Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G28: Government Policy and Regulation
- Yuan Mingzhe & Liu Huifeng, 2011, "The Economic Consequences of Fair Value Accounting," Accounting, Economics, and Law: A Convivium, De Gruyter, volume 1, issue 2, pages 1-44, April, DOI: 10.2202/2152-2820.1010.
- Gigliobianco Alfredo & Giordano Claire, 2012, "Does Economic Theory Matter in Shaping Banking Regulation? A Case-study of Italy (1861-1936)," Accounting, Economics, and Law: A Convivium, De Gruyter, volume 2, issue 1, pages 1-78, September, DOI: 10.1515/2152-2820.1023.
- Proto Eugenio, 2007, "Bank Fragility and Growth Expectations," The B.E. Journal of Economic Analysis & Policy, De Gruyter, volume 7, issue 1, pages 1-32, November, DOI: 10.2202/1935-1682.1720.
- Zitzewitz Eric W, 2009, "Prosecutorial Discretion in Mutual Fund Settlement Negotiations, 2003-7," The B.E. Journal of Economic Analysis & Policy, De Gruyter, volume 9, issue 1, pages 1-42, June, DOI: 10.2202/1935-1682.2185.
- Bostic Raphael & Paulson Anna L & Mehran Hamid & Saidenberg Marc, 2005, "Regulatory Incentives and Consolidation: The Case of Commercial Bank Mergers and the Community Reinvestment Act," The B.E. Journal of Economic Analysis & Policy, De Gruyter, volume 5, issue 1, pages 1-27, April, DOI: 10.1515/1538-0637.1392.
- Secrieru Oana & Vigneault Marianne, 2004, "Public Venture Capital, Occupational Choice, and Entrepreneurship," The B.E. Journal of Economic Analysis & Policy, De Gruyter, volume 4, issue 1, pages 1-24, October, DOI: 10.2202/1538-0653.1346.
- Beck Thorsten & Büyükkarabacak Berrak & Rioja Felix K. & Valev Neven T., 2012, "Who Gets the Credit? And Does It Matter? Household vs. Firm Lending Across Countries," The B.E. Journal of Macroeconomics, De Gruyter, volume 12, issue 1, pages 1-46, March, DOI: 10.1515/1935-1690.2262.
- Skoble Aeon J., 2000, "Liberty, Policy, and Natural Disasters," Journal des Economistes et des Etudes Humaines, De Gruyter, volume 10, issue 4, pages 1-15, December, DOI: 10.2202/1145-6396.1134.
- Ahrens John, 2000, "A Fool's Errand?," Journal des Economistes et des Etudes Humaines, De Gruyter, volume 10, issue 4, pages 1-18, December, DOI: 10.2202/1145-6396.1135.
- Arnold N. Scott, 2000, "The Role of Government in Responding to Natural Catastrophes," Journal des Economistes et des Etudes Humaines, De Gruyter, volume 10, issue 4, pages 1-24, December, DOI: 10.2202/1145-6396.1136.
- Mitra Barun S., 2000, "Dealing with Natural Disaster: Role of the Market," Journal des Economistes et des Etudes Humaines, De Gruyter, volume 10, issue 4, pages 1-21, December, DOI: 10.2202/1145-6396.1137.
- Nechita Radu, 2003, "Demand Deposits Insurance and Double Liability : The effect On Incentives," Journal des Economistes et des Etudes Humaines, De Gruyter, volume 13, issue 1, pages 1-44, March, DOI: 10.2202/1145-6396.1082.
- Dalla Pellegrina Lucia & Saraceno Margherita, 2011, "Securities Class Actions: A Helping Hand for Bank Regulators in Trouble?," Review of Law & Economics, De Gruyter, volume 7, issue 1, pages 214-242, July, DOI: 10.2202/1555-5879.1459.
- Sebastian Ebert & Eva Lütkebohmert, None, "Treatment of double default effects within the granularity adjustment for Basel II," Journal of Credit Risk, Journal of Credit Risk.
- Daniel Rösch & Harald Scheule, None, "Multi-year dynamics for forecasting economic and regulatory capital in banking," Journal of Credit Risk, Journal of Credit Risk.
- Michel Alexandre & Giovani A. S. Brito & Theo C. Martins, None, "Default contagion among credit modalities: evidence from Brazilian data," Journal of Credit Risk, Journal of Credit Risk.
- Georges Dionne & Samir Saissi Hassani, None, "Hidden Markov regimes in operational loss data: application to the recent financial crisis," Journal of Operational Risk, Journal of Operational Risk.
- Marco Migueis, None, "Forward-looking and incentive-compatible operational risk capital framework," Journal of Operational Risk, Journal of Operational Risk.
- Filippo Curti & Marco Migueis & Robert Stewart, None, "Benchmarking operational risk stress testing models," Journal of Operational Risk, Journal of Operational Risk.
- Eva Lütkebohmert, None, "Failure of the saddlepoint method in the presence of double defaults," Journal of Risk, Journal of Risk.
- Daniel Rösch & Harald Scheule, None, "Stress-testing credit risk parameters: an application to retail loan portfolios," Journal of Risk Model Validation, Journal of Risk Model Validation.
- Jürg Mägerle & Thomas Nellen, None, "Interoperability between central counterparties," Journal of Financial Market Infrastructures, Journal of Financial Market Infrastructures.
- Anneke Kosse & Zhentong Lu & Gabriel Xerri, None, "Predicting payment migration in Canada," Journal of Financial Market Infrastructures, Journal of Financial Market Infrastructures.
- J.A. Bikker, 2008, "Sizing up performance measures in the financial services sector," Working Papers, Utrecht School of Economics, number 08-36, Dec.
- J.A. Bikker & L. Spierdijk, 2009, "Measuring and explaining competition in the financial sector," Working Papers, Utrecht School of Economics, number 09-01, Feb.
- J.A. Bikker & T. Knaap & W.E. Romp, 2011, "Real Pension Rights as a Control Mechanism for Pension Fund Solvency," Working Papers, Utrecht School of Economics, number 11-15.
- Daniel Roesch & Harald Scheule, 2004, "Forecasting retail portfolio credit risk," Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney, number 2004-1, Jan.
- Daniel Roesch & Harald Scheule, 2007, "Stress-testing credit risk parameters: An application to retail loan portfolios," Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney, number 2007-1, Jan.
- Daniel Roesch & Harald Scheule, 2007, "Multi-Year Dynamics for Forecasting Economic and Regulatory Capital in Banking," Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney, number 2007-2, Jan.
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