Sebastian Thomas Schich : Citation Profile


Are you Sebastian Thomas Schich?

European Investment Bank (EIB)

13

H index

16

i10 index

655

Citations

RESEARCH PRODUCTION:

42

Articles

19

Papers

1

Books

RESEARCH ACTIVITY:

   26 years (1996 - 2022). See details.
   Cites by year: 25
   Journals where Sebastian Thomas Schich has often published
   Relations with other researchers
   Recent citing documents: 21.    Total self citations: 13 (1.95 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/psc922
   Updated: 2024-11-04    RAS profile: 2023-05-09    
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Relations with other researchers


Works with:

Bellia, Mario (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with Sebastian Thomas Schich.

Is cited by:

Toader, Oana (12)

Cournède, Boris (10)

Krippner, Leo (10)

Denk, Oliver (8)

Zaghini, Andrea (8)

Chinn, Menzie (8)

Ito, Hiro (7)

Correa, Ricardo (6)

Ferrara, Laurent (6)

Hoeller, Peter (6)

Sapriza, Horacio (6)

Cites to:

Mishkin, Frederic (25)

Svensson, Lars (18)

Estrella, Arturo (13)

Levine, Ross (8)

Campbell, John (8)

Demirguc-Kunt, Asli (7)

Kao, Chihwa (6)

Pesaran, Mohammad (6)

Stulz, René (6)

shin, yongcheol (5)

Cariboni, Jessica (5)

Main data


Where Sebastian Thomas Schich has published?


Journals with more than one article published# docs
OECD Journal: Financial Market Trends21
Financial Market Trends4
Journal of Financial Regulation and Compliance2
Revue d'économie financière2
Applied Financial Economics2

Working Papers Series with more than one paper published# docs
OECD Economics Department Working Papers / OECD Publishing6
Discussion Paper Series 1: Economic Studies / Deutsche Bundesbank5

Recent works citing Sebastian Thomas Schich (2024 and 2023)


YearTitle of citing document
2023Impact of Loss-Framing and Risk Attitudes on Insurance Purchase: Insights from a Game-like Interface Study. (2023). Vemuri, Kavita ; Kamble, Pratik ; Hanji, Shivani ; Lahoti, Kunal Rajesh. In: Papers. RePEc:arx:papers:2310.13300.

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2024A pricing model system for small and micro loan insurance considering limited claims. (2024). Hu, Yan-Ping. In: International Review of Financial Analysis. RePEc:eee:finana:v:93:y:2024:i:c:s1057521924001443.

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2024The shape of the Treasury yield curve and commodity prices. (2024). Qadan, Mahmoud ; Bayaa, Yasmeen. In: International Review of Financial Analysis. RePEc:eee:finana:v:94:y:2024:i:c:s1057521924002436.

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2023Repercussions of the Silicon Valley Bank collapse on global stock markets. (2023). Pandey, Dharen ; Hassan, M. Kabir ; Hasan, Rashedul ; Kumari, Vineeta. In: Finance Research Letters. RePEc:eee:finlet:v:55:y:2023:i:pb:s1544612323003859.

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2024Temporal networks and financial contagion. (2024). Nocciola, Luca ; Vouldis, Angelos ; Franch, Fabio. In: Journal of Financial Stability. RePEc:eee:finsta:v:71:y:2024:i:c:s1572308924000093.

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2024Debt-stabilizing properties of GDP-linked securities: A macro-finance perspective. (2024). Sahuc, Jean-Guillaume ; Renne, Jean-Paul ; Mouabbi, Sarah. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:162:y:2024:i:c:s0378426624000517.

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2023Bank default risk propagation along supply chains: Evidence from the U.K.. (2023). Roland, Isabelle ; Kabiri, Ali ; Manole, Vlad ; Spatareanu, Mariana. In: International Review of Economics & Finance. RePEc:eee:reveco:v:84:y:2023:i:c:p:813-831.

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2024Analysis of Long-Term Bond Yields Using Deviations from Covered Interest Rate Parity. (2024). Jo, Gab-Je. In: JRFM. RePEc:gam:jjrfmx:v:17:y:2024:i:3:p:117-:d:1355973.

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2023A Combination Forecast for Nonparametric Models with Structural Breaks. (2023). , Gunawan ; Cai, Zongwu. In: WORKING PAPERS SERIES IN THEORETICAL AND APPLIED ECONOMICS. RePEc:kan:wpaper:202310.

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2023Impact of Internal and External Factors on the Profitability and Financial Strength of Insurance Groups. (2023). Poufinas, Thomas ; Siopi, Evaggelia. In: International Advances in Economic Research. RePEc:kap:iaecre:v:29:y:2023:i:3:d:10.1007_s11294-023-09873-y.

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2023Predicting recessions, depth of recessions and monetary policy pivots: a new approach. (2023). Bullard, Sam ; Iqbal, Azhar ; Cervi, Nicole. In: Business Economics. RePEc:pal:buseco:v:58:y:2023:i:4:d:10.1057_s11369-023-00338-y.

