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Last updated December, 3 2015 760.408 documents processed, 20.499.313 references and 8.066.571 citations

Credit and Capital Markets / Credit and Capital Markets


0.22

Impact Factor

0.11

5-Years IF

3

5-Years H index

[Raw data] [50 most cited papers] [50 most relevant papers] [cites used to compute IF] [Recent citations ][Frequent citing series ]
[more data in EconPapers] [trace new citations] [Missing citations? Add them now] [Incorrect content? Let us know]

Main indicators


Raw data


IF AIF IF5 DOC CDO CCU CIF CIT D2Y C2Y D5Y C5Y %SC CiY II AII
19900.09000 (%)0.03
19910.09000 (%)0.04
19920.09000 (%)0.04
19930.1000 (%)0.05
19940.11000 (%)0.05
19950.19000 (%)0.07
19960.23000 (%)0.09
19970.27000 (%)0.09
19980.27000 (%)0.1
19990.31000 (%)0.13
20000.39000 (%)0.15
20010.41000 (%)0.16
20020.43000 (%)0.19
20030.45000 (%)0.19
20040.51000 (%)0.21
20050.54000 (%)0.22
20060.52000 (%)0.21
20070.45212110.05500 (%)0.18
20080.050.480.05194020.054211211 (%)0.2
20090.030.480.03206020.031401401 (%)0.19
20100.44208073960 (%)0.16
20110.53199914080 (%)0.21
20120.10.580.051911870.0621394995 (%)20.110.22
20130.180.710.072214080.067387977 (%)10.050.25
20140.220.810.1114154130.08141910011 (%)0.28
 
IF: Impact Factor: C2Y / D2Y
AIF: Average Impact Factor for series in RePEc in year y
IF5: Impact Factor: C5Y / D5Y
DOC: Number of documents published in year y
CDO: Cumulative number of documents published until year y
CCU: Cumulative number of citations to papers published until year y
CIF: Cumulative impact factor
CIT: Number of citations to papers published in year y
D2Y: Number of articles published in y-1 plus y-2
C2Y: Cites in y to articles published in y-1 plus y-2
D5Y: Number of articles published in y-1 until y-5
C5Y: Cites in y to articles published in y-1 until y-5
%SC: Percentage of selft citations in y to articles published in y-1 plus y-2
CiY: Cites in year y to documents published in year y
II: Immediacy Index: CiY / Documents.
AII: Average Immediacy Index for series in RePEc in year y

 

50 most cited documents in this series:


[Click on heading to sort table]

YearTitleCited
2012TARGET2 and the European Sovereign Debt Crisis. (2012). Konig, Philipp Johann ; Bindseil, Ulrich . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:2:p:135-174.

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12
2013Regulation, Credit Risk Transfer with CDS, and Bank Lending. (2013). Welzel, Peter ; Pausch, Thilo . In: Credit and Capital Markets. RePEc:kuk:journl:v:46:y:2013:i:4:p:439-465.

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4
2007Is Bank Capital Procyclical? A Cross-Country Analysis. (2007). Paul A. J. Metzemakers, . In: Credit and Capital Markets. RePEc:kuk:journl:v:40:y:2007:i:2:p:225-264.

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4
2012The Financial Crisis from a Forecaster’s Perspective. (2012). Drechsel, Katja ; Scheufele, Rolf . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:1:p:1-26.

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3
2010Eine Analyse der Wohnungsbauprämienförderung aus empirischer Sicht. (2010). Westerheide, Peter ; Rotfu, Waldemar . In: Credit and Capital Markets. RePEc:kuk:journl:v:43:y:2010:i:1:p:97-123.

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2
2010The Liquidity Regulation and Savings Banks’ Liquid Assets. (2010). Schertler, Andrea ; Holl, Dorothee . In: Credit and Capital Markets. RePEc:kuk:journl:v:43:y:2010:i:4:p:533-558.

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2
2013Towards a More Stable and Sustainable Financial Architecture – A Discussion and Application of the Quantity Theory of Credit. (2013). Werner, Richard A.. In: Credit and Capital Markets. RePEc:kuk:journl:v:46:y:2013:i:3:p:357-387.

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2
2012Target-Salden und die deutsche Kapitalbilanz im Zeichen der europäischen Zahlungsbilanzkrise. (2012). Wollmershauser, Timo . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:4:p:465-487.

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2
2008Open-End Real Estate Funds in Germany – Genesis and Crisis. (2008). Bannier, Christina E. ; Tyrell, Marcel ; Fecht, Falko . In: Credit and Capital Markets. RePEc:kuk:journl:v:41:y:2008:i:1:p:9-36.

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2
2014A Letter on Full-Reserve Banking and Friedman’s Rule in Chicago Tradition. (2014). . In: Credit and Capital Markets. RePEc:kuk:journl:v:47:y:2014:i:4:p:677-687.

