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Year of publication
Subject
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Bankenregulierung 13,830 Bank regulation 13,662 Bank 3,954 USA 3,146 United States 3,101 Finanzkrise 2,800 Financial crisis 2,737 Theorie 2,324 Theory 2,296 Welt 2,265 World 2,234 Bankenaufsicht 2,168 Regulierung 2,096 Banking supervision 2,068 Regulation 1,964 Bankenkrise 1,848 Banking crisis 1,786 Finanzsektor 1,674 Financial sector 1,667 Finanzmarktregulierung 1,496 Financial market regulation 1,486 EU-Staaten 1,454 EU countries 1,436 Basler Akkord 1,384 Basel Accord 1,373 Geldpolitik 1,319 Bankrisiko 1,273 Monetary policy 1,273 Bank risk 1,263 Finanzmarkt 914 Financial market 895 Bankinsolvenz 828 Bank failure 820 Bankenliquidität 806 Einlagensicherung 801 Deposit insurance 794 Bank liquidity 791 Deutschland 626 Germany 580 Deregulierung 575
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Online availability
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Free 4,374 Undetermined 1,467
Type of publication
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Book / Working Paper 7,949 Article 5,885 Journal 166
Type of publication (narrower categories)
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Article in journal 4,627 Aufsatz in Zeitschrift 4,627 Graue Literatur 2,993 Non-commercial literature 2,993 Working Paper 1,940 Arbeitspapier 1,879 Aufsatz im Buch 1,254 Book section 1,254 Collection of articles of several authors 783 Sammelwerk 783 Hochschulschrift 420 Konferenzschrift 344 Thesis 323 Amtsdruckschrift 307 Government document 307 Conference proceedings 271 Aufsatzsammlung 200 Bibliografie enthalten 134 Bibliography included 134 Lehrbuch 92 Glossar enthalten 70 Glossary included 70 Collection of articles written by one author 67 Sammlung 67 Conference paper 62 Konferenzbeitrag 62 Mehrbändiges Werk 48 Multi-volume publication 48 Article 32 Case study 32 Fallstudie 32 Handbook 32 Handbuch 32 Gesetz 30 Law 30 No longer published / No longer aquired 29 Kommentar 28 Festschrift 26 Bibliografie 25 Commentary 25
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Language
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English 11,882 German 1,174 Spanish 263 French 217 Italian 116 Russian 115 Polish 69 Hungarian 63 Undetermined 34 Croatian 19 Portuguese 18 Dutch 16 Swedish 12 Norwegian 10 Ukrainian 10 Danish 8 Slovak 8 Czech 6 Finnish 4 Albanian 4 Serbian 4 Romanian 2 Chinese 2 Bulgarian 1 Armenian 1 Latvian 1 Turkish 1
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Author
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Kane, Edward J. 88 Barth, James R. 73 Levine, Ross 61 Kaufman, George G. 53 Schoenmaker, Dirk 53 Laeven, Luc 50 Beck, Thorsten 48 Goodhart, Charles A. E. 47 Calomiris, Charles W. 46 Caprio, Gerard 46 Hasan, Iftekhar 44 Berger, Allen N. 39 Acharya, Viral V. 37 Thakor, Anjan V. 36 Mishkin, Frederic S. 35 White, Lawrence J. 34 Buch, Claudia M. 32 Ojo D Delaney PhD, Marianne 32 Masciandaro, Donato 30 Ongena, Steven 30 Demirgüç-Kunt, Asli 29 Llewellyn, David T. 29 Allen, Franklin 27 Carletti, Elena 27 Evanoff, Douglas Darrell 27 Honohan, Patrick 27 Mayes, David G. 27 Rudolph, Bernd 27 Wall, Larry D. 27 Gersbach, Hans 26 Litan, Robert E. 26 Perotti, Enrico C. 26 Benston, George J. 24 Claessens, Stijn 24 Vives, Xavier 24 Adrian, Tobias 23 Dermine, Jean 23 Gorton, Gary 23 Rochet, Jean-Charles 23 Seru, Amit 23
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Institution
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National Bureau of Economic Research 109 Internationaler Währungsfonds 44 Basel Committee on Banking Supervision 31 Federal Reserve Bank of Chicago 24 SUERF - The European Money and Finance Forum 24 USA / General Accounting Office 22 Banca d'Italia 21 Weltbank 19 Asian Development Bank 17 USA / Congress / Senate / Committee on Banking, Housing and Urban Affairs 16 Europäische Kommission 15 World Bank 14 Group of Thirty 13 Brookings Institution 12 Edward Elgar Publishing 10 Inter-American Development Bank 10 Springer Fachmedien Wiesbaden 10 Federal Deposit Insurance Corporation <Washington, DC> 9 USA / Subcommittee on Financial Institutions and Consumer Credit 9 Ungarn / Pénzügyminisztérium 9 Centro de Estudios Monetarios Latinoamericanos <México> 8 Internationaler Währungsfonds / Monetary and Exchange Affairs Department 8 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 7 OECD 7 Economic Development Institute 6 Europäische Zentralbank 6 Europäisches Parlament 6 Federal Reserve Bank of San Francisco 6 Hongkong / Monetary Authority 6 Institute of European Finance <Bangor, Gwynedd> 6 International Organization of Securities Commissions 6 The Wharton Financial Institutions Center 6 USA / Congress / House of Representatives / Committee on Banking, Finance and Urban Affairs 6 USA / Government Accountability Office 6 Világgazdasági Kutató Intézet 6 Bundesverband Deutscher Banken 5 Eidgenössische Bankenkommission 5 Europäische Union / Rat 5 Federal Reserve Bank of Kansas City 5 Federal Reserve Bank of St. Louis 5
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Published in...
