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Credit and Capital Markets

2007 - 2021

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Volume 47, issue 4, 2014

The Impact of Regional Economic Conditions on the Efficiency of Saving Banks in the Light of Demographic Change pp. 533-570
Alexander Conrad, Doris Neuberger and Lucinda Trigo Gamarra
Spread Risk Premia in Corporate Credit Default Swap Markets pp. 571-610
Oliver Entrop, Richard Schiemert and Marco Wilkens
Das Google-Suchvolumen als Liquiditätsindikator des Aktienhandels: Evidenz vom weltweiten Agrarsektor pp. 611-640
Thomas Pöppe, Dirk Schiereck and Frank Zielinski
Theoretische Fundierung des internen Rechnungswesens der Banken – zugleich ein Beitrag zur Hermeneutik und Historie der Banktheorie pp. 641-676
Jan Körnert and Klemens Grube
A Letter on Full-Reserve Banking and Friedman’s Rule in Chicago Tradition pp. 677-687
Gerasimos Soldatos and Erotokritos Varelas

Volume 47, issue 3, 2014

Productivity and its Parameters – an Empirical Analysis of Credit Cooperatives pp. 415–437
Frank Richter
An Empirical Analysis of Segmented Pricing of Bond Systematic Risk pp. 439–464
Terry Benzschawel, Liang Fu and Austin Murphy
Theoretical Causes for Vacancies in the Housing Market pp. 465–483
Carolin Fritzsche and Lars Vandrei
Customer Satisfaction in Private Banking pp. 485–520
Volker Seiler and Markus Rudolf

Volume 47, issue 2, 2014

Mario Draghi and Helmut Schmidt – Rescuers Accused to Have Violated the Constitution Or: The Federal German Constitutional Court Decides Which Theory of Finance is Correct pp. 213-240
Adalbert Winkler
Ending Uncertainty: Recapitalisation of Banks Supervised by the SSM pp. 241-264
Silvia Merler and Guntram Wolff
Austerity Programs under Liquidity Constraints: Stylized Facts of Recession in the Euro Area pp. 265-296
Nicos Christodoulakis
Monetary Instability, Lack of Integration and the Curse of a Commodity Money Standard. The German Lands, c.1400–1900 A. D pp. 297-340
Philipp Robinson Rössner
The New European Banking Supervision – a Critical Assessment pp. 341-366
Ulrike Neyer and Thomas Vieten

Volume 47, issue 1, 2014

Standardisation in the Retail Banking Sector Designing Functions for an Individualised Asset Allocation Advisory pp. 103–161
Marcus Kaiser, Hans Ulrich Buhl, Stefan Volkert and Veronica Winkler
Regulatory Forbearance and the Role of Financial Reporting Transparency during a Bank Crisis pp. 49–77
Olaf Clemens and Ulrich Schüwer
Early Warning Indicators for the German Banking System: A Macroprudential Analysis pp. 5–47
Thomas Kick and Nadya Jahn
Performance-Sensitive Government Bonds pp. 79–101
Matthias Bank, Alexander Kupfer and Rupert Sendlhofer

Volume 46, issue 4, 2013

Ein Drei-Punkte-Plan zur Reformierung der Geldpolitik pp. 421-437
Malte Krueger
Regulation, Credit Risk Transfer with CDS, and Bank Lending pp. 439-465
Thilo Pausch and Peter Welzel
What Determines the Interest Margin? An Analysis of the German Banking System pp. 467-494
Andreas Buehn, Alexander Karmann and Marco Pedrotti
Forecasting Changes in House Prices Under Asymmetric Loss: Evidence from the WSJ Forecast Poll pp. 495-521
Christian Pierdzioch, Jan-Christoph Rülke and Georg Stadtmann
Einflussfaktoren auf die Bondemissionsprämie im Bereich der alternativen Energien: Eine Note pp. 523-554
Ludwig Kesch, Daniel Maul and Dirk Schiereck

Volume 46, issue 3, 2013

Probleme der Bankenunion: Falsche Lehren aus der Krise pp. 281-302
Roland Vaubel
The Political Economy of Banking Regulation – Does the Basel 3 Accord Imply a Change? pp. 303-329
Elias Bengtsson
Do We Need a Separate Banking System? An Assessment pp. 331-355
Gunnar Lang and Michael Schröder
Towards a More Stable and Sustainable Financial Architecture – A Discussion and Application of the Quantity Theory of Credit pp. 357-387
Richard Werner
Rethinking Remuneration Laws for the Financial Sector pp. 389-414
Jonathan Ben Shlomo and Tristan Nguyen

