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Year of publication
Subject
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Bankenregulierung 16,070 Bank regulation 15,900 Bank 4,475 Bankenaufsicht 3,139 Finanzkrise 3,046 Banking supervision 2,997 Financial crisis 2,977 Welt 2,727 World 2,695 Regulierung 2,262 USA 2,258 United States 2,194 Theorie 2,163 Theory 2,136 Regulation 2,129 EU-Staaten 1,996 EU countries 1,978 Bankenkrise 1,977 Finanzsektor 1,914 Banking crisis 1,909 Financial sector 1,908 Finanzmarktregulierung 1,794 Financial market regulation 1,784 Basler Akkord 1,766 Basel Accord 1,753 Bankrisiko 1,444 Geldpolitik 1,441 Bank risk 1,434 Monetary policy 1,384 Finanzmarkt 1,088 Financial market 1,069 Bankinsolvenz 864 Bank failure 855 Bankenliquidität 842 Einlagensicherung 835 Deposit insurance 828 Bank liquidity 825 Deregulierung 687 Deutschland 667 Deregulation 666
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Online availability
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Free 5,100 Undetermined 2,025
Type of publication
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Book / Working Paper 9,087 Article 7,027 Journal 140
Type of publication (narrower categories)
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Article in journal 5,512 Aufsatz in Zeitschrift 5,512 Graue Literatur 3,371 Non-commercial literature 3,371 Working Paper 2,281 Arbeitspapier 2,220 Aufsatz im Buch 1,477 Book section 1,477 Collection of articles of several authors 812 Sammelwerk 812 Hochschulschrift 458 Konferenzschrift 373 Thesis 330 Amtsdruckschrift 322 Government document 322 Conference proceedings 275 Aufsatzsammlung 268 Bibliografie enthalten 139 Bibliography included 139 Lehrbuch 95 Textbook 90 Conference paper 78 Konferenzbeitrag 78 Glossar enthalten 71 Glossary included 71 Collection of articles written by one author 70 Sammlung 70 Mehrbändiges Werk 49 Multi-volume publication 49 Rezension 37 Handbook 33 Handbuch 33 Article 32 Case study 32 Fallstudie 32 Gesetz 32 Law 32 No longer published / No longer aquired 29 Bibliografie 28 Festschrift 26
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Language
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English 14,101 German 1,202 Spanish 263 French 221 Italian 117 Russian 115 Polish 70 Hungarian 67 Undetermined 28 Croatian 20 Portuguese 18 Dutch 16 Norwegian 12 Swedish 12 Ukrainian 10 Danish 8 Slovak 8 Czech 6 Finnish 4 Albanian 4 Serbian 4 Chinese 3 Romanian 2 Bulgarian 1 Armenian 1 Latvian 1 Turkish 1
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Author
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Kane, Edward J. 102 Barth, James R. 86 Levine, Ross 76 Beck, Thorsten 69 Caprio, Gerard 64 Schoenmaker, Dirk 62 Kaufman, George G. 60 Calomiris, Charles W. 57 Goodhart, Charles A. E. 53 Laeven, Luc 52 Mishkin, Frederic S. 46 White, Lawrence J. 46 Buch, Claudia M. 45 Berger, Allen N. 43 Thakor, Anjan V. 43 Hasan, Iftekhar 39 Acharya, Viral V. 38 Ongena, Steven 37 Demirgüç-Kunt, Asli 36 Honohan, Patrick 34 Ojo D Delaney PhD, Marianne 34 Llewellyn, David T. 33 Tröger, Tobias 33 Mayes, David G. 32 Correa, Ricardo 31 Carletti, Elena 30 Dermine, Jean 30 Perotti, Enrico C. 29 Rochet, Jean-Charles 29 Wall, Larry D. 29 Gersbach, Hans 28 Huizinga, Harry 28 Litan, Robert E. 28 Molyneux, Philip 28 Mullineux, Andrew W. 28 Allen, Franklin 26 Masciandaro, Donato 26 Rudolph, Bernd 26 Véron, Nicolas 26 Benston, George J. 25
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Institution
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National Bureau of Economic Research 116 Internationaler Währungsfonds 63 Basel Committee on Banking Supervision 32 World Bank 29 Federal Reserve Bank of Chicago 23 SUERF - The European Money and Finance Forum 23 USA / General Accounting Office 23 Banca d'Italia 21 USA / Congress / Senate / Committee on Banking, Housing and Urban Affairs 20 Asian Development Bank 18 Weltbank 16 Group of Thirty 15 Europäische Kommission 14 Brookings Institution 13 Inter-American Development Bank 13 Europäisches Parlament / Generaldirektion Interne Politikbereiche der Union / Economic Governance Support Unit 11 Springer Fachmedien Wiesbaden 11 Edward Elgar Publishing 10 USA / Subcommittee