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1
2012Portfolio Complexity and Herd Behavior: Evidence from the German Mutual Fund Market. (2012). Franck, Alexander ; Walter, Andreas . In: Credit and Capital Markets. RePEc:kuk:journl:v:3:y:2012:i:3:p:343-371.

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1
2010Risk-Taking and Solvency Regulation in Banking – A Note –. (2010). Hahn, Franz R.. In: Credit and Capital Markets. RePEc:kuk:journl:v:43:y:2010:i:3:p:339-347.

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1
2012Prognosen von Metallpreisen: Asymmetrische Verlustfunktionen und Rationalität. (2012). Pierdzioch, Christian ; Rulke, Jan-Christoph ; Stadtmann, Georg . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:3:p:407-440.

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1
2008Concentration Risk under Pillar 2: When are Credit Portfolios Infinitely Fine Grained?. (2008). Heithecker, Dirk ; Hibbeln, Martin ; Gurtler, Marc . In: Credit and Capital Markets. RePEc:kuk:journl:v:41:y:2008:i:1:p:79-124.

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1
2011Reformen der nationalen und internationalen Finanzarchitektur. (2011). Rehm, Hannes . In: Credit and Capital Markets. RePEc:kuk:journl:v:44:y:2011:i:3:p:317-338.

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1
2009Zur Eigenmittelunterlegung von Leistungszusagen in der Auszahlphase bei investmentfondsbasierten Altersvorsorgeverträgen: Ein Gestaltungsvorschlag. (2009). Dus, Ivica ; Maurer, Raimond . In: Credit and Capital Markets. RePEc:kuk:journl:v:42:y:2009:i:2:p:277-312.

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1
2012Banks in Disadvantaged Areas. (2012). Burgstaller, Johann . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:1:p:51-78.

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1
2007Kreditrisikotransfer - Abbau alter gegen den Aufbau neuer Risiken?. (2007). Rudolph, Bernd . In: Credit and Capital Markets. RePEc:kuk:journl:v:40:y:2007:i:1:p:1-16.

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1
2010Vertriebssteuerung auf Basis des Customer Lifetime Value am Beispiel der Finanzdienstleistungsbranche. (2010). Buhl, Hans Ulrich ; Heidemann, Julia ; Dzienziol, Jochen . In: Credit and Capital Markets. RePEc:kuk:journl:v:43:y:2010:i:4:p:501-532.

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1
2013Probleme der Bankenunion: Falsche Lehren aus der Krise. (2013). Vaubel, Roland . In: Credit and Capital Markets. RePEc:kuk:journl:v:46:y:2013:i:3:p:281-302.

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1
2008Assessing the Estimation Uncertainty of Default Probabilities. (2008). Lawrenz, Jochen . In: Credit and Capital Markets. RePEc:kuk:journl:v:41:y:2008:i:2:p:217-238.

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1
2012Barro-Gordon Revisited: Reputational Equilibria in a New Keynesian Model. (2012). Totzek, Alexander ; Wohltmann, Hans-Werner . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:1:p:27-50.

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1
2007Qualität und Effizienz der Gewinnprognosen von Analysten. Eine empirische Untersuchung für den deutschen Kapitalmarkt. (2007). Rudolph, Bernd ; Bessler, Wolfgang ; Faisst, Ulrich ; Pfaller, Ralph ; Stanzel, Matthias ; Bigus, Jochen ; Buhl, Hans Ulrich ; Hempell, Hannah Sabine . In: Credit and Capital Markets. RePEc:kuk:journl:v:40:y:2007:i:1.

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1
2010Central Bank Money and Interest Rates: Independent Monetary Policy Tools?. (2010). Spahn, Heinz-Peter . In: Credit and Capital Markets. RePEc:kuk:journl:v:43:y:2010:i:4:p:475-499.

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1

50 most relevant documents in this series:


Papers most cited in the last two years. [Click on heading to sort table]

YearTitleCited
2012TARGET2 and the European Sovereign Debt Crisis. (2012). Konig, Philipp Johann ; Bindseil, Ulrich . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:2:p:135-174.

Full description at Econpapers || Download paper

10
2013Regulation, Credit Risk Transfer with CDS, and Bank Lending. (2013). Welzel, Peter ; Pausch, Thilo . In: Credit and Capital Markets. RePEc:kuk:journl:v:46:y:2013:i:4:p:439-465.

Full description at Econpapers || Download paper

4
2012The Financial Crisis from a Forecaster’s Perspective. (2012). Drechsel, Katja ; Scheufele, Rolf . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:1:p:1-26.

Full description at Econpapers || Download paper

3
2007Is Bank Capital Procyclical? A Cross-Country Analysis. (2007). Paul A. J. Metzemakers, . In: Credit and Capital Markets. RePEc:kuk:journl:v:40:y:2007:i:2:p:225-264.

