SAFE White Paper Series
From Leibniz Institute for Financial Research SAFE Contact information at EDIRC. Bibliographic data for series maintained by ZBW - Leibniz Information Centre for Economics (). Access Statistics for this working paper series.
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- 57: Wie viel Rente wirst du bekommen? Pilotstudie zur Einführung einer Renteninformationsplattform in Deutschland

- Andreas Hackethal, Tabea Bucher-Koenen, Johannes Kasinger and Christine Laudenbach
- 56: Über Scheinriesen: Was TARGET-Salden tatsächlich bedeuten. Eine finanzökonomische Überprüfung

- Jan Krahnen
- 55: Measuring time inconsistency using financial transaction data

- Andrej Gill, Florian Hett and Johannes Tischer
- 54: How demanding and consistent is the 2018 stress test design in comparison to previous exercises? Banking union scrutiny

- Rainer Haselmann and Mark Wahrenburg
- 53: A new governance architecture for European financial markets? Towards a European supervision of CCPs

- Jan Friedrich and Matthias Thiemann
- 52: Stabiles Geld - eine Illusion? Alternative Währungssysteme - Hayeks Fundamentalkritik - Unabhängigkeit der Notenbanken

- Otmar Issing
- 51: Provisioning policies for non-performing loans: How to best ensure a "clean balance sheet"?

- Mark Wahrenburg
- 50: Five years after the Liikanen Report: What have we learned?

- Martin Götz, Jan Krahnen and Tobias Tröger
- 49: EU Mapping 2017: Systematic overview on economic and financial legislation

- Katja Langenbucher, Tobias Tröger, Lara L. Milione and Andreas Roth
- 48: Microfinance - once and today

- Reinhard Schmidt
- 47: Fines for misconduct in the banking sector: What is the situation in the EU?

- Martin R. Götz and Tobias Tröger
- 46: Skin-in-the-game in ABS transactions: A critical review of policy options

- Jan Krahnen and Christian Wilde
- 45: Corporate governance of banks: A German alternative to the "standard model"

- Hans-Helmut Kotz and Reinhard Schmidt
- 44: SME funding without banks? On the interplay of banks and markets

- Günter Franke and Jan Krahnen
- 43: Banks' internal rating models - time for a change? The "system of floors" as proposed by the Basel committee

- Rainer Haselmann and Mark Wahrenburg
- 42: Central banks: From overburdening to decline?

- Otmar Issing
- 41: "Predatory" margins and the regulation and supervision of central counterparty clearing houses (CCPs)

- Jan Krahnen and Loriana Pelizzon
- 40: Das Deutsche Rentensystem: Thesen zur derzeitigen Diskussion um "Umkehr"-Reformen

- Alexander Ludwig
- 39: Fair retail banking: How to prevent mis-selling by banks

- Günter Franke, Thomas Mosk and Eberhard Schnebel
- 38: Demographischer Wandel: Kapitalrenditen, Löhne und Verteilungswirkungen

- Alexander Ludwig
- 37: Euro area shadow banking activities in a low-interest-rate environment: A flow-of-funds perspective

- Guenter Beck and Hans-Helmut Kotz
- 36: Lost in translation? ECB's monetary impulses and financial intermediaries' responses

- Guenter Beck, Hans-Helmut Kotz and Natalia Zabelina
- 35: Should the marketing of subordinated debt be restricted/different in one way or the other? What to do in the case of mis-selling?

- Martin R. Götz and Tobias Tröger
- 34: The German equity trading landscape

- Peter Gomber
- 33: Structural reforms in banking: The role of trading

- Jan Krahnen, Felix Noth and Ulrich Schüwer
- 32: The German banking system: Characteristics and challenges

- Patrick Behr and Reinhard Schmidt
- 31: Fragmentation in the european retail deposit market and implications for loan availability in european member states

- Mark Wahrenburg and Bijan Kaffenberger
- 30: Impairments of Greek government bonds under IAS 39 and IFRS 9: A Case Study

- Günther Gebhardt
- 29: Euro area macro-financial stability: A flow-of-funds perspective

- Guenter Beck, Hans-Helmut Kotz and Natalia Zabelina
- 28: Towards a fiscal union? On the acceptability of a fiscal transfer system in the eurozone

- Shafik Hebous and Alfons Weichenrieder
- 27: Comments on the EU Commission's capital markets union project

- Volker Brühl, Helmut Gründl, Andreas Hackethal, Hans-Helmut Kotz, Jan Krahnen and Tobias Tröger
- 26: The legal framework for the European System of Central Banks

- Helmut Siekmann
- 25: The regulation of repo markets: Incorporating public interest through a stronger role of civil society

- Matthias Thiemann and Marius Birk
- 24: What does US money market mutual fund reform portend for the European Union?

- Craig M. Lewis and Christian Schlag
- 23: Robustness, validity, and significance of the ECB's asset quality review and stress test exercise

- Sascha Steffen
- 22: What do we know about the tax planning of German-based multinational firms?

- Shafik Hebous and Alfons Weichenrieder
- 21: National strategic framework for research & innovation. 2014-2020

- Stamatios Krimigis, George Chrousos, Constantine Dafermos, Kevin Featherstone, Michael Haliassos, Jean Iliopoulos, Amedeo Odoni, Aris Patrinos, George Pavlakis, Doros Theodorou and Artemis Simopoulos
- 20: Neuordnung der Finanzmärkte in Europa durch MiFID II/MiFIR

- Peter Gomber and Frank Nassauer
- 19: Effective resolution of banks: Problems and solutions

- Günter Franke, Jan Krahnen and Thomas von Lüpke
- 18: EU mapping: Systematic overview on economic and financial legislation

- Marcel Gellings, Kai Jungbluth and Katja Langenbucher
- 17: Der makroprudenzielle Komplex: Der Prozess, das Schloss, das Urteil

- Hermann Remsperger
- 16: Forward guidance: A new challenge for central banks

- Otmar Issing
- 15: Monetary policy and balance sheet adjustment

- Otmar Issing
- 14: MiFID: Eine systematische Analyse der Zielerreichung

- Peter Gomber and Benedikt Jäger
- 13: Lessons from the implementation of the Volcker Rule for banking structural reform in the European Union

- Douglas J. Elliott and Christian Rauch
- 12: Zur Offenlegung der Bezüge von Sparkassenführungskräften im Internet

- Helmut Siekmann
- 11: Securities Transaction Tax in France: Impact on market quality and inter-market price coordination

- Peter Gomber, Martin Haferkorn and Kai Zimmermann
- 10: Designing the funding side of the Single Resolution Mechanism (SRM): A proposal for a layered scheme with limited joint liability

- Jan Krahnen and Jörg Rocholl
- 9: Rescue by regulation? Key points of the Liikanen report

- Jan Krahnen
- 8: Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts

- Jan Krahnen
- 7: Challenges for monetary policy

- Otmar Issing
- 6: Taxes, banks and financial stability

- Reint Gropp
- 5: Savings banks and cooperative banks in Europe

- Dilek Bülbül, Reinhard Schmidt and Ulrich Schüwer
- 4: The European Central Bank's outright monetary transactions and the Federal Constitutional Court of Germany

- Helmut Siekmann and Volker Wieland
- 3: Überforderung statt Langeweile?

- Hermann Remsperger
- 2: Legal aspects of gender balance on corporate boards in Germany: This document was requested by Policy Department C of the European Parliament

- Katja Langenbucher
- 1: Civil liability of credit rating agencies: Regulatory all-or-nothing approaches between immunity and over-deterrence

- Brigitte Haar
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Papers sorted by number 110 57
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