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Jan Pieter Krahnen

Personal Details

First Name:Jan
Middle Name:Pieter
Last Name:Krahnen
Suffix:
RePEc Short-ID:pkr72
https://www.wiwi.uni-frankfurt.de/abteilungen/finance/lehrstuhl/prof-dr-jan-pieter-krahnen/team/prof
SAFE House of Finance Goethe University Th.W.Adorno Platz 3 60323 Frankfurt Main, Germany

Affiliation

(40%) Abteilung Finanzen
Fachbereich Wirtschaftswissenschaft
Goethe Universität Frankfurt am Main

Frankfurt am Main, Germany
http://www.finance.uni-frankfurt.de/
RePEc:edi:afffmde (more details at EDIRC)

(40%) Leibniz-Institut für Finanzmarktforschung SAFE (Sustainable Architecture for Finance in Europe)

Frankfurt am Main, Germany
http://www.safe-frankfurt.de/
RePEc:edi:csafede (more details at EDIRC)

(20%) Center for Financial Studies

Frankfurt, Germany
http://www.ifk-cfs.de/
RePEc:edi:ifkcfde (more details at EDIRC)

Research output

as
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Working papers

  1. Brühl, Volker & Krahnen, Jan Pieter, 2019. "Eine Open Banking Plattform für Deutschland: Eine zukunftsorientierte Alternative zu einer Fusion Deutsche Bank/Commerzbank," SAFE Policy Letters 72, Leibniz Institute for Financial Research SAFE.
  2. Haselmann, Rainer & Krahnen, Jan Pieter & Wahrenburg, Mark, 2019. "Evaluierung gesamt- und finanzwirtschaftlicher Effekte der Reformen europäischer Finanzmarktregulierung im deutschen Finanzsektor seit der Finanzkrise: Zusammenfassung der wichtigsten Ergebnisse," SAFE Policy Reports 2, Leibniz Institute for Financial Research SAFE.
  3. Brühl, Volker & Krahnen, Jan Pieter, 2019. "An open banking platform for Germany: A future-oriented alternative to a merger of Deutsche Bank/Commerzbank," SAFE Policy Letters 73, Leibniz Institute for Financial Research SAFE.
  4. Krahnen, Jan Pieter, 2019. "Target balances and financial crises," SAFE Policy Letters 71, Leibniz Institute for Financial Research SAFE.
  5. Krahnen, Jan Pieter, 2018. "Über Scheinriesen: Was TARGET-Salden tatsächlich bedeuten. Eine finanzökonomische Überprüfung," SAFE White Paper Series 56, Leibniz Institute for Financial Research SAFE.
  6. Krahnen, Jan-Pieter & Wilde, Christian, 2018. "Skin-in-the-Game in ABS Transactions: A Critical Review of Policy Options," CEPR Discussion Papers 12619, C.E.P.R. Discussion Papers.
  7. Götz, Martin & Krahnen, Jan Pieter & Tröger, Tobias, 2017. "Five years after the Liikanen Report: What have we learned?," SAFE White Paper Series 50, Leibniz Institute for Financial Research SAFE.
  8. Allen, Franklin & Krahnen, Jan Pieter & Rey, Hélène, 2017. "Financial resilience revisited: Why consistency in regulation is now paramount - across sectors and regions, and over time," SAFE Policy Letters 55, Leibniz Institute for Financial Research SAFE.
  9. Götz, Martin & Krahnen, Jan Pieter & Tröger, Tobias, 2017. "Taking bail-in seriously: The looming risks for banking policy in the rescue of Monte Paschi di Siena," SAFE Policy Letters 54, Leibniz Institute for Financial Research SAFE.