on Financial Institutions and Consumer Credit 10 Federal Deposit Insurance Corporation <Washington, DC> 9 Internationaler Währungsfonds / Monetary and Exchange Affairs Department 9 Centro de Estudios Monetarios Latinoamericanos <México> 8 Institute of European Finance <Bangor, Gwynedd> 8 Ungarn / Pénzügyminisztérium 8 World Bank Group 8 Economic Development Institute 7 Europa-Institut <Saarbrücken> 7 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 7 USA / Congress / House of Representatives / Committee on Banking, Finance and Urban Affairs 7 Europäische Zentralbank 6 Europäisches Parlament 6 Federal Reserve Bank of San Francisco 6 Hongkong / Monetary Authority 6 International Organization of Securities Commissions 6 London School of Economics and Political Science / Financial Markets Group 6 The Wharton Financial Institutions Center 6 USA / Congress / House of Representatives / Committee on Financial Services 6 USA / Government Accountability Office 6 United States / Congress / House / Committee on Banking and Currency 6 Világgazdasági Kutató Intézet 6
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Published in...
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Journal of banking & finance 240 Journal of banking regulation 125 Journal of financial stability 125 NBER working paper series 111 Working paper / National Bureau of Economic Research, Inc. 101 Discussion paper / Centre for Economic Policy Research 82 Journal of money, credit and banking : JMCB 77 IMF country report 76 Policy research working paper : WPS 73 SpringerLink / Bücher 72 Journal of financial services research : JFSR 71 Economic review 67 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 65 Journal of financial intermediation 63 NBER Working Paper 63 Journal of financial regulation and compliance : an international journal 58 Springer eBook Collection 55 IMF working paper 51 Working paper series / European Central Bank 51 Bank-Archiv : Zeitschrift für das gesamte Bank- und Börsenwesen : journal of banking and financial research 47 Revue d'économie financière : revue trimestrielle de l'Association Europe finances régulations 45 Journal of international financial markets, institutions & money 43 Finance and economics discussion series 42 IMF working papers 42 Bank of Finland research discussion papers 41 ECB Working Paper 41 Discussion papers / CEPR 40 Staff working paper / Bank of Canada 40 Working paper 40 Palgrave Macmillan studies in banking and financial institutions 39 IMF Working Paper 38 International journal of central banking : IJCB 37 Journal of financial economics 36 CESifo working papers 35 SAFE working paper 35 The Cato journal : an interdisciplinary journal of public policy analysis 34 Policy research working paper 33 Applied economics 32 Research in financial services : private and public policy 32 Staff working papers / Bank of England 32
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ECONIS (ZBW) 16,041 EconStor 124 USB Cologne (EcoSocSci) 59 OLC EcoSci 19 RePEc 9 BASE 2
Showing 1 - 50 of 16,254
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Determinants of financial literacy and financial inclusion in north-eastern region of India : a case study of Mizoram
Rajesh, Raj; Golait, Ramesh; K. Samuel L. - 2023
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Mandatory retention rules and bank risk
2023 - Last updated: January 5, 2023
This paper studies, theoretically and empirically, the unintended consequences of mandatory retention rules in securitization. The Dodd-Frank Act and the EU Securitisation Regulation both impose a 5% mandatory retention requirement to motivate screening and monitoring. I first propose a novel...
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Macroprudential regulation : a risk management approach
Dimitrov, Daniel; Wijnbergen, Sweder van - 2023
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The city never sleeps : but when will investment banks wake up to the climate crisis?
Cojoianu, Theodor F.; Hoepner, Andrea G. F.; Schneider, … - In: Regional studies : official journal of the Regional … 57 (2023) 2, pp. 268-286
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Why European banks adjust their dividend payouts?