Full description at Econpapers || Download paper

2
2008Open-End Real Estate Funds in Germany – Genesis and Crisis. (2008). Bannier, Christina E. ; Tyrell, Marcel ; Fecht, Falko . In: Credit and Capital Markets. RePEc:kuk:journl:v:41:y:2008:i:1:p:9-36.

Full description at Econpapers || Download paper

2
2012Target-Salden und die deutsche Kapitalbilanz im Zeichen der europäischen Zahlungsbilanzkrise. (2012). Wollmershauser, Timo . In: Credit and Capital Markets. RePEc:kuk:journl:v:45:y:2012:i:4:p:465-487.

Full description at Econpapers || Download paper

2
2013Towards a More Stable and Sustainable Financial Architecture – A Discussion and Application of the Quantity Theory of Credit. (2013). Werner, Richard A.. In: Credit and Capital Markets. RePEc:kuk:journl:v:46:y:2013:i:3:p:357-387.

Full description at Econpapers || Download paper

2

Citing documents used to compute impact factor 9:


[Click on heading to sort table]

YearTitleSee
2014Macroprudential regulation and bank behavior: Theory and evidence from a quasi-natural experiment. (2014). . In: MPRA Paper. RePEc:pra:mprapa:65214.

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[Citation Analysis]
2014Die Vermeidung von Bank Runs und der Erhalt von Marktdisziplin: Das Dilemma der Bankenregulierung?. (2014). Gunther, Susanne . In: Arbeitspapiere. RePEc:zbw:wwuifg:142.

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[Citation Analysis]
2014Enhanced Debt Management: Solving the eurozone crisis by linking debt management with fiscal and monetary policy. (2014). Werner, Richard A.. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:49:y:2014:i:pb:p:443-469.

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[Citation Analysis]
2014Call for a Spatial Classification of Banking Systems through the Lens of SME Finance - Decentralized versus Centralized Banking in Germany as an Example. (2014). Flogel, Franz ; Gartner, Stefan . In: EconStor Preprints. RePEc:zbw:esprep:97512.

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[Citation Analysis]
2014Modelling the Eurozone as an Extraordinary Exchange Rate Union. (2014). Sell, Friedrich ; Werner, Thomas . In: International Advances in Economic Research. RePEc:kap:iaecre:v:20:y:2014:i:4:p:357-367.

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[Citation Analysis]
2014Outperforming IMF Forecasts by the Use of Leading Indicators. (2014). Lindner, Axel ; Giesen, Sebastian ; Drechsel, Katja . In: Annual Conference 2014 (Hamburg): Evidence-based Economic Policy. RePEc:zbw:vfsc14:100393.

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[Citation Analysis]
2014The European Central Bank and the US Federal Reserve as Lender of Last Resort. (2014). Herr, Hansjrg . In: Panoeconomicus. RePEc:voj:journl:v:61:y:2014:i:1:p:59-78.

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[Citation Analysis]
2014Finanz- und Wirtschaftspolitik bei einer anhaltenden monetären Expansion. (2014). van Roye, Bjorn ; Schwarzmuller, Tim ; Kooths, Stefan ; Jannsen, Nils ; Plodt, Martin ; Gern, Klaus-Jurgen ; Scheide, Joachim ; Boysen-Hogrefe, Jens ; Groll, Dominik . In: Kieler Beiträge zur Wirtschaftspolitik. RePEc:zbw:ifwkbw:5.

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[Citation Analysis]
2014Bernanke/Blinder revisited - The New Keynesian model with credit channel. (2014). . In: Economics Working Papers. RePEc:zbw:cauewp:201410.

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[Citation Analysis]

Cites in year: CiY


Recent citations received in: 2013


[Click on heading to sort table]

YearTitleSee
2013Banks’ risk taking, financial innovation and macroeconomic risk. (2013). Kero, Afroditi . In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:53:y:2013:i:2:p:112-124.

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[Citation Analysis]

Recent citations received in: 2012


[Click on heading to sort table]

YearTitleSee
2012Sudden stops in the euro area. (2012). Pisani-Ferry, Jean ; Merler, Silvia . In: Policy Contributions. RePEc:bre:polcon:718.

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[Citation Analysis]
2012Target2 Redux: The simple accountancy and slightly more complex economics of Bundesbank loss exposure through the Eurosystem. (2012). Buiter, Willem H.. In: CEPR Discussion Papers. RePEc:cpr:ceprdp:9211.

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[Citation Analysis]

Warning!! This is still an experimental service. The results of this service should be interpreted with care, especially in research assessment exercises. The processing of documents is automatic. There still are errors and omissions in the identification of references. We are working to improve the software to increase the accuracy of the results.

Source data used to compute the impact factor of RePEc series.