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EconStor provides a basis for the free publication of academic literature in economics. Any research facility and any scholar may publish and permanently preserve relevant publications in economics on EconStor under the terms of Open Access. The self-uploading process on EconStor is intended mainly for entering texts already published and/or reviewed as postprints (author’s versions, final drafts) or original documents (publishers’ versions). You can also publish other types of documents (working or discussion papers and other preprints, theses, conference proceedings, research reports, expert opinions, reviews etc.) as long as they are not contained within series fully provided and maintained by EconStor. Harvested from : http://www.econstor.eu/dspace/

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Collection's Items (Sorted by Submit Date in Descending order): 861 to 880 of 6600
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Issue DateTitleAuthor(s)
16-Oct-2013A value at risk analysis of credit default swaps-
16-Oct-2013Systemic bank risk in Brazil: an assessment of correlated market, credit, sovereign and inter-bank risk in an environment with stochastic volatilities and correlations-
16-Oct-2013Regulatory capital for market and credit risk interaction: is current regulation always conservative?-
16-Oct-2013The implications of latent technology regimes for competition and efficiency in banking-
16-Oct-2013The impact of downward rating momentum on credit portfolio risk-
16-Oct-2013Estimating asset correlations from stock prices or default rates: which method is superior?-
16-Oct-2013Rollover risk in commercial paper markets and firms' debt maturity choice-
16-Oct-2013The success of bank mergers revisited: an assessment based on a matching strategy-
16-Oct-2013Which interest rate scenario is the worst one for a bank? Evidence from a tracking bank approach for German savings and cooperative banks-
16-Oct-2013Profitability of Western European banking systems: panel evidence on structural and cyclical determinants-
16-Oct-2013Estimating probabilities of default with support vector machines-
16-Oct-2013Analyzing the interest rate risk of banks using time series of accounting-based data: evidence from Germany-
16-Oct-2013Bank mergers and the dynamics of deposit interest rates-
16-Oct-2013Monetary policy and bank distress: an integrated micro-macro approach-
16-Oct-2013Relationship lending: empirical evidence for Germany-
16-Oct-2013Creditor concentration: an empirical investigation-
16-Oct-2013Endogenous credit derivatives and bank behavior-
16-Oct-2013Time-varying contributions by the corporate bond and CDS markets to credit risk price discovery-
16-Oct-2013Banking consolidation and small businessfinance: empirical evidence for Germany-
16-Oct-2013Welfare effects of financial integration-
Collection's Items (Sorted by Submit Date in Descending order): 861 to 880 of 6600
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