Belloni, Marco; Grodzicki, Maciej; Jarmuzek, Mariusz - 2023
Economic literature suggests that banks change their dividend payouts for three main reasons. They may be willing to signal good future profitability to shareholders to address information asymmetry, or use dividends to mitigate the agency costs, or could come under pressure from prudential...
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Window dressing of regulatory metrics : evidence from repo markets
Bassi, Claudio; Behn, Markus; Grill, Michael - 2023
This paper investigates both the magnitude and the drivers of bank window dressing behaviour in euro-denominated repo markets. Using a confidential transaction-level data set, our analysis illustrates that banks engineer an economically sizeable contraction in their repo transactions around...
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EU banks’ dividend policies : main determinants and the role of capital ratios
Cardillo, Salvatore; Raponi, Jacopo - 2023
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Quantitative analysis on selected deposits insurance issues for purposes of impact assessment
Bellia, Mario; Calès, L.; Di Girolamo, Francesca Erica; … - Europäische Kommission / Gemeinsame Forschungsstelle - 2023
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Subordinated debt, market discipline, and banking regulation
Yusifzada, Leyla - 2023 - This version: April 19, 2023
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Supervisory stringency, payout restrictions, and bank equity prices
Marsh, W. Blake - 2022
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Safe deposit box regulatory model : an effort to prevent money laundering practices in the Indonesian banking system
Marditia, Putri Purbasari Raharningtyas; Tania, Catherine - In: International Journal of Research in Business and … 11 (2022) 1, pp. 161-169
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Shadow loans and regulatory arbitrage : evidence from China
Liu, Xiaoxi; Liu, Jing; Shim, Ilhyock - 2022
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Risk of regulatory failure of "risk-based regulation" while using enterprise risk management as a meta-regulatory toolkit
Manirujjāmāna, Mohāmmada - In: Asian journal of economics and banking : AJEB 6 (2022) 1, pp. 103-121
Purpose - Debate is growing around the expansion of risk-based regulation. The regulation scholarship provides evidence of regulatory failure of the risk-based approach in different domains, including financial regulation. Therefore, this paper aims to provide cautionary evidence about the risk...
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Role of regulatory governance in financial stability : a comparison of high and low income countries
Ullah, Saif; Hussain, Sayed Irshad; Agha Amad Nabi; … - In: Journal of central banking theory and practice 11 (2022) 1, pp. 207-226
This study explores the effect of regulatory governance on financial stability using cross-sectional data from 55 countries. The findings show that regulatory governance and various subcomponents of regulatory governance are positively correlated with financial stability in the selected...
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Dynamics in complex systems amidst crisis 2008+ : financial regulatory and supervisory reflections
Łasak, Piotr; Wyciślak, Sławomir - In: Risks : open access journal 10 (2022) 2, pp. 1-15
Every financial crisis triggers some regulatory and supervisory changes related to the ensuing threats. These regulations usually address specific types of risks and reduce them but do not protect the entire system from another crisis. The aim of this study was to develop a conceptual framework...
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Political science research on the reasons for the (non) adoption and (non) implementation of EMU reform proposals : the state of the art
Lindner, Vincent; Eckert, Sandra; Nölke, Andreas - 2022
There have been numerous attempts to reform the Economic and Monetary Union (EMU) after the Great Recession, however the reform success varies greatly among sub-fields. Additionally, the political science research community has engaged a diverse set of theory- driven explanations, causal...
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National interests and supranational resolution in the European Banking Union
Tröger, Tobias; Kotovskaia, Anastasia - 2022
We investigate whether the bank crisis management framework of the European banking union can effectively bar the detrimental influence of national interests in cross-border bank failures. We find that both the internal governance structure and decision making procedure of the Single Resolution...
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Banking deregulation and consumption of home durables
Damar, H. Evren; Lange, Ian; McKennie, Caitlin; Moro, Mirko - 2022
We exploit the spatial and temporal variation of the staggered introduction of interstate banking deregulation across the U.S. to study the relationship between credit constraints and consumption of durables. Using the American Housing Survey from 1981 to 1989, we link the timing of these...