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Journal of banking & finance 194 NBER working paper series 103 Working paper / National Bureau of Economic Research, Inc. 96 Journal of banking regulation 84 Journal of financial stability 81 Discussion paper / Centre for Economic Policy Research 79 Journal of money, credit and banking : JMCB 71 IMF country report 70 Policy research working paper : WPS 68 Economic review 65 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 64 Journal of financial services research : JFSR 58 IMF working paper 50 Journal of financial regulation and compliance : an international journal 49 Bank-Archiv : Zeitschrift für das gesamte Bank- und Börsenwesen : journal of banking and financial research 46 Journal of financial intermediation 45 NBER Working Paper 45 Revue d'économie financière : revue trimestrielle de l'Association d'Economie Financière 45 SpringerLink / Bücher 45 Discussion papers / CEPR 39 Finance and economics discussion series 38 IMF working papers 36 Bank of Finland research discussion papers 34 Palgrave Macmillan studies in banking and financial institutions 34 Staff working paper 33 Working paper series / European Central Bank 33 ECB Working Paper 32 Journal of economics & business 32 Journal of international financial markets, institutions & money 32 Research in financial services : private and public policy 32 International journal of central banking : IJCB 31 Journal of financial economics 31 Applied economics 30 CESifo working papers 29 IMF Working Paper 29 Bankszemle : a bankok és a pénzintézetek szakfolyóirata 28 Europäische Hochschulschriften / 5 28 The Cato journal : an interdisciplinary journal of public policy analysis 28 Review of finance : journal of the European Finance Association 25 SAFE working paper 25
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Source
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ECONIS (ZBW) 13,789 EconStor 122 USB Cologne (EcoSocSci) 59 OLC EcoSci 19 RePEc 9 BASE 2
Showing 1 - 50 of 14,000
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Zimbabwe : technical assistance report : Basel III implementation
Internationaler Währungsfonds - 2022
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Persistent link: https://ebtypo.dmz1.zbw/10013168857
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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
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Usability of bank capital buffers : the role of market expectations
Abad, José M.; Garcia Pascual, Antonio - 2022
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The role for deposit insurance funds in dealing with failing banks in the European Union
Arda, Atilla; Dobler, Marc - 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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Large banks, market-based banking, and the financialisation of Danish mortgage markets
Gallagher, Patrick - In: New political economy 27 (2022) 1, pp. 160-175
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Values-based and global systemically important banks : their stability and the impact of regulatory changes after the financial crisis on it
Schäfer, Theresa; Utz, Sebastian - In: Asia Pacific financial markets 29 (2022) 1, pp. 5-32
Persistent link: https://ebtypo.dmz1.zbw/10013175255
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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...
Persistent link: https://ebtypo.dmz1.zbw/10012939061
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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...
Persistent link: https://ebtypo.dmz1.zbw/10012806475
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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...
Persistent link: https://ebtypo.dmz1.zbw/10012814380
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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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The European banks' role in the financial crisis of 2007-8 : a critical assessment
Lysandrou, Photis - 2022
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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
Persistent link: https://ebtypo.dmz1.zbw/10012818250
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Banking and inside money : revisiting the efficiency of deposit contracts
Rivero, David; Rodríguez, Hugo - 2022 - Revised: February 2022
Persistent link: https://ebtypo.dmz1.zbw/10012821422
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Shadow loans and regulatory arbitrage : evidence from China
Liu, Xiaoxi; Liu, Jing; Shim, Ilhyock - 2022
Persistent link: https://ebtypo.dmz1.zbw/10012888428
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Bank opacity - patterns and implications
Avdjiev, Stefan; Jager, Maximilian - 2022
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Supervisory stringency, payout restrictions, and bank equity prices
Marsh, W. Blake - 2022
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Essays on bank regulation and supervision
Avezum, Lucas - 2022
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The effect of financial inclusion and competitiveness on financial stability : why financial regulation matters in developing countries?