Volume 46, issue 2, 2013

Does the Euro Need a State? pp. 159-172
Thomas Mayer
Long Term Effects of Fiscal and Monetary Policy in a Stock-Flow-Consistent Macro-Framework pp. 181-212
Ulrich van Suntum
The U.S. Current Account and Real Effective Dollar Exchange Rates pp. 213-232
Joscha Beckmann, Ansgar Belke and Robert Czudaj
The Financial and Economic Crisis and the Aberrance of Economics pp. 233-246
Thorsten Polleit
Cross-Border Retail Banking: Exploring the Unknown Financial Globalization in Times of Financial Crises pp. 247-274
Harald Sander and Stefanie Kleimeier

Volume 46, issue 1, 2013

ECB 2.0: Bye-bye Bundesbank pp. 1-12
Martin Lück
The Euro Crisis from the Perspective of the Preceding Debates on Fixed versus Flexible Exchange Rates and the European Currency Union pp. 13-27
Rudolf Richter
Gefährdet der Ankauf von Staatsanleihen die Unabhängigkeit der EZB? pp. 29-52
Beate Sauer
The Economics of Systemic Disorder: Roots of and Remedies for Unsustainable Monetary Imbalances pp. 53-77
Edoardo Beretta
Evaluating Phillips Curve Based Inflation Forecasts in Europe: A Note pp. 79-93
Carsten Croonenbroeck
Rating-Meldungen europäischer Staaten und Werteffekte bei US-Banken: Eine Note zur Interdependenz globaler Kapitalmärkte pp. 95-117
Christian Happ, Frederik Schauer and Dirk Schiereck
German Open Ended Real Estate Fund Performance – The Impact of Liquidity pp. 119-151
Michael Stein

Volume 45, issue 4, 2012

Target-Salden und die deutsche Kapitalbilanz im Zeichen der europäischen Zahlungsbilanzkrise pp. 465-487
Hans-Werner Sinn and Timo Wollmershäuser
Principles of a Two-Tier European Deposit (Re-)Insurance System pp. 489-499
Daniel Gros
Interest Rate Rules and Money as an Indicator Variable pp. 501-529
Christina Gerberding, Franz Seitz and Andreas Worms
Bank Profitability, Globalisation and Barriers to Entrepreneurship. A Panel Data Analysis for Europe and the United States (1999–2007) pp. 531-544
Miltiades N. Georgiou and Nicholas Kyriazis
Produktspezifische Risiken von europäischen Exchange Traded Funds und Ansätze zur Risikominimierung pp. 545-567
Harald Kinateder

Volume 45, issue 3, 2012

Elektronische Kreditmarktplätze: Funktionsweise, Gestaltung und Erkenntnisstand bei dieser Form des „Peer-to-Peer Lending“ pp. 289-311
Sven Christian Berger and Bernd Skiera
Internet Bondholder Relations: Explaining Differences in Transparency Among German Issuers of Corporate Bonds pp. 313-341
Heinrich Degenhart and Steve Janner
Portfolio Complexity and Herd Behavior: Evidence from the German Mutual Fund Market pp. 343-371
Alexander Franck and Andreas Walter
Zur Rendite-Risiko-Beziehung am deutschen Aktienmarkt Eine empirische Analyse der Beziehung zwischen dem Deutschen Aktienindex DAX und dem Volatilitätsindex VDAX pp. 373-406
Hubert Dichtl and Wolfgang Drobetz
Prognosen von Metallpreisen: Asymmetrische Verlustfunktionen und Rationalität pp. 407-440
Christian Pierdzioch, Jan-Christoph Rülke and Georg Stadtmann

Volume 45, issue 2, 2012

TARGET2 and the European Sovereign Debt Crisis pp. 135–174
Ulrich Bindseil and Philipp König
Risk Measurement with a Safety Belt: Pareto Meets Chebyshev pp. 175–187
Karl-Heinz Tödter
Mehrperiodenausfallprognose eines Bankportfolios aus deutschen mittelständischen Unternehmen pp. 189-217
Marcus Wolter and Daniel Rösch
Optimale Darlehensbündel in der privaten Immobilienfinanzierung bei steigender Zinsstrukturkurve pp. 219–242
Frank Schuhmacher
Vorschlag eines Bewertungskonzepts von Zertifikaten pp. 243–266
Armin Varmaz and Christian Fieberg

Volume 45, issue 1, 2012

The Financial Crisis from a Forecaster’s Perspective pp. 1–26
Katja Drechsel and Rolf Scheufele
Barro-Gordon Revisited: Reputational Equilibria in a New Keynesian Model pp. 27–50
Hans-Werner Wohltmann and Alexander Totzek
Banks in Disadvantaged Areas pp. 51-78
Johann Burgstaller
Die Konstruktion eines Performanceindexes für geschlossene Schiffsfonds pp. 79–113
Wolfgang Drobetz, Lars Tegtmeier and Mihail Topalov
Page updated 2021-06-13