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Banking market reaction to auctions of failed banks
Molyneux, Philip; Zhou, Tim Mi - In: International journal of finance & economics : IJFE 27 (2022) 1, pp. 518-534
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Banking reforms, access to credit and misallocation
Chakraborty, Pavel; Mitra, Nirvana - 2022
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The European banks' role in the financial crisis of 2007-8 : a critical assessment
Lysandrou, Photis - 2022
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Governing fintech and fintech as governance : the regulatory sandbox, riskwashing, and disruptive social classification
Brown, Eric; Piroska, Dóra - In: New political economy 27 (2022) 1, pp. 19-32
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Completing the banking union : economic requirements and legal conditions
Beck, Thorsten; Krahnen, Jan Pieter; Martin, Philippe J.; … - 2022
The great financial crisis and the euro area crisis led to a substantial reform of financial safety nets across Europe and - critically - to the introduction of supranational elements. Specifically, a supranational supervisor was established for the euro area, with discrete arrangements for...
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European Banking Union and bank risk disclosure : the effects of the Single Supervisory Mechanism
Altunbaş, Yener; Polizzi, Salvatore; Scannella, Enzo; … - In: Review of quantitative finance and accounting 58 (2022) 2, pp. 649-683
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South Africa : the financial sector-sovereign nexus
Hesse, Heiko; Miyajima, Ken - 2022
Globally, financial institutions have increased their holdings of domestic sovereign debt, tightening the linkage between the health of the financial system and the level of sovereign debt, or the "financial sector-sovereign nexus," during the ongoing COVID-19 pandemic. In South Africa, the...
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Watch what they do, not what they say : estimating regulatory costs from revealed preferences
Alvero, Adrien; Ando, Sakai; Xiao, Kairong - 2022
We show that distortion in the size distribution of banks around regulatory thresholds can be used to identify costs of bank regulation. We build a structural model in which banks can strategically bunch their assets below regulatory thresholds to avoid regulations. The resulting distortion in...
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Usability of bank capital buffers : the role of market expectations
Abad, José M.; Garcia Pascual, Antonio - 2022
Following the COVID shock, supervisors encouraged banks to use capital buffers to support the recovery. However, banks have been reluctant to do so. Provided the market expects a bank to rebuild its buffers, any draw-down will open up a capital shortfall that will weigh on its share price....
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The role for deposit insurance funds in dealing with failing banks in the European Union
Arda, Atilla; Dobler, Marc - 2022
This paper argues that in the European Union (EU) deposit insurance funds are too difficult to use in bank resolution and too easy to use outside resolution. The paper proposes reforms in three areas for the effective management of bank failures of small and medium-sized banks in the European...
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Regulatory reform and the regulatory state in the post-COVID-19 world
In: Fulbright review of economics and policy 2 (2022) 1, pp. 1-19
Purpose Reflecting on recent empirical developments as well as insights from regulatory state theory, the paper considers directions in which the regulatory state could develop in the post-COVID-19 era. Design/methodology/approach: This is a de-contextualised analysis of regulatory developments...
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A note of caution on quantifying banks' recapitalization effects
Schmidt, Kirsten; Noth, Felix; Tonzer, Lena - In: Journal of money, credit and banking : JMCB 54 (2022) 4, pp. 1123-1133
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Banking stability and shadow banking : a new overview for the United States
Fernández Fernández, José Alejandro - In: Australasian accounting business and finance journal : AABF 16 (2022) 4, pp. 131-152
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The new supervisory outlier test (SOT) on net interest income (NII) : empirical evidence from a sample of Italian banks
Curcio, Domenico; Gianfrancesco, Igor; Pansini, Annalisa; … - In: Risk management magazine 17 (2022) 3, pp. 42-52
This paper contributes to prior literature and to the current debate concerning the prudential supervisory framework to measure interest rate risk in the banking book (IRRBB), which has been significantly changed on April 2016, when the Basel Committee on Banking Supervision (BCBS) published the...
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Capital requirements, market structure, and heterogeneous banks
Müller, Carola - Leibniz-Institut für Wirtschaftsforschung Halle - 2022
Bank regulators interfere with the efficient allocation of resources for the sake of financial stability. Based on this trade-off, I compare how different capital requirements affect default probabilities and the allocation of market shares across heterogeneous banks. In the model, banks‘...
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Completing Europe's banking union : economic requirements and legal conditions
Beck, Thorsten; Krahnen, Jan Pieter; Martin, Philippe J.; … - 2022
The European Union's banking union project started in mid-2012 in response to the euro-area crisis, with the goal of breaking the bank-sovereign vicious circle. The objective was also to restore private liability in banking and to move towards an integrated supranational market for banking...