Jungo, João; Madaleno, Mara; Botelho, Anabela - In: Journal of risk and financial management : JRFM 15 (2022) 3, pp. 1-20
This study aims to assess the effect of financial inclusion and competitiveness on banks’ financial stability, considering the moderating role of financial regulation. To do so, we compare the effects of these variables in Sub-Saharan African (SSA) and Latin American and Caribbean (LAC)...
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No need to worry? : estimating the exposure of the German banking sector to climate-related transition risks
D'Orazio, Paola; Hertel, Tobias; Kasbrink, Fynn - 2022
Climate change poses several risks to the value of financial assets and financial stability. The study conducted in this paper focuses on the German banking sector and estimates its exposure to climate risks arising from a transition to a carbon-neutral economy. Our analysis identifies the...
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A tale of two supervisors : compliance with risk disclosure regulation in the banking sector
Bischof, Jannis; Daske, Holger; Elfers, Ferdinand; … - In: Contemporary accounting research : the journal of the … 39 (2022) 1, pp. 498-536
Persistent link: https://ebtypo.dmz1.zbw/10013165399
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Finance for the post-Covid world: risks and opportunities
Beck, Thorsten; Pak, Yŏng-chŏl - In: Prospects of the global economy after Covid-19, (pp. 79-110). 2022
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Optimal timing of policy interventions in troubled banks
König, Philipp Johann; Mayer, Paul; Pothier, David - 2022
We analyze the problem of a policy authority (PA) that must decide when to resolve a troubled bank whose underlying solvency is uncertain. Delaying resolution increases the chance that information arrives that reveals the bank's true solvency state. However, delaying resolution also gives...
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The single supervisory mechanism : competitive implications for the banking sectors in the euro area
Okolelova, Iryna; Bikker, Jacob A. - In: International journal of finance & economics : IJFE 27 (2022) 2, pp. 1818-1835
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100 años de la Ley de Ordenación Bancaria de 1921
Martín Aceña, Pablo; Martínez Ruiz, Elena - 2022
Persistent link: https://ebtypo.dmz1.zbw/10013184739
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Back to the roots of internal credit risk models : why do banks' risk-weighted asset levels converge over time?
Böhnke, Victoria; Ongena, Steven; Paraschiv, Florentina; … - 2022
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A risky bet : climate change and the eu’s microprudential framework for banks
Smoleńska, Agnieszka; Klooster, Jens van 't - In: Journal of financial regulation 8 (2022) 1, pp. 51-74
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Addressing systemic risk in Europe during Covid-19 : the role of regulation and the policy mix
Dotta, Vitor - 2022
This work examines the impacts which the Covid-19 pandemic brought to the stability of the European financial sector. Lockdowns, businesses unable to operate and uncertainty about how the pandemic would evolve fueled a sharp recession. From the lessons learned in the global financial crises and...
Persistent link: https://ebtypo.dmz1.zbw/10013188926
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Asymmetric systemic risk
Raykov, Radoslav; Silva-Buston, Consuelo - 2022 - Last updated: May 2, 2022
Bank regulation is based on the premise that risks spill over more easily from large banks to the banking system than vice versa. On the contrary, we document that risk transmission is stronger in the system-to-bank direction. We term this asymmetric systemic risk, measure it with net exposure...
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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...
Persistent link: https://ebtypo.dmz1.zbw/10012807771
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The role of regulation and bank competition in small firm financing : evidence from the Community Reinvestment Act
Avramidis, Panagiotis; Pennacchi, George G.; Serfes, … - 2022
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The consequences of the bank levy in Poland
Kapuściński, Mariusz - 2022
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What ails bank deposit mobilization and credit creation in Kenya?
Maturu, Benjamin - 2021
We estimate a proposed core financial intermediation model built upon an extended classical quantity theory using Bayesian econometric techniques. The findings suggest that the persistent deceleration in bank deposits, bank credit and domestic final output during the most of the second half of...
Persistent link: https://ebtypo.dmz1.zbw/10012807555
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Has the Comprehensive Assessment made the European financial system more resilient?
Calò, Silvia; Gregori, Wildmer Daniel; Petracco … - 2021 - This version: September 2021
What has been the impact of the Comprehensive Assessment (CA) carried out by the ECB on banks' resilience? Implementing a difference-indifference approach, we analyse a non-risk based measure defined as the ratio of Tier 1 capital over total assets of European banks' balance sheets during the...