  10. Franke, Günter & Krahnen, Jan Pieter, 2017. "SME funding without banks? On the interplay of banks and markets," SAFE White Paper Series 44, Leibniz Institute for Financial Research SAFE.
  11. Krahnen, Jan Pieter & Noth, Felix & Schüwer, Ulrich, 2016. "Structural reforms in banking: The role of trading," SAFE White Paper Series 33, Leibniz Institute for Financial Research SAFE.
  12. Krahnen, Jan Pieter & Pelizzon, Loriana, 2016. ""Predatory" margins and the regulation and supervision of central counterparty clearing houses (CCPs)," SAFE White Paper Series 41, Leibniz Institute for Financial Research SAFE.
  13. Bluhm, Marcel & Georg, Co-Pierre & Krahnen, Jan-Pieter, 2016. "Interbank intermediation," Discussion Papers 16/2016, Deutsche Bundesbank.
  14. Krahnen, Jan Pieter, 2015. "Three theses on the Greek crisis," SAFE Policy Letters 42, Leibniz Institute for Financial Research SAFE.
  15. Krahnen, Jan Pieter, 2015. "Drei Thesen zur Griechenlandkrise," SAFE Policy Letters 41, Leibniz Institute for Financial Research SAFE.
  16. Fratzscher, Marcel & Gropp, Reint E. & Kotz, Hans-Helmut & Krahnen, Jan Pieter & Odendahl, Christian & di Mauro, Beatrice Weder & Wolff, Guntram B., 2015. "Mere criticism of the ECB is no solution," SAFE Policy Letters 51, Leibniz Institute for Financial Research SAFE.
  17. Götz, Martin R. & Haselmann, Rainer & Krahnen, Jan Pieter & Steffen, Sascha, 2015. "Waren die ELA-Notkredite der EZB für griechische Banken eine Konkursverschleppung?," SAFE Policy Letters 47, Leibniz Institute for Financial Research SAFE.
  18. Brühl, Volker & Gründl, Helmut & Hackethal, Andreas & Kotz, Hans-Helmut & Krahnen, Jan Pieter & Tröger, Tobias, 2015. "Comments on the EU Commission's capital markets union project," SAFE White Paper Series 27, Leibniz Institute for Financial Research SAFE.
  19. Götz, Martin R. & Haselmann, Rainer & Krahnen, Jan Pieter & Steffen, Sascha, 2015. "Did emergency liquidity assistance (ELA) of the ECB delay the bankruptcy of Greek banks?," SAFE Policy Letters 46, Leibniz Institute for Financial Research SAFE.
  20. Krahnen, Jan Pieter & Ockenfels, Peter & Wilde, Christian, 2014. "Measuring ambiguity aversion: A systematic experimental approach," SAFE Working Paper Series 55, Leibniz Institute for Financial Research SAFE.
  21. Franke, Günter & Krahnen, Jan Pieter & von Lüpke, Thomas, 2014. "Effective resolution of banks: Problems and solutions," SAFE White Paper Series 19, Leibniz Institute for Financial Research SAFE.
  22. Issing, Otmar & Krahnen, Jan Pieter, 2014. "Transcript of a hearing before members of the House of Lords (UK) in Frankfurt on genuine economic and monetary union and its implication for the UK," SAFE Policy Letters 21, Leibniz Institute for Financial Research SAFE.
  23. Bluhm, Marcel & Faia, Ester & Krahnen, Jan Pieter, 2014. "Endogenous banks' networks, cascades and systemic risk," SAFE Working Paper Series 12, Leibniz Institute for Financial Research SAFE, revised 2014.
  24. Krahnen, Jan Pieter, 2014. "Bail-In jetzt richtig umsetzen," SAFE Policy Letters 34, Leibniz Institute for Financial Research SAFE.
  25. Krahnen, Jan Pieter, 2014. "Finanzmärkte: Mut zu radikaler Ordnungspolitik," SAFE Policy Letters 17, Leibniz Institute for Financial Research SAFE.