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Improving the efficiency of payments systems using quantum computing
McMahon, Christopher; McGillivray, Donald; Desai, Ajit; … - 2022 - Last updated: December 22, 2022
High-value payment systems (HVPSs) are typically liquidity-intensive because the payment requests are indivisible and settled on a gross basis. Finding the right order in which payments should be processed to maximize the liquidity efficiency of these systems is an NP-hard combinatorial...
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Zur Stützung von Banken im Kontext der Finanzkrise 2008 : Analyse von Instrumenten und Maßnahmen
Körnert, Jan (degree supervisor);  … - 2022
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The impact of changes in bank capital requirements
Raja, Akash - 2022
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Measuring the effects of bank remuneration rules : evidence from the UK
Sakalauskaite, Ieva; Harris, Qun - 2022
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The political economy of financial regulation
Haselmann, Rainer; Sarkar, Arkodipta; Singla, Shikhar; … - 2022
Increased interdependencies across countries have led to calls for greater harmonization of regulations to prevent local shock from spilling over to other countries. Using the rulemaking process of the Basel Committee on Banking Supervision (BCBS), this paper studies the process through which...
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Central Bank of Nigeria prudential guideline and the financial performance of deposit money banks in Nigeria
Emmanuel, Benson; Musa, Bweseh Benjamin; Udi Polycarp, Saman - In: Accounting and taxation review : A&TR 6 (2022) 2, pp. 47-71
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Econometric evaluation of macro prudential policy effects on financial stability
Liu, Zeqin; Fang, Ying; Cai, Zongwu; Lin, Ming - 2022
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Legal regulation of control and supervision of non-banking financial institutions
Buha, Volodymyr; Buha, Hanna; Yali, Anastasiia - In: Baltic Journal of Economic Studies 8 (2022) 4, pp. 26-33
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The Role of Coherence in Strengthening Community Accountability for Remote Schools in Indonesia
Hwa, Yue Yi; Lumbanraja, Sharon Kanthy; Riyanto, Usha … - 2022
Incoherence in accountability relationships, or the lack of alignment between the various components of a specific education system, can hamper the quality of education. Such incoherence can be a particular challenge in resource constrained, remote villages where teachers tend to have higher...
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Myanmar Financial Sector Reforms : Policy Note
World Bank - 2022
During Myanmar's decade of reforms, financial sector reforms were widely recognized to be a critical underpinning of Myanmar's democratization process, enabling the transition to a more egalitarian, accessible economy. Accordingly, the government developed a program of wide-ranging financial...
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Time for an equitable banking resolution
Weltbank - 2022
The economy continues to contract, albeit at a somewhat slower pace. Public finances improved in 2021, but only because spending collapsed faster than revenue generation. Testament to the continued atrophy of Lebanon's economy, the Lebanese Pound continues to depreciate sharply. The sharp...
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Toxic asset subsidies and the early redemption of talf loans
Wilson, Linus - In: International Journal of Financial Studies : open … 10 (2022) 2, pp. 1-20
This paper develops a formula to numerically estimate the unsubsidized, fair-market value of the toxic assets purchased with Federal Reserve loans. It finds that subsidy rates on these loans were on average 33.9 percent at origination. In contrast, by the 3rd quarter of the 2010, there was on...
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Financial intermediaries and the macroeconomy : evidence from a high-frequency identification
Ottonello, Pablo; Song, Wenting - 2022 - Last updated: May 20, 2022
We provide empirical evidence of the causal effects of changes in financial intermediaries' net worth on the aggregate economy. Our strategy identifies financial shocks as high-frequency changes in the market value of intermediaries' net worth in a narrow window around their earnings...
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Financialization, wealth and the changing political aftermaths of banking crises
Chwieroth, Jeffrey M.; Walter, Andrew - In: Socio-economic review 20 (2022) 1, pp. 55-84
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Finance leases : in the shadow of banks
Chang, Jeffery; Yang, Ting; Shi, Yanping - In: Review of finance : journal of the European Finance … 26 (2022) 3, pp. 721-749
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Regulation and Supervision of Fintech : Considerations for EMDE Policymakers
World Bank - 2022
Fintech is transforming the global financial landscape. It is creating new opportunities to advance financial inclusion and development in Emerging Markets and Developing Economies (EMDEs), but also presents risks that require updated supervision policy frameworks. Fintech encompasses new...
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