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2023Text-Based Recession Probabilities. (2023). Mezo, Helena ; Lebastard, Laura ; Minesso, Massimo Ferrari. In: IMF Economic Review. RePEc:pal:imfecr:v:71:y:2023:i:2:d:10.1057_s41308-022-00177-5.

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2023BOFIA 2020 and financial system stability in Nigeria: Implications for stakeholders in the African largest economy. (2023). Alley, Ibrahim. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:24:y:2023:i:2:d:10.1057_s41261-022-00192-6.

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2023The worlds largest free trade agreement RCEP and its financial markets - A perspective on volatility and risk.. (2023). Peitz, Christian ; Atkins, Marc. In: Working Papers Dissertations. RePEc:pdn:dispap:113.

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2023Bank Stability versus Financial Development: A Generous Deposit Insurers Dilemma. (2023). Ntwaepelo, Kaelo Mpho. In: Economics Discussion Papers. RePEc:rdg:emxxdp:em-dp2023-09.

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2023An investigation into the probability that this is the last year of the economic expansion. (2023). Li, Yao ; Leamer, Edward ; Keil, Manfred. In: Journal of Forecasting. RePEc:wly:jforec:v:42:y:2023:i:5:p:1228-1244.

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2023Nowcasting the state of the Italian economy: The role of financial markets. (2023). Silvestrini, Andrea ; Ceci, Donato. In: Journal of Forecasting. RePEc:wly:jforec:v:42:y:2023:i:7:p:1569-1593.

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2023Banks net interest margin and changes in the term structure. (2023). Heckmann-Draisbach, Lotta ; Memmel, Christoph. In: Discussion Papers. RePEc:zbw:bubdps:112023.

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2023The influence of negative interest rates on life insurance companies. (2023). Grochola, Nicolaus. In: ICIR Working Paper Series. RePEc:zbw:icirwp:279897.

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Works by Sebastian Thomas Schich:


YearTitleTypeCited
2004National Saving-Investment Dynamics and International Capital Mobility In: Staff Working Papers.
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paper13
2018IMPLICIT BANK DEBT GUARANTEES: COSTS, BENEFITS AND RISKS In: Journal of Economic Surveys.
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article2
2016Un moment opportun pour l’évaluation des coûts et bénéfices des garanties de crédit et la relance des politiques de soutien aux PME In: Revue d'économie financière.
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article0
2017Les garanties publiques du crédit aux PME sont-elles efficientes ? Les enseignements dune enquête officielle internationale In: Revue d'économie financière.
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article0
2008Large-Scale Disasters and the Insurance Industry In: CESifo Working Paper Series.
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paper2
2005Large - scaledisasters and the insurance industry.(2005) In: Working Papers.
[Citation analysis]
This paper has nother version. Agregated cites: 2
paper
2005Large-scale disasters and the insurance industry.(2005) In: Technical Reports.
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This paper has nother version. Agregated cites: 2
paper
2013How to reduce implicit bank debt guarantees? In: Journal of Financial Regulation and Compliance.
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article0
2013How to reduce implicit bank debt guarantees? In: Journal of Financial Regulation and Compliance.
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article3
2007Money, Finance and Demography: The Consequences of Ageing In: SUERF Colloquium Volumes.
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book8
2002Panel Cointegration Analysis of the Finance-Investment Link in OECD Countries In: Documents de Travail de l'OFCE.
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paper2
2000How stable is the predictive power of the yield curve? evidence from Germany and the United States In: Staff Reports.
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paper215
2003How Stable is the Predictive Power of the Yield Curve? Evidence from Germany and the United States.(2003) In: The Review of Economics and Statistics.
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This paper has nother version. Agregated cites: 215
article
2020Do CDS markets care about the G-SIB status? In: Working Papers.
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paper0
2015Valuing guaranteed bank debt: Role of strength and size of the bank and the guarantor In: Journal of Economic and Financial Studies (JEFS).
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article1
2019Do Fintech and Cryptocurrency Initiatives Make Banks Less Special? In: Business and Economic Research.
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article2
2017To Be or Not to Be a G-SIB: Does It Matter? In: Journal of Financial Management, Markets and Institutions.
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article6
2007Selected Questions Regarding Hedge Funds In: Financial Market Trends.
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article0
2007Indian Financial System Reform: Selected Issues In: Financial Market Trends.
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article0
2007Housing Markets and Household Debt: Short-term and Long-term Risks In: Financial Market Trends.
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article1
2007Asset Allocation Challenges for Pension Funds: Implications for Bond Markets In: Financial Market Trends.
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article0
2016Estimating the size and incidence of bank resolution costs for selected banks in OECD countries In: OECD Journal: Financial Market Trends.
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article1
2016Reducing and sharing the burden of bank failures In: OECD Journal: Financial Market Trends.
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article3
2015Why implicit bank debt guarantees matter: Some empirical evidence In: OECD Journal: Financial Market Trends.
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article5
2014Policy responses to the issue of implicit bank debt guarantees: OECD survey results In: OECD Journal: Financial Market Trends.
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article3
2014Measurement and analysis of implicit guarantees for bank debt: OECD survey results In: OECD Journal: Financial Market Trends.
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article6
2014Improving the monitoring of the value of implicit guarantees for bank debt In: OECD Journal: Financial Market Trends.
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article6
2013Developments in the value of implicit guarantees for bank debt: The role of resolution regimes and practices In: OECD Journal: Financial Market Trends.
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article11
2012Implicit guarantees for bank debt: where do we stand? In: OECD Journal: Financial Market Trends.
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article62
2012Sovereign and Banking Sector Debt: Interconnections through Guarantees In: OECD Journal: Financial Market Trends.
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article5
2011The Economic Impact of Protracted Low Interest Rates on Pension Funds and Insurance Companies In: OECD Journal: Financial Market Trends.
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article30
2011Guarantee Arrangements for Financial Promises: How Widely Should the Safety Net be Cast? In: OECD Journal: Financial Market Trends.
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article10
2011Systemic Financial Crises: How to Fund Resolution In: OECD Journal: Financial Market Trends.
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article3
2010The Design of Government Guarantees for Bank Bonds: Lessons from the Recent Financial Crisis In: OECD Journal: Financial Market Trends.
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article14
2010Insurance companies and the financial crisis In: OECD Journal: Financial Market Trends.
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article21
2010Expanded guarantees for banks: Benefits, costs and exit issues In: OECD Journal: Financial Market Trends.
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article1
2009Expanded government guarantees for bank liabilities: Selected issues In: OECD Journal: Financial Market Trends.
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article7
2009Challenges for financial intermediaries offering asset decumulation products In: OECD Journal: Financial Market Trends.
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article0
2009Revisiting the asset-meltdown hypothesis In: OECD Journal: Financial Market Trends.
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article1
2009Financial crisis: Deposit insurance and related financial safety net aspects In: OECD Journal: Financial Market Trends.
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article18
2008Challenges related to financial guarantee insurance In: OECD Journal: Financial Market Trends.
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article2
2008Financial turbulence: Some lessons regarding deposit insurance In: OECD Journal: Financial Market Trends.
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article9
1999The Use of Financial Market Indicators by Monetary Authorities In: OECD Economics Department Working Papers.
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paper10
2000What the Yield Curves say About Inflation: Does it Change Over Time? In: OECD Economics Department Working Papers.
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paper4
2000New Issues in Public Debt Management: Government Surpluses in Several OECD Countries, the Common Currency in Europe and Rapidly Rising Debt in Japan In: OECD Economics Department Working Papers.
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paper8
2000A Changing Financial Environment and the Implications for Monetary Policy In: OECD Economics Department Working Papers.
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paper6
2001Contributions of Financial Systems to Growth in OECD Countries In: OECD Economics Department Working Papers.
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paper59
2002Increases in Business Investment Rates in OECD Countries in the 1990s: How Much Can be Explained by Fundamentals? In: OECD Economics Department Working Papers.
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paper17
2018To What Extent Do Public Authorities Verify the Cost-Effectiveness of Guarantees for Credit to SMEs? In: Comparative Economic Studies.
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article0
1997An Option-Pricing Approach to the Costs of Export Credit Insurance In: The Geneva Risk and Insurance Review.
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article5
2022Limiting too-big-to-fail: market reactions to policy announcements and actions In: Journal of Banking Regulation.
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article2
2005Diversification sectorielle : les assureurs mis au défi In: Revue d'Économie Financière.
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article1
2002Financial development and investment: panel data evidence for OECD countries from 1970 to 1997 In: Applied Economics Letters.
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article15
2004European stock market dependencies when price changes are unusually large In: Applied Financial Economics.
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article1
1999The information content of the German term structure regarding inflation In: Applied Financial Economics.
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article17
1996Alternative Spezifikationen der deutschen Zinsstrukturkurve und ihr Informationsgehalt hinsichtlich der Inflation In: Discussion Paper Series 1: Economic Studies.
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paper2
1996Alternative specifications of the German term structure and its information content regarding inflation In: Discussion Paper Series 1: Economic Studies.
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paper14
1997Schätzung der deutschen Zinsstrukturkurve In: Discussion Paper Series 1: Economic Studies.
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paper3
1997Estimating the German term structure In: Discussion Paper Series 1: Economic Studies.
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paper16
2002Dependencies between European stock markets when price changes are unusually large In: Discussion Paper Series 1: Economic Studies.
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paper0
2009Challenges Associated with the Expansion of Deposit Insurance Coverage during Fall 2008 In: Economics Discussion Papers.
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paper2
2009Challenges Associated with the Expansion of Deposit Insurance Coverage during Fall 2008.(2009) In: Economics - The Open-Access, Open-Assessment E-Journal (2007-2020).
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This paper has nother version. Agregated cites: 2
article

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