:"Systemically Important Banks"
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Year of publication
Subject
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Systemic risk 59 Systemrisiko 58 Bank regulation 39 Bank risk 39 Bankenregulierung 39 Bankrisiko 39 Bank 38 Welt 35 World 35 Bankenkrise 23 Banking crisis 23 International bank 22 Internationale Bank 22 systemically important banks 22 Basel Accord 18 Basler Akkord 18 Financial crisis 18 Finanzkrise 17 Global systemically important banks 11 Systemically important banks 11 Großbank 10 Large bank 10 global systemically important banks 10 Bankenaufsicht 9 Banking supervision 9 Credit risk 9 Kreditrisiko 9 Basel III 7 Corporate Governance 7 Corporate governance 7 Impact assessment 7 Regulation 7 Risikomanagement 7 Risk management 7 Wirkungsanalyse 7 Ansteckungseffekt 6 Contagion effect 6 Regulierung 6 Theorie 6 Theory 6
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Online availability
All
Free 43 Undetermined 34 CC license 6
Type of publication
All
Article 60 Book / Working Paper 28
Type of publication (narrower categories)
All
Article in journal 52 Aufsatz in Zeitschrift 52 Working Paper 16 Graue Literatur 12 Non-commercial literature 12 Arbeitspapier 9 Article 2 Aufsatz im Buch 1 Book section 1 Konferenzschrift 1 Research Report 1 research-article 1
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Language
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English 79 Undetermined 9
Author
All
Behn, Markus 5 Kellermann, Kersten 5 Ojo, Marianne 3 Penikas, Henry 3 Schramm, Alexander 3 Song, Guoxiang 3 Wihlborg, Clas 3 Akonye, Chinazu 2 Araten, Michel 2 Busch, Pascal 2 Cappelletti, Giuseppe 2 Daly, Kevin James 2 Gündüz, Yalin 2 Gündüz, Yalın 2 Kupiec, Paul H. 2 Mangiante, Giacomo 2 Marincas, Vlad 2 Meller, Barbara 2 Napoletano, Mauro 2 Okoye, Emma I. 2 Parisi, Laura 2 Popoyan, Lilit 2 Prabha, Apanard 2 Roventini, Andrea 2 Schlag, Carsten 2 Schlag, Carsten-Henning 2 Wedow, Michael 2 Wildmann, Nadya 2 Yılmaz, Kamil 2 Abedin, Mohammad Zoynul 1 Addo, Kwabena Aboah 1 Agnese, Paolo 1 Aivazian, Sergey 1 Akhigbe, Aigbe 1 Akhter, Selim 1 Allahrakha, Meraj 1 Anderson, Haelim Park 1 Andrievskayaa, Irina 1 Annabi, Amira 1 Anokhina, Maiya 1
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Institution
All
Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 3 Dipartimento di Scienze Economiche e Aziendali, Università degli Studi di Pavia 1 Internationaler Währungsfonds 1 National Research University Higher School of Economics 1
Published in...
All
Journal of banking regulation 3 Journal of financial stability 3 Journal of international money and finance 3 Journal of risk management in financial institutions 3 MPRA Paper 3 Accounting and taxation review : A&TR 2 ECB Working Paper 2 Economic modelling 2 European financial management : the journal of the European Financial Management Association 2 Finance research letters 2 Journal of Financial Regulation and Compliance 2 Working paper series / European Central Bank 2 AEI Economics Working Paper 1 Annals of finance 1 Applied economics letters 1 Computational economics 1 Corporate governance : international journal of business in society 1 Corporate ownership & control : international scientific journal 1 DEM Working Papers Series 1 Deutsche Bundesbank Discussion Paper 1 Discussion paper 1 Discussion papers / CEPR 1 ECB Occasional Paper 1 Economics letters 1 Ekonomický časopis : časopis pre ekonomickú teóriu, hospodársku politiku, spoločensko-ekonomické prognózovanie 1 European Financial Management 1 Finance a úvěr 1 Financial innovation : FIN 1 Financial markets, institutions & instruments 1 Global finance journal 1 HSE Working papers 1 IMF country report 1 International journal of finance & economics : IJFE 1 International review of financial analysis 1 Japan and the world economy : international journal of theory and policy 1 Journal of Capital Markets Studies (JCMS) 1 Journal of Economics and Business 1 Journal of banking & finance 1 Journal of capital markets studies 1 Journal of economics & business 1
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Source
All
ECONIS (ZBW) 67 EconStor 11 RePEc 9 Other ZBW resources 1
Showing 81 - 88 of 88
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Diversification and bank profitability : a nonlinear approach
Gambacorta, Leonardo; Scatigna, Michela; Yang, Jing - In: Applied economics letters 21 (2014) 4/6, pp. 438-441
Persistent link: https://www.econbiz.de/10010413667
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Applying contingent capital in Canada
Arjani, Neville; Engert, Walter; Haddad, Anthony; Orsi, … - In: Journal of banking regulation 15 (2014) 3/4, pp. 205-217
Persistent link: https://www.econbiz.de/10010491930
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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 & business 76 (2014), pp. 10-38
Persistent link: https://www.econbiz.de/10010506036
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Credit ratings as indicators of implicit government support for global systemically important banks
Araten, Michel - In: Journal of risk management in financial institutions 7 (2014) 4, pp. 345-352
Persistent link: https://www.econbiz.de/10011346970
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Occupy risk weighting: how the minimum leverage ratio dominates capital requirements: A Swiss example
Kellermann, Kersten; Schlag, Carsten - In: Journal of Financial Regulation and Compliance 21 (2013) October, pp. 353-372
Purpose – In September 2009, G20 representatives called for introducing a minimum leverage ratio as an instrument of financial regulation. It is supposed to assure a certain degree of core capital for banks, independent of the controversial procedures used to assess risk. The paper aims to...
Persistent link: https://www.econbiz.de/10010815047
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Cover Image
Occupy risk weighting: how the minimum leverage ratio dominates capital requirements : A Swiss example
Kellermann, Kersten; Schlag, Carsten - In: Journal of Financial Regulation and Compliance 21 (2013) 4, pp. 353-372
Purpose – In September 2009, G20 representatives called for introducing a minimum leverage ratio as an instrument of financial regulation. It is supposed to assure a certain degree of core capital for banks, independent of the controversial procedures used to assess risk. The paper aims to...
Persistent link: https://www.econbiz.de/10014870744
Saved in:
Cover Image
Understanding the funding cost differences between global systemically important banks (G-SIBs) and non-G-SIBs in the USA
Araten, Michel; Turner, Christopher - In: Journal of risk management in financial institutions 6 (2012/13) 4, pp. 387-410
Persistent link: https://www.econbiz.de/10010227154
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Occupy risk weighting : how the minimum leverage ratio dominates capital requirements ; a Swiss example
Kellermann, Kersten; Schlag, Carsten-Henning - In: Journal of financial regulation and compliance : an … 21 (2013) 4, pp. 353-372
Persistent link: https://www.econbiz.de/10010355917
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