Jan Pieter Krahnen : Citation Profile


Are you Jan Pieter Krahnen?

Goethe Universität Frankfurt am Main (40% share)
Leibniz-Institut für Finanzmarktforschung SAFE (Sustainable Architecture for Finance in Europe) (40% share)
Center for Financial Studies (20% share)

14

H index

18

i10 index

1068

Citations

RESEARCH PRODUCTION:

20

Articles

76

Papers

1

Chapters

EDITOR:

3

Books edited

RESEARCH ACTIVITY:

   24 years (1995 - 2019). See details.
   Cites by year: 44
   Journals where Jan Pieter Krahnen has often published
   Relations with other researchers
   Recent citing documents: 54.    Total self citations: 31 (2.82 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pkr72
   Updated: 2022-11-19    RAS profile: 2021-01-04    
   Missing citations? Add them    Incorrect content? Let us know

Relations with other researchers


Works with:

Tröger, Tobias (3)

Wilde, Christian (3)

Authors registered in RePEc who have co-authored more than one work in the last five years with Jan Pieter Krahnen.

Is cited by:

Ongena, Steven (38)

Neuberger, Doris (27)

Degryse, Hans (18)

Marques-Ibanez, David (18)

Norden, Lars (16)

Weber, Martin (14)

Raethke, Solvig (13)

Wagner, Wolf (12)

Berger, Allen (11)

Koetter, Michael (11)

CORNEE, Simon (11)

Cites to:

Rajan, Raghuram (29)

Weber, Martin (19)

Thakor, Anjan (13)

Rochet, Jean (13)

Shleifer, Andrei (13)

Bester, Helmut (12)

Franke, Günter (12)

Ongena, Steven (11)

Boot, Arnoud (11)

Stulz, René (10)

Hellwig, Martin (10)

Main data


Where Jan Pieter Krahnen has published?


Journals with more than one article published# docs
Perspektiven der Wirtschaftspolitik3
Journal of Economic Psychology2
Journal of Banking & Finance2

Working Papers Series with more than one paper published# docs
CFS Working Paper Series / Center for Financial Studies (CFS)21
SAFE Policy Letters / Leibniz Institute for Financial Research SAFE21
SAFE White Paper Series / Leibniz Institute for Financial Research SAFE11
CEPR Discussion Papers / C.E.P.R. Discussion Papers5
SAFE Working Paper Series / Leibniz Institute for Financial Research SAFE4
IMFS Working Paper Series / Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS)3

Recent works citing Jan Pieter Krahnen (2022 and 2021)


YearTitle of citing document
2021Collateral in bank lending during the financial crises:a borrower and a lender story.. (2021). Affinito, Massimiliano ; Stacchini, Massimiliano ; Sabatini, Fabiana. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1352_21.

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2022Do cooperative banks matter for new business creation? Evidence on Italian manufacturing industry. (2022). Errico, Lucia ; Agostino, Mariarosaria ; Trivieri, Francesco ; Rondinella, Sandro. In: Annals of Public and Cooperative Economics. RePEc:bla:annpce:v:93:y:2022:i:3:p:637-675.

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2021Securitization of assets and risk transfer in a large emerging market: Evidence from Brazil. (2021). de Mendonça, Helder ; Barcelos, Vivian Iris ; de Mendona, Helder Ferreira ; deMendona, Helder Ferreira . In: Bulletin of Economic Research. RePEc:bla:buecrs:v:73:y:2021:i:4:p:580-605.

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2021A Dynamic Model of Optimal Creditor Dispersion. (2021). Zhong, Hongda. In: Journal of Finance. RePEc:bla:jfinan:v:76:y:2021:i:1:p:267-316.

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2022Gender gap and access to finance: A cross?country analysis. (2022). Sasidharan, Subash ; Chundakkadan, Radeef. In: Review of Development Economics. RePEc:bla:rdevec:v:26:y:2022:i:1:p:180-207.

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2021Three Projects in the New Law and Finance. (2021). Dan, Awrey. In: Accounting, Economics, and Law: A Convivium. RePEc:bpj:aelcon:v:11:y:2021:i:1:p:9-25:n:1.

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2022Four facts about relationship lending: The case of Chile 2012-2019. (2022). Taboada, Manuel ; Pratap, Sangeeta ; Acosta-Henao, Miguel. In: Working Papers Central Bank of Chile. RePEc:chb:bcchwp:956.

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2021Is assurance on risk management systems relevant for bankers’ decisions?. (2021). Gauch, Kevin ; Quick, Reiner. In: Advances in accounting. RePEc:eee:advacc:v:55:y:2021:i:c:s0882611021000523.

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2022Literature review of experimental asset markets with insiders. (2022). Merl, Robert. In: Journal of Behavioral and Experimental Finance. RePEc:eee:beexfi:v:33:y:2022:i:c:s2214635021001404.

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2021Network VAR models to measure financial contagion. (2021). Giudici, Paolo ; Ahelegbey, Daniel Felix ; Hashem, Shatha Qamhieh. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:55:y:2021:i:c:s1062940820302059.

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2022Development banks and the syndicate structure: Evidence from a world sample. (2022). Zhou, Si ; Frigerio, Marco ; Deglinnocenti, Marta. In: Journal of Empirical Finance. RePEc:eee:empfin:v:66:y:2022:i:c:p:99-120.

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2022Regulatory technology (Reg-Tech) in financial stability supervision: Taxonomy, key methods, applications and future directions. (2022). Ergu, Daji ; Qian, Qian ; Li, Tie ; Chen, Jia ; Ran, Qin ; Chao, Xiangrui. In: International Review of Financial Analysis. RePEc:eee:finana:v:80:y:2022:i:c:s1057521922000035.

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2021How does economic policy uncertainty affect corporate risk-taking? Evidence from China. (2021). Li, Cui ; Wen, Fenghua ; Shao, Liuguo. In: Finance Research Letters. RePEc:eee:finlet:v:41:y:2021:i:c:s1544612320316548.

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2021New insights into bank asset securitization: The impact of religiosity. (2021). Mollah, Sabur ; Batten, Jonathan A ; Elnahass, Marwa ; Abdelsalam, Omneya. In: Journal of Financial Stability. RePEc:eee:finsta:v:54:y:2021:i:c:s1572308921000139.

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2022Skin-in-the-game in ABS transactions: A critical review of policy options. (2022). Wilde, Christian ; Krahnen, Jan-Pieter. In: Journal of Financial Stability. RePEc:eee:finsta:v:60:y:2022:i:c:s1572308922000262.

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2022Systemic risk measures and regulatory challenges. (2022). Brzeszczyski, Janusz ; Sharma, Satish ; Ellis, Scott. In: Journal of Financial Stability. RePEc:eee:finsta:v:61:y:2022:i:c:s1572308921001194.

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2021Relationship lending: A source of support or a means of exploitation?. (2021). Harris, Mark ; Durand, Robert B ; Hussain, Inayat. In: Global Finance Journal. RePEc:eee:glofin:v:48:y:2021:i:c:s1044028319302340.

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2021National culture and small firms use of trade credit: Evidence from Europe. (2021). Belghitar, Yacine ; Moro, Andrea ; Mateus, Cesario. In: Global Finance Journal. RePEc:eee:glofin:v:49:y:2021:i:c:s1044028321000533.

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2022Asset securitizations and bank stability: Evidence from different banking systems. (2022). Williams, Julian ; Ahmed, Habib ; Elnahass, Marwa ; Abdelsalam, Omneya. In: Global Finance Journal. RePEc:eee:glofin:v:51:y:2022:i:c:s1044028319302856.

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2022Simulating fire sales in a system of banks and asset managers. (2022). Ochowski, Dawid ; Haaj, Grzegorz ; Calimani, Susanna. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:138:y:2022:i:c:s037842661930281x.

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2021Relationship finance, informed liquidity, and monetary policy. (2021). Murro, Pierluigi ; Minetti, Raoul ; Araujo, Luis. In: Journal of Economic Theory. RePEc:eee:jetheo:v:193:y:2021:i:c:s0022053121000272.

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2022Intermediation in the interbank lending market. (2022). Ma, Yiming ; Craig, Ben. In: Journal of Financial Economics. RePEc:eee:jfinec:v:145:y:2022:i:2:p:179-207.

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2021The real effects of relationship lending?. (2021). Sette, Enrico ; Gambacorta, Leonardo ; Banerjee, Ryan. In: Journal of Financial Intermediation. RePEc:eee:jfinin:v:48:y:2021:i:c:s1042957321000243.

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2022Monetary policy uncertainty and firm risk-taking. (2022). Zhang, Xiaoge ; Wang, Yong ; Luo, Weijie. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:71:y:2022:i:c:s0927538x2100202x.

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2021Systemic risk in the interbank market with overlapping portfolios and cross-ownership of the subordinated debts. (2021). Fan, Hong ; Jiang, Shanshan. In: Physica A: Statistical Mechanics and its Applications. RePEc:eee:phsmap:v:562:y:2021:i:c:s0378437120307135.

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2021Optimal time-varying tail risk network with a rolling window approach. (2021). Zhang, Shuai. In: Physica A: Statistical Mechanics and its Applications. RePEc:eee:phsmap:v:580:y:2021:i:c:s0378437121004003.

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2021Tax avoidance through securitization. (2021). Uhde, Andre. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:79:y:2021:i:c:p:411-421.

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2021The macroeconomic effects of default and debt restructuring: An agent based exploration. (2021). Tedeschi, Gabriele ; Gallegati, Mauro ; Delli-Gatti, Domenico ; Vidal-Tomas, David. In: International Review of Economics & Finance. RePEc:eee:reveco:v:76:y:2021:i:c:p:1146-1163.

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2022Will the Chinas carbon emissions market increase the risk-taking of its enterprises?. (2022). Lin, Boqiang ; Wu, Nan. In: International Review of Economics & Finance. RePEc:eee:reveco:v:77:y:2022:i:c:p:413-434.

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2021A dynamic model of optimal creditor dispersion. (2020). Zhong, Hongda. In: LSE Research Online Documents on Economics. RePEc:ehl:lserod:106646.

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2021Credit Risk Elements for Small and Medium-Sized Enterprises: The Case of Spain. (2021). Olasolo, Aitziber. In: International Journal of Economics & Business Administration (IJEBA). RePEc:ers:ijebaa:v:ix:y:2021:i:2:p:192-219.

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2022Defeasance of Control Rights. (2011). Bienz, Carsten ; Faure-Grimaud, Antoine ; Fluck, Zsuzsanna . In: FMG Discussion Papers. RePEc:fmg:fmgdps:dp679.

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2021Financial Distress and Information Sharing: Evidences from the Italian Credit Register. (2021). Mattarocci, Gianluca ; Gibilaro, Lucia. In: Risks. RePEc:gam:jrisks:v:9:y:2021:i:5:p:94-:d:553046.

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2021Literature Review of Experimental Asset Markets with Insiders. (2021). Merl, Robert. In: Working Paper Series, Social and Economic Sciences. RePEc:grz:wpsses:2021-04.

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2021Bubbles and incentives: an experiment on asset markets. (2021). Villeval, Marie Claire ; Straznicka, Katerina . In: Post-Print. RePEc:hal:journl:halshs-03033454.

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2022The financial network channel of monetary policy transmission: An agent-based model. (2022). Russo, Alberto ; Riccetti, Luca ; Lima, Gilberto ; Alexandre, Michel. In: Working Papers. RePEc:jau:wpaper:2022/01.

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2021Do National Differences in Social Capital and Corporate Ethical Behaviour Perceptions Influence the Use of Collateral? Cross-Country Evidence. (2021). Pasiouras, Fotios ; Tasiou, Menelaos ; Papadimitri, Panagiota. In: Journal of Business Ethics. RePEc:kap:jbuset:v:172:y:2021:i:4:d:10.1007_s10551-019-04412-4.

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2022Relationship Lending and Liquidation Under Imperfect Information. (2022). Tassel, Eric. In: Journal of Financial Services Research. RePEc:kap:jfsres:v:61:y:2022:i:1:d:10.1007_s10693-020-00336-7.

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2022Relationship Lending and Switching Costs under Asymmetric Information about Bank Types. (2022). J.-P. Niinimaki, . In: Journal of Financial Services Research. RePEc:kap:jfsres:v:61:y:2022:i:1:d:10.1007_s10693-020-00347-4.

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2021Can Securitization Enhance Financial Stability? (Case of the I.R. of Iran). (2021). Ahmadian, Azam ; Khansari, Rasool ; Pasha, Mohammad Valipour. In: Journal of Money and Economy. RePEc:mbr:jmonec:v:16:y:2021:i:3:p:323-347.

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2021Methods for alleviating the problem of Too big to fail in Germany. (2021). Dbkowska, Anna ; Kolenik, Jan. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:22:y:2021:i:1:d:10.1057_s41261-020-00125-1.

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2022Does board composition and ownership structure affect banks’ systemic risk? European evidence. (2022). Mateus, Cesario ; Garcia-Gomez, Conrado Diego ; Farinha, Jorge Bento ; Diez-Esteban, Jose Maria. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:23:y:2022:i:2:d:10.1057_s41261-021-00148-2.

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2021Machine Learning and Credit Risk: Empirical Evidence from SMEs. (2021). Tarantino, Barbara ; Tanda, Alessandra ; Filomeni, Stefano ; Cerchiello, Paola ; Bitetto, Alessandro. In: DEM Working Papers Series. RePEc:pav:demwpp:demwp0201.

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2021How to Measure Securitization: A Structural Equation Approach. (2021). van der Plaat, Mark T. In: MPRA Paper. RePEc:pra:mprapa:109735.

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2021Markups and Financial Shocks. (2021). Soares, Ana Cristina ; Meinen, Philipp. In: Working Papers. RePEc:ptu:wpaper:w202122.

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2022The Financial Network Channel of Monetary Policy Transmission: An Agent-Based Model. (2022). Russo, Alberto ; Riccetti, Luca ; Lima, Gilberto ; Alexandre, Michel. In: Working Papers, Department of Economics. RePEc:spa:wpaper:2022wpecon1.

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2022Sourcing decision under interconnected risks: an application of mean–variance preferences approach. (2022). Padhi, Sidhartha S ; Mukherjee, Soumyatanu. In: Annals of Operations Research. RePEc:spr:annopr:v:313:y:2022:i:2:d:10.1007_s10479-021-04485-3.

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2022Financial sustainability: measurement and empirical evidence. (2022). Walkshausl, Christian ; Gunther, Thomas ; Gleissner, Werner. In: Journal of Business Economics. RePEc:spr:jbecon:v:92:y:2022:i:3:d:10.1007_s11573-022-01081-0.

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2021Markups and financial shocks. (2021). Soares, Ana Cristina ; Meinen, Philipp. In: Discussion Papers. RePEc:zbw:bubdps:542021.

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2021A financial risk meter for China. (2021). Härdle, Wolfgang ; Hardle, Wolfgang ; Althof, Michael ; Wang, Ruting. In: IRTG 1792 Discussion Papers. RePEc:zbw:irtgdp:2021022.

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2021Non-performing loans - new risks and policies? NPL resolution after COVID-19: Main differences to previous crises. (2021). Wahrenburg, Mark ; Schmeling, Maik ; Pelizzon, Loriana ; Ongena, Steven ; Krahnen, Jan Pieter ; Kasinger, Johannes. In: SAFE White Paper Series. RePEc:zbw:safewh:84.

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2021Reset required: The euro area crisis management and deposit insurance framework. (2021). Huertas, Thomas F. In: SAFE White Paper Series. RePEc:zbw:safewh:85.

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2021Separating the effects of beliefs and attitudes on pricing under ambiguity. (2021). Wilde, Christian ; Li, Wenhui. In: SAFE Working Paper Series. RePEc:zbw:safewp:311.

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2021Call of duty: Designated market maker participation in call auctions. (2021). Westheide, Christian ; Theissen, Erik. In: SAFE Working Paper Series. RePEc:zbw:safewp:319.

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Jan Pieter Krahnen has edited the books:


YearTitleTypeCited

Works by Jan Pieter Krahnen:


YearTitleTypeCited
2007SUBJECTIVE EVALUATION OF DELAYED RISKY OUTCOMES: AN EXPERIMENTAL APPROACH In: Working Papers.
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paper1
2009Instabile Finanzmärkte In: Perspektiven der Wirtschaftspolitik.
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article3
2009Instabile Finanzmärkte.(2009) In: CFS Working Paper Series.
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2013Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts In: Perspektiven der Wirtschaftspolitik.
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article5
2013Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts.(2013) In: SAFE White Paper Series.
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2005Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes In: Perspektiven der Wirtschaftspolitik.
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article8
2005Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes.(2005) In: CFS Working Paper Series.
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2017Fünf Jahre nach dem Liikanen-Bericht: Was haben wir gelernt? In: Perspektiven der Wirtschaftspolitik.
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2012Marktkräfte und Finanzstabilität: Desiderata und Anreizwirkungen eines institutionellen Rahmens für Bankenrestrukturierung In: Zeitschrift für Bankrecht und Bankwirtschaft (ZBB) / Journal of Banking Law and Banking (JBB).
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article0
2018Skin-in-the-Game in ABS Transactions: A Critical Review of Policy Options In: CEPR Discussion Papers.
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2017Skin-in-the-game in ABS transactions: A critical review of policy options.(2017) In: SAFE White Paper Series.
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2017Skin in the game in ABS transactions: A critical review of policy options.(2017) In: VfS Annual Conference 2017 (Vienna): Alternative Structures for Money and Banking.
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2000Collateral, Default Risk, and Relationship Lending: An Empirical Study on Financial Contracting In: CEPR Discussion Papers.
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2000Collateral, default risk, and relationship lending: An empirical study on financial contracting.(2000) In: CFS Working Paper Series.
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2001Corporate Debt Restructuring: Evidence on Lending Coordination in Financial Distress In: CEPR Discussion Papers.
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2004Multiple Lenders and Corporate Distress: Evidence on Debt Restructuring In: CEPR Discussion Papers.
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2008Multiple Lenders and Corporate Distress: Evidence on Debt Restructuring.(2008) In: Review of Economic Studies.
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2006Multiple lenders and corporate distress: Evidence on debt restructuring.(2006) In: CFS Working Paper Series.
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2006Risk Transfer with CDOs and Systemic Risk in Banking In: CEPR Discussion Papers.
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2014Systemic risk in an interconnected banking system with endogenous asset markets In: Journal of Financial Stability.
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2014Systemic risk in an interconnected banking system with endogenous asset markets.(2014) In: SAFE Working Paper Series.
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1998Is relationship lending special? Evidence from credit-file data in Germany In: Journal of Banking & Finance.
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1998Is relationship lending special? Evidence from credit-file data in Germany.(1998) In: CFS Working Paper Series.
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2001Generally accepted rating principles: A primer In: Journal of Banking & Finance.
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2000Generally accepted rating principles: A primer.(2000) In: CFS Working Paper Series.
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2001The Anatomy of a Call Market In: Journal of Financial Intermediation.
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1997Financial markets with asymmetric information: A pilot study focusing on insider advantages In: Journal of Economic Psychology.
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1997Inferring risk attitudes from certainty equivalents: Some lessons from an experimental study In: Journal of Economic Psychology.
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2013Hold-up in multiple banking: evidence from SME lending In: International Journal of Banking, Accounting and Finance.
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2010Hold-up in multiple banking: Evidence from SME lending.(2010) In: CFS Working Paper Series.
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1995On the theory of credit cooperatives: equity and onlending in a multi- tier system: a concept paper. In: ILO Working Papers.
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2011Subjective evaluation of delayed risky outcomes for buying and selling positions: the behavioral approach In: Annals of Finance.
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2001Marketmaking in the Laboratory: Does Competition Matter? In: Experimental Economics.
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2005The Basel II Reform and Retail Credit Markets In: Journal of Financial Services Research.
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2006Die Stabilität von Finanzmärkten:Wie kann die Wirtschaftspolitik Vertrauen schaffen? In: Zeitschrift für Wirtschaftspolitik.
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2006Die Stabilität von Finanzmärkten: Wie kann die Wirtschaftspolitik Vertrauen schaffen?.(2006) In: CFS Working Paper Series.
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2007Default Risk Sharing between Banks and Markets: The Contribution of Collateralized Debt Obligations In: NBER Chapters.
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2005Default Risk Sharing Between Banks and Markets: The Contribution of Collateralized Debt Obligations.(2005) In: NBER Working Papers.
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2005Default risk sharing between banks and markets: The contribution of collateralized debt obligations.(2005) In: CFS Working Paper Series.
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2005Default risk sharing between banks and markets: The contribution of collateralized debt obligations.(2005) In: CoFE Discussion Papers.
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2017Structural Reforms in Banking: The Role of Trading In: JThe Journal of Financial Regulation.
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2016Structural Reforms in Banking: The Role of Trading.(2016) In: IWH Discussion Papers.
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2016Structural reforms in banking: The role of trading.(2016) In: SAFE White Paper Series.
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2001Competition Among Banks: Introduction and Conference Overview In: Review of Finance.
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1999Insider trading and portfolio structure in experimental asset markets with a long-lived asset In: The European Journal of Finance.
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1998Risikomessung im Kreditgeschäft: Eine empirische Analyse bankinterner Ratingverfahren In: Sonderforschungsbereich 504 Publications.
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2016Interbank intermediation In: Discussion Papers.
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2006Investment performance and market share: A study of the German mutual fund industry In: CFR Working Papers.
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2006Investment performance and market share: A study of the German mutual fund industry.(2006) In: CFS Working Paper Series.
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1997Performance and market share: Evidence from the German mutual fund industry In: CFS Working Paper Series.
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1997Messung individueller Risikoeinstellungen In: CFS Working Paper Series.
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1998Where do we stand in the theory of finance? A selective overview with reference to Erich Gutenberg In: CFS Working Paper Series.
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2002Collateral, relationship lending and financial distress: An empirical study on financial contracting In: CFS Working Paper Series.
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2003Universal Banks and Relationships with Firms In: CFS Working Paper Series.
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2006Risk transfer with CDOs and systemic risk in bankingfam In: CFS Working Paper Series.
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2008Risk transfer with CDOs In: CFS Working Paper Series.
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2008The future of securitization In: CFS Working Paper Series.
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paper28
2009CDOs and systematic risk: Why bond ratings are inadequate In: CFS Working Paper Series.
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2011Is rated debt arms length? Evidence from mergers and acquisitions In: CFS Working Paper Series.
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2011Default risk in an interconnected banking system with endogeneous asset markets In: CFS Working Paper Series.
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