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The fragile triangle : price stability, bank regulation and central bank reserves
Gersbach, Hans - 2021
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Prudential policy with distorted beliefs
Dávila, Eduardo; Walther, Ansgar - 2021
This paper studies leverage regulation and monetary policy when equity investors and/or creditors have distorted beliefs relative to a planner. We characterize how the optimal leverage regulation responds to arbitrary changes in investors' and creditors' beliefs and relate our results to...
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Quantifying the economic benefits of payments modernization: the case of the large-value payment system
Arjani, Neville; Li, Fuchun; Lu, Zhentong - 2021 - Last updated: December 17, 2021
In this paper, we develop a discrete choice framework to quantify the economic benefits of payments modernization in Canada. Focusing on Canada's large-value transfer system (LVTS), we first estimate participants' preferences for liquidity cost, payment safety and the network effect by...
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What are banks' actual capital targets?
Couaillier, Cyril - 2021
How do banks set their target capital ratio? How do they adjust to reach it? This paper answers these questions using an original dataset of capital ratio targets directly announced to investors by European banks, materially improving data quality compared to usual estimated implicit target. It...
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To bail-in or to bailout : that’s the (macro) question
Katz, Matthijs; Kwaak, Christiaan van der - 2021
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Stablecoin assessment framework
García, Alejandro; Lands, Bena; Yanchus, Dennis - 2021
We outline a three-step framework to investigate stablecoin arrangements and quantitatively assess their risk. The first step is to classify the stablecoin arrangement into three parts-coin structure, transfer system(s) and financial service(s) - and categorize the attributes of each part. The...
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The contagion effect and its mitigation in the modern banking system
Koleśnik, Jan - In: European research studies 24 (2021) 1, pp. 1009-1024
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Economics of capital adjustment in the US commercial banks : empirical analysis
Abbas, Faisal; Ali, Shoaib; Rubbaniy, Ghulame - In: Journal of applied economics 24 (2021) 1, pp. 71-90
Using GMM framework on the data of the US commercial banks spanning over 2002 to 2018, this study shows that banks adjust their regulatory capital ratios faster than traditional capital ratios. Our results show that the speed of adjustment of regulatory capital ratios and traditional capital...
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Congruent financial regulation
Metrick, Andrew; Tarullo, Daniel K. - 2021 - Draft: March 31, 2021
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Window dressing systemic importance: evidence from EU banks and the G-SIB framework
Garcia, Luis; Lewrick, Ulf; Sečnik, Taja - 2021
Building on previous research, we study banks' balance sheet year‐end patterns in the European Union (EU) to assess the impact on supervisory measures of their systemic importance. We find that some global systemically important banks (G‐SIBs) in the EU compress their balance sheet at...
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Precision of public information disclosures, banks' stability and welfare
Moreno, Diego; Takalo, Tuomas - 2021
We study the optimal precision of public information disclosures about banksíassets quality. In our model the precision of information a§ects banksí cost of raising funding and asset proÖle riskiness. In an imperfectly competitive banking sector, banksístability and social surplus are...
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Does regulation only bite the less profitable? : evidence from the too-bigto-fail reforms
Goel, Tirupam; Lewrick, Ulf; Mathur, Aakriti - 2021
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Banks' foreign claims in the aftermath of the 2008 crisis : institutional response, financial efficiency, and integration of cross-border banking in the Euro area
Warin, Thierry; Stojkov, Aleksandar - In: Journal of risk and financial management : JRFM 14 (2021) 2/61, pp. 1-17
Beyond financial stability as the European Banking Union's primary objective, the European capital market integration provides an impetus for deepening bank integration and greater financial market efficiency. This article proposes an empirical framework to assess the dynamics of euro area...
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Idiosyncratic viral loss theory : systemic operational losses in banks
Velez, Sophia Beckett - In: Journal of risk and financial management : JRFM 14 (2021) 2/82, pp. 1-13
Basel III regulation intent is to increase the resiliency of banks through effective risk management practices that can reduce significant idiosyncratic operational losses. A systemic risk event that leads to significant losses in a bank holding company (BHC) can expose them to become insolvent...
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Fintech regulation : how to achieve a level playing field
Restoy, Fernando - 2021
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Softening the blow : U.S. state level banking deregulation and sectoral reallocation after the China trade shock
Hoffmann, Mathias; Ruslanova, Lilia - 2021
U.S. state-level banking deregulation during the 1980’s mitigated the impact of the China trade shock (CTS) on local economies (states and commuting zones) a decade later, in the 1990s. Local economies, where local banking markets opened up earlier, were also effectively financially more...
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