  26. Krahnen, Jan Pieter, 2014. "Keine Institutionenkonkurrenz auf nationaler Ebene schaffen: Das "doppelte AIDA"-Modell," SAFE Policy Letters 30, Leibniz Institute for Financial Research SAFE.
  27. Bluhm, Marcel & Krahnen, Jan Pieter, 2014. "Systemic risk in an interconnected banking system with endogenous asset markets," SAFE Working Paper Series 48, Leibniz Institute for Financial Research SAFE.
  28. Krahnen, Jan Pieter, 2014. "Implementing bail-in properly," SAFE Policy Letters 35, Leibniz Institute for Financial Research SAFE.
  29. Bluhm, Marcel & Faia, Ester & Krahnen, Jan Pieter, 2014. "Monetary policy implementation in an interbank network: Effects on systemic risk," SAFE Working Paper Series 46, Leibniz Institute for Financial Research SAFE.
  30. Krahnen, Jan Pieter & Rocholl, Jörg, 2013. "Designing the funding side of the Single Resolution Mechanism (SRM): A proposal for a layered scheme with limited joint liability," SAFE White Paper Series 10, Leibniz Institute for Financial Research SAFE.
  31. Krahnen, Jan Pieter & Mayer, Thomas, 2013. "Gesprächsreihe zu Strukturreformen im Europäischen Bankensektor: Managementvergütung im Bankensektor," SAFE Policy Letters 4, Leibniz Institute for Financial Research SAFE.
  32. Krahnen, Jan Pieter & Weimer, Theodor, 2013. "Gesprächsreihe zu Strukturreformen im europäischen Bankensektor: Die Auswirkungen von Regulierung auf Bankverhalten und Wettbewerb," SAFE Policy Letters 12, Leibniz Institute for Financial Research SAFE.
  33. Krahnen, Jan Pieter, 2013. "Deposit insurance suitable for Europe: Proposal for a three-stage deposit guarantee scheme with limited European liability," SAFE Policy Letters 8, Leibniz Institute for Financial Research SAFE.
  34. Hackethal, Andreas & Krahnen, Jan Pieter, 2013. "Kommentierung des "Entwurf eines Gesetzes zur Abschirmung von Risiken und zur Planung der Sanierung and Abwicklung von Kreditinstituten und Finanzgruppen" vom 6. Februar 2013," SAFE Policy Letters 3, Leibniz Institute for Financial Research SAFE.
  35. Krahnen, Jan Pieter, 2013. "A big bang for banking in Europe," SAFE Policy Letters 16, Leibniz Institute for Financial Research SAFE.
  36. Krahnen, Jan Pieter, 2013. "Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts," SAFE White Paper Series 8, Leibniz Institute for Financial Research SAFE.
  37. Krahnen, Jan Pieter & Kemmer, Michael, 2013. "Gesprächsreihe zu Strukturreformen im europäischen Bankensektor: Zukunft der Universalbanken," SAFE Policy Letters 9, Leibniz Institute for Financial Research SAFE.
  38. Krahnen, Jan Pieter, 2013. "Rescue by regulation? Key points of the Liikanen report," SAFE White Paper Series 9, Leibniz Institute for Financial Research SAFE.
  39. Bluhm, Marcel & Krahnen, Jan Pieter, 2011. "Default risk in an interconnected banking system with endogeneous asset markets," CFS Working Paper Series 2011/19, Center for Financial Studies (CFS).
  40. Gropp, Reint E. & Hirsch, Christian & Krahnen, Jan Pieter, 2011. "Is rated debt arm's length? Evidence from mergers and acquisitions," CFS Working Paper Series 2011/10, Center for Financial Studies (CFS).
  41. Hilgert, Heinz & Krahnen, Jan Pieter & Merl, Günther & Siekmann, Helmut, 2011. "Streitschrift für eine grundlegende Neuordnung des Sparkassen- und Landesbankensektors in Deutschland," IMFS Working Paper Series 42, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS).
  42. Hilgert, Heinz & Krahnen, Jan Pieter & Merl, Günther & Siekmann, Helmut, 2011. "On a fundamental reorganisation of the Landesbanks and savings banks sector in Germany," IMFS Working Paper Series 44, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS).
  43. Krahnen, Jan Pieter & Siekmann, Helmut, 2010. "Rettungsstrategie ohne Moral Hazard: Versuch eines Gesamtkonzepts zur Bankkrisenvermeidung," IMFS Working Paper Series 38, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS).
  44. Brunner, Antje & Krahnen, Jan Pieter, 2010. "Hold-up in multiple banking: Evidence from SME lending," CFS Working Paper Series 2010/07, Center for Financial Studies (CFS).
  45. Jan Pieter Krahnen & Christian Wilde, 2009. "CDOs and Systematic Risk: Why bond ratings are inadequate," Working Paper Series: Finance and Accounting 203, Department of Finance, Goethe University Frankfurt am Main.
  46. Franke, Günter & Krahnen, Jan Pieter, 2009. "Instabile Finanzmärkte," CFS Working Paper Series 2009/13, Center for Financial Studies (CFS).
  47. Franke, Günter & Krahnen, Jan Pieter, 2008. "The future of securitization," CFS Working Paper Series 2008/31, Center for Financial Studies (CFS).
  48. Jan Pieter Krahnen & Christian Wilde, 2008. "Risk Transfer with CDOs," Working Paper Series: Finance and Accounting 187, Department of Finance, Goethe University Frankfurt am Main.
  49. Uri Ben-Zion & Jan Pieter Krahnen & TAL SHAVIT, 2007. "Subjective Evaluation Of Delayed Risky Outcomes: An Experimental Approach," Working Papers 0709, Ben-Gurion University of the Negev, Department of Economics.
  50. Krahnen, Jan-Pieter & Wilde, Christian, 2006. "Risk Transfer with CDOs and Systemic Risk in Banking," CEPR Discussion Papers 5618, C.E.P.R. Discussion Papers.
  51. Krahnen, Jan P. & Schmid, Frank A. & Theissen, Erik, 2006. "Investment performance and market share: A study of the German mutual fund industry," CFR Working Papers 06-06, University of Cologne, Centre for Financial Research (CFR).
  52. Krahnen, Jan Pieter & Wilde, Christian, 2006. "Risk transfer with CDOs and systemic risk in bankingfam," CFS Working Paper Series 2006/04, Center for Financial Studies (CFS).
  53. Jan Pieter Krahnen, 2006. "Die Stabilität von Finanzmärkten: Wie kann die Wirtschaftspolitik Vertrauen schaffen?," Working Paper Series: Finance and Accounting 164, Department of Finance, Goethe University Frankfurt am Main.
  54. Jan Pieter Krahnen, 2005. "Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes," Working Paper Series: Finance and Accounting 152, Department of Finance, Goethe University Frankfurt am Main.
  55. Guenter Franke & Jan Pieter Krahnen, 2005. "Default Risk Sharing Between Banks and Markets: The Contribution of Collateralized Debt Obligations," NBER Working Papers 11741, National Bureau of Economic Research, Inc.
  56. Krahnen, Jan-Pieter & Brunner, Antje, 2004. "Multiple Lenders and Corporate Distress: Evidence on Debt Restructuring," CEPR Discussion Papers 4287, C.E.P.R. Discussion Papers.
  57. Elsas, Ralf & Krahnen, Jan Pieter, 2003. "Universal Banks and Relationships with Firms," CFS Working Paper Series 2003/20, Center for Financial Studies (CFS).
  58. Elsas, Ralf & Krahnen, Jan Pieter, 2002. "Collateral, relationship lending and financial distress: An empirical study on financial contracting," CFS Working Paper Series 2002/17, Center for Financial Studies (CFS).
  59. Jan Pieter Krahnen & Martin Weber, 2001. "Marketmaking in the Laboratory: Does Competition Matter?," Working Paper Series: Finance and Accounting 4, Department of Finance, Goethe University Frankfurt am Main.
  60. Krahnen, Jan-Pieter & Brunner, Antje, 2001. "Corporate Debt Restructuring: Evidence on Lending Coordination in Financial Distress," CEPR Discussion Papers 3030, C.E.P.R. Discussion Papers.
  61. Krahnen, Jan-Pieter, 2000. "Collateral, Default Risk, and Relationship Lending: An Empirical Study on Financial Contracting," CEPR Discussion Papers 2540, C.E.P.R. Discussion Papers.
  62. Krahnen, Jan Pieter & Weber, Martin, 2000. "Generally accepted rating principles: A primer," CFS Working Paper Series 2000/02, Center for Financial Studies (CFS).
  63. Jan Pieter Krahnen & Christian Rieck & Erik Theissen, 1999. "Insider Trading and Portfolio Structure in Experimental Asset Markets with a Long Lived Asset," Working Paper Series: Finance and Accounting 1, Department of Finance, Goethe University Frankfurt am Main.
  64. Jan Pieter Krahnen, 1998. "Finanzierungstheorie: Ein selektiver Überblick," Working Paper Series: Finance and Accounting 15, Department of Finance, Goethe University Frankfurt am Main.
  65. Krahnen, Jan Pieter, 1998. "Where do we stand in the theory of finance? A selective overview with reference to Erich Gutenberg," CFS Working Paper Series 1998/09, Center for Financial Studies (CFS).
  66. Elsas, Ralf & Krahnen, Jan Pieter, 1998. "Is relationship lending special? Evidence from credit-file data in Germany," CFS Working Paper Series 1998/05, Center for Financial Studies (CFS).
  67. Weber, Martin & Krahnen, Jan Pieter & Voßmann, Frank, 1998. "Risikomessung im Kreditgeschäft: Eine empirische Analyse bankinterner Ratingverfahren," Sonderforschungsbereich 504 Publications 98-45, Sonderforschungsbereich 504, Universität Mannheim;Sonderforschungsbereich 504, University of Mannheim.
  68. Krahnen, Jan Pieter & Schmid, Frank A. & Theissen, Erik, 1997. "Performance and market share: Evidence from the German mutual fund industry," CFS Working Paper Series 1997/01, Center for Financial Studies (CFS).
  69. Krahnen, Jan Pieter & Rieck, Christian & Theissen, Erik, 1997. "Messung individueller Risikoeinstellungen," CFS Working Paper Series 1997/03, Center for Financial Studies (CFS).
  70. Krahnen JP. & Schmidt RH., 1995. "On the theory of credit cooperatives: equity and onlending in a multi- tier system: a concept paper," ILO Working Papers 993121643402676, International Labour Organization.

Articles

  1. Krahnen Jan Pieter & Götz Martin R. & Tröger Tobias H., 2017. "Fünf Jahre nach dem Liikanen-Bericht: Was haben wir gelernt?," Perspektiven der Wirtschaftspolitik, De Gruyter, vol. 18(3), pages 205-225, October.
  2. Jan-Pieter Krahnen & Felix Noth & Ulrich Schüwer, 2017. "Structural Reforms in Banking: The Role of Trading," Journal of Financial Regulation, Oxford University Press, vol. 3(1), pages 66-88.
  3. Bluhm, Marcel & Krahnen, Jan Pieter, 2014. "Systemic risk in an interconnected banking system with endogenous asset markets," Journal of Financial Stability, Elsevier, vol. 13(C), pages 75-94.
  4. Jan Pieter Krahnen, 2013. "Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts," Perspektiven der Wirtschaftspolitik, Verein für Socialpolitik, vol. 14(3-4), pages 167-185, August.
  5. Antje Brunner & Jan Pieter Krahnen, 2013. "Hold-up in multiple banking: evidence from SME lending," International Journal of Banking, Accounting and Finance, Inderscience Enterprises Ltd, vol. 5(1/2), pages 78-101.
  6. Franke Günter & Krahnen Jan Pieter, 2012. "Marktkräfte und Finanzstabilität: Desiderata und Anreizwirkungen eines institutionellen Rahmens für Bankenrestrukturierung," Zeitschrift für Bankrecht und Bankwirtschaft (ZBB) / Journal of Banking Law and Banking (JBB), RWS Verlag, vol. 24(5), pages 399-412, October.
  7. Uri Benzion & Jan Krahnen & Tal Shavit, 2011. "Subjective evaluation of delayed risky outcomes for buying and selling positions: the behavioral approach," Annals of Finance, Springer, vol. 7(2), pages 247-265, May.
  8. Günter Franke & Jan P. Krahnen, 2009. "Instabile Finanzmärkte," Perspektiven der Wirtschaftspolitik, Verein für Socialpolitik, vol. 10(4), pages 335-366, November.
  9. Antje Brunner & Jan Pieter Krahnen, 2008. "Multiple Lenders and Corporate Distress: Evidence on Debt Restructuring," The Review of Economic Studies, Review of Economic Studies Ltd, vol. 75(2), pages 415-442.
  10. Theurl Theresia & Krahnen Jan Pieter & Gehrig Thomas P., 2006. "Die Stabilität von Finanzmärkten:Wie kann die Wirtschaftspolitik Vertrauen schaffen?," Zeitschrift für Wirtschaftspolitik, De Gruyter, vol. 55(1), pages 45-69, April.
  11. Stijn Claessens & Jan Krahnen & William Lang, 2005. "The Basel II Reform and Retail Credit Markets," Journal of Financial Services Research, Springer;Western Finance Association, vol. 28(1), pages 5-13, October.
  12. Jan Pieter Krahnen, 2005. "Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes," Perspektiven der Wirtschaftspolitik, Verein für Socialpolitik, vol. 6(4), pages 499-519, November.
  13. Kehr, Carl-Heinrich & Krahnen, Jan P. & Theissen, Erik, 2001. "The Anatomy of a Call Market," Journal of Financial Intermediation, Elsevier, vol. 10(3-4), pages 249-270, July.
  14. Krahnen, Jan Pieter & Weber, Martin, 2001. "Generally accepted rating principles: A primer," Journal of Banking & Finance, Elsevier, vol. 25(1), pages 3-23, January.
  15. Franklin Allen & Hans Gersbach & Jan-Pieter Krahnen & Anthony M. Santomero, 2001. "Competition Among Banks: Introduction and Conference Overview," Review of Finance, European Finance Association, vol. 5(1-2), pages 1-11.
  16. Jan Krahnen & Martin Weber, 2001. "Marketmaking in the Laboratory: Does Competition Matter?," Experimental Economics, Springer;Economic Science Association, vol. 4(1), pages 55-85, June.
  17. J. P. Krahnen & C. Rieck & E. Theissen, 1999. "Insider trading and portfolio structure in experimental asset markets with a long-lived asset," The European Journal of Finance, Taylor & Francis Journals, vol. 5(1), pages 29-50.
  18. Elsas, Ralf & Krahnen, Jan Pieter, 1998. "Is relationship lending special? Evidence from credit-file data in Germany," Journal of Banking & Finance, Elsevier, vol. 22(10-11), pages 1283-1316, October.
  19. Guth, Werner & Krahnen, Jan P. & Rieck, Christian, 1997. "Financial markets with asymmetric information: A pilot study focusing on insider advantages," Journal of Economic Psychology, Elsevier, vol. 18(2-3), pages 235-257, April.
  20. Krahnen, Jan Pieter & Rieck, Christian & Theissen, Erik, 1997. "Inferring risk attitudes from certainty equivalents: Some lessons from an experimental study," Journal of Economic Psychology, Elsevier, vol. 18(5), pages 469-486, September.

Chapters

  1. Gunter Franke & Jan Pieter Krahnen, 2007. "Default Risk Sharing between Banks and Markets: The Contribution of Collateralized Debt Obligations," NBER Chapters, in: The Risks of Financial Institutions, pages 603-631, National Bureau of Economic Research, Inc.

Books

  1. Allen, Franklin & Carletti, Elena & Krahnen, Jan Pieter & Tyrell, Marcel (ed.), 2011. "Liquidity and Crises," OUP Catalogue, Oxford University Press, number 9780195390711, Decembrie.
  2. Allen, Franklin & Carletti, Elena & Krahnen, Jan Pieter & Tyrell, Marcel (ed.), 2011. "Liquidity and Crises," OUP Catalogue, Oxford University Press, number 9780195390704, Decembrie.
  3. Krahnen, Jan P. & Schmidt, Reinhard H. (ed.), 2004. "The German Financial System," OUP Catalogue, Oxford University Press, number 9780199253166, Decembrie.

More information

Research fields, statistics, top rankings, if available.

Statistics

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Rankings

This author is among the top 5% authors according to these criteria:
  1. Number of Distinct Works, Weighted by Recursive Impact Factor
  2. Number of Distinct Works, Weighted by Number of Authors
  3. Number of Distinct Works, Weighted by Number of Authors and Recursive Impact Factors
  4. Closeness measure in co-authorship network
  5. Betweenness measure in co-authorship network
  6. Wu-Index

Co-authorship network on CollEc

NEP Fields

NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 31 papers announced in NEP. These are the fields, ordered by number of announcements, along with their dates. If the author is listed in the directory of specialists for this field, a link is also provided.
  1. NEP-GER: German Papers (7) 2014-01-17 2014-04-11 2015-07-18 2015-10-17 2018-09-17 2019-03-18 2019-08-19. Author is listed
  2. NEP-RMG: Risk Management (7) 2005-11-19 2006-05-06 2008-05-17 2009-07-28 2014-04-11 2014-04-18 2016-09-25. Author is listed
  3. NEP-BAN: Banking (6) 2014-01-17 2014-04-11 2014-04-18 2014-12-03 2016-04-09 2016-06-18. Author is listed
  4. NEP-EEC: European Economics (5) 2014-12-03 2015-02-22 2015-07-18 2018-01-01 2019-03-18. Author is listed
  5. NEP-FMK: Financial Markets (5) 1998-11-30 2005-11-19 2006-05-06 2008-05-17 2009-07-28. Author is listed
  6. NEP-CBA: Central Banking (4) 2006-05-06 2014-04-11 2015-09-26 2019-03-18
  7. NEP-EXP: Experimental Economics (4) 1998-11-30 1998-11-30 2014-06-28 2015-02-22
  8. NEP-MON: Monetary Economics (4) 2014-04-11 2015-02-22 2016-04-16 2019-03-18
  9. NEP-UPT: Utility Models and Prospect Theory (4) 2009-07-28 2014-06-28 2015-02-22 2019-03-18
  10. NEP-FIN: Finance (3) 2005-05-14 2005-11-19 2006-05-06
  11. NEP-NET: Network Economics (3) 2014-01-17 2014-04-11 2014-04-18
  12. NEP-CBE: Cognitive and Behavioural Economics (2) 2014-06-28 2015-02-22
  13. NEP-CFN: Corporate Finance (2) 2015-06-05 2017-01-29
  14. NEP-BEC: Business Economics (1) 2005-11-19
  15. NEP-CMP: Computational Economics (1) 2009-07-28
  16. NEP-CNA: China (1) 2019-06-10
  17. NEP-ENT: Entrepreneurship (1) 2017-01-29
  18. NEP-LAW: Law and Economics (1) 2018-01-01
  19. NEP-MAC: Macroeconomics (1) 2015-02-22
  20. NEP-PAY: Payment Systems and Financial Technology (1) 2019-06-10
  21. NEP-SBM: Small Business Management (1) 2017-01-29

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