
Online
Finanzkrisen
Online Publikationen
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2019
11. – 12. April
Abschlusskonferenz: After the Crisis is Before the Crisis
- Programm
- Panelbeitrag, Philip Reading
- Basel Risk-Weights and their Implementation, Stefan Kerbl
- The Basel III Leverage Ratio, Corinna Woyand
- Are Coco-Bonds a Good Substitute for Equity?, Gabriela Hraskoa
- Is Transparency a Solution for Agency Issues in Securitization?, Philipp Klein
- Underpricing in the European Corporate Bond Markets, Erik Theissen
- Every Country for Itself and the Central Bank for us all?, Reinhard Neck
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2016
11. – 12. November
Regulation as a factor of systemic risk
- Programm
- CoCo Bonds and Risk: The Market View, Henning Hesse
- Ranking Consistency of Systemic Risk Measures: A Simulation-Based Analysis in a Banking Network Model, Peter Grundke
- Did the Basel Process of Capital Regulation Enhance the Resiliency of European Banks?, Thomas Gehrig & Maria Chiara Iannino
- Bank capital structure with contingent capital: Empirical evidence, Roman Goncharenko & Asad Rauf
- Contingent Debt and Investment, Roman Goncharenko
- Regulation as a factor of systemic risk, Sebastian Wider
- Market vs. Residence Principle: Experimental Evidence on the Effects of a Financial Transaction Tax, Jürgen Huber, Michael Kirchler, Daniel Kleinlercher, Matthias Sutter
- Videos
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2015
4. – 5. November
Workshop: Accounting, Information, and Financial Crises
- Programm
- Bank CEO Materialism, Corporate Culture and Risk
- Rumors and Runs in Opaque Markets: Evidence from the Panic of 1907
- Negative Eects of Information Disclosure: The Dark Side of Stress Test
- Signaling in Debt Contracting via Voluntary Verification of Timely Information
- Procyclicality of US Bank Leverage
- Financial Disclosure and Market Transparency with Costly Information Processing
- Expected Losses and Managerial Discretion as Drivers of Countercyclical Loan Loss Provisioning
- Learning Externalities in Opaque Asset Markets: Evidence from International Commercial Real Estate
- Bank runs and accounting for illiquid bank assets
- Something in the Air: Information Density, News Surprises, and Price Jumps
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2014
November
Comprehensive Assessment der EZB – Wie reilient sind Europas Banken?
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2013
Capital, Trust, and Competitiveness in the Banking Sector
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2012
18. – 19. Oktober
The Financial Crises of the 21. Century
- The Crisis of 2007/8, Martin Summer
- Towards a Unified European Banking Market, Josef Zechner
- Options for the Euro Area, Gerhard Illing
- Macroeconomic Imbalances, Oliver Landmann
- Psychology of Trust in Money, Tarek El Sehity
- Economic Attitudes in Financial Crises: The Democratic Challenge, Raymond Duch
- Multi-Party Government and Economic Policy-Making, Wolfgang C. