Christian Schmieder : Citation Profile


Are you Christian Schmieder?

Bank for International Settlements (BIS)

10

H index

10

i10 index

261

Citations

RESEARCH PRODUCTION:

6

Articles

20

Papers

2

Books

RESEARCH ACTIVITY:

   15 years (2006 - 2021). See details.
   Cites by year: 17
   Journals where Christian Schmieder has often published
   Relations with other researchers
   Recent citing documents: 10.    Total self citations: 10 (3.69 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/psc221
   Updated: 2022-09-24    RAS profile: 2022-08-13    
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Relations with other researchers


Works with:

Authors registered in RePEc who have co-authored more than one work in the last five years with Christian Schmieder.

Is cited by:

Jakubík, Petr (17)

Cerutti, Eugenio (11)

Gersl, Adam (9)

Seidler, Jakub (7)

Claessens, Stijn (6)

Martinez Peria, Maria (6)

Melecký, Martin (6)

Huizinga, Harry (5)

Buncic, Daniel (5)

Bertay, Ata (5)

Demirguc-Kunt, Asli (5)

Cites to:

Drehmann, Mathias (13)

BORIO, Claudio (12)

Shleifer, Andrei (11)

Cerutti, Eugenio (10)

Berger, Allen (7)

Gordy, Michael (7)

Djankov, Simeon (7)

Tsatsaronis, Kostas (6)

merton, robert (6)

Hannan, Timothy (6)

Lopez, Jose (5)

Main data


Where Christian Schmieder has published?


Working Papers Series with more than one paper published# docs
IMF Working Papers / International Monetary Fund10
Discussion Paper Series 2: Banking and Financial Studies / Deutsche Bundesbank6

Recent works citing Christian Schmieder (2022 and 2021)


YearTitle of citing document
2021The trade-off between chain performance and fragility considering coordination strategies of agri-food chains: a South African egg chains case study. (2021). Du, Daniel ; Setene, Letlama. In: International Food and Agribusiness Management Review. RePEc:ags:ifaamr:316288.

Full description at Econpapers || Download paper

2022When uncertainty decouples expected and unexpected losses. (2022). Tarashev, Nikola ; Juselius, Mikael. In: Research Discussion Papers. RePEc:bof:bofrdp:2022_004.

Full description at Econpapers || Download paper

2021Sensitivity of credit risk stress test results: Modelling issues with an application to Belgium. (2021). Vespro, Cristina ; van Roy, Patrick ; Ferrari, Stijn. In: Journal of Financial Stability. RePEc:eee:finsta:v:52:y:2021:i:c:s1572308920301042.

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2021Sovereign risk spill-overs in the banking sectors of Central America and the Caribbean. (2021). Brei, Michael ; Robinson, Justin ; Bangwayo-Skeete, Prosper F ; Noel, Dorian M. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:73:y:2021:i:c:s1042443121000986.

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2022The effects of a megabank merger on firm-Bank relationships and loan availability?. (2022). Uesugi, Iichiro ; Uchino, Taisuke. In: Journal of the Japanese and International Economies. RePEc:eee:jjieco:v:63:y:2022:i:c:s088915832100068x.

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2021Solvency Risk and Corporate Performance: A Case Study on European Retailers. (2021). Dumitrescu, Dan Gabriel ; Belascu, Lucian ; Botoroga, Cosmin-Alin ; Popoviciu, Alexandra Smedoiu ; Curea, Stefania Cristina ; Horobet, Alexandra. In: JRFM. RePEc:gam:jjrfmx:v:14:y:2021:i:11:p:536-:d:675014.

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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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2021COVID-19: stress-testing non-financial companies: a macroprudential perspective. The experience of Poland. (2021). nehrebecka, natalia. In: Eurasian Economic Review. RePEc:spr:eurase:v:11:y:2021:i:2:d:10.1007_s40822-020-00163-0.

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2022Systemic liquidity contagion in the European interbank market. (2022). Cimini, Giulio ; Caldarelli, Guido ; Paolotti, Daniela ; di Matteo, Tiziana ; Brandi, Giuseppe ; Macchiati, Valentina. In: Journal of Economic Interaction and Coordination. RePEc:spr:jeicoo:v:17:y:2022:i:2:d:10.1007_s11403-021-00338-1.

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2021Could corporate credit losses turn out higher than expected?. (2021). Tarashev, Nikola A ; Juselius, Mikael. In: BoF Economics Review. RePEc:zbw:bofecr:32021.

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Works by Christian Schmieder:


YearTitleTypeCited
2006European Data Watch: The Deutsche Bundesbank’s large credit database (BAKIS-M and MiMiK) In: Schmollers Jahrbuch : Journal of Applied Social Science Studies / Zeitschrift für Wirtschafts- und Sozialwissenschaften.
[Citation analysis]
article8
2021How much stress could Covid put on corporate credit? Evidence using sectoral data In: BIS Quarterly Review.
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article2
2008Empirical Risk Analysis of Pension Insurance: The Case of Germany In: Journal of Risk & Insurance.
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article3
2006Empirical risk analysis of pension insurance: the case of Germany.(2006) In: Discussion Paper Series 2: Banking and Financial Studies.
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This paper has another version. Agregated cites: 3
paper
2009CNB Economic Research Bulletin: Financial and Global Stability Issues In: Occasional Publications - Edited Volumes.
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book1
2008Stress Testing Credit Risk: Is the Czech Republic Different from Germany? In: Working Papers.
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paper27
2014Ring fencing and consolidated banks’ stress tests In: Journal of Financial Stability.
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article11
2009Modelling dynamic portfolio risk using risk drivers of elliptical processes In: Insurance: Mathematics and Economics.
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article4
2007Modelling dynamic portfolio risk using risk drivers of elliptical processes.(2007) In: Discussion Paper Series 2: Banking and Financial Studies.
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This paper has another version. Agregated cites: 4
paper
2010Contagion and Spillovers: New Insights from the Crisis In: SUERF Studies.
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book6
2010Bankers Without Borders? Implications of Ring-Fencing for European Cross-Border Banks In: IMF Working Papers.
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paper37
2011The Impact of Legislation on Credit Risk—Comparative Evidence From the United States, the United Kingdom and Germany In: IMF Working Papers.
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paper1
2011Next Generation Balance Sheet Stress Testing In: IMF Working Papers.
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paper38
2012Next Generation System-Wide Liquidity Stress Testing In: IMF Working Papers.
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paper15
2012A New Heuristic Measure of Fragility and Tail Risks: Application to Stress Testing In: IMF Working Papers.
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paper15
2012The Need for Un-consolidating Consolidated Banks Stress Tests In: IMF Working Papers.
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paper1
2013A Framework for Macroprudential Bank Solvency Stress Testing: Application to S-25 and Other G-20 Country FSAPs In: IMF Working Papers.
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paper17
2013Rules of Thumb for Bank Solvency Stress Testing In: IMF Working Papers.
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paper11
2014How to Capture Macro-Financial Spillover Effects in Stress Tests? In: IMF Working Papers.
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paper2
2017Macroprudential Liquidity Stress Testing in FSAPs for Systemically Important Financial Systems In: IMF Working Papers.
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paper8
2010Does banking consolidation worsen firms’ access to credit? Evidence from the German economy In: Small Business Economics.
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article6
2008RELATIONSHIP LENDING - EMPIRICAL EVIDENCE FOR GERMANY In: Economic and Financial Reports.
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paper29
2007Relationship lending: empirical evidence for Germany.(2007) In: Discussion Paper Series 2: Banking and Financial Studies.
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This paper has another version. Agregated cites: 29
paper
2007Banking consolidation and small businessfinance: empirical evidence for Germany In: Discussion Paper Series 2: Banking and Financial Studies.
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paper6
2007Asset correlations and credit portfolio risk: an empirical analysis In: Discussion Paper Series 2: Banking and Financial Studies.
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paper13
2008Stress testing of real credit portfolios In: Discussion Paper Series 2: Banking and Financial Studies.
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paper0
2019Macro-based asset allocation: An empirical analysis In: EIB Working Papers.
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paper0
2010Impact of Legislation on Credit Risk. How different are the UK and Germany? In: EIF Working Paper Series.
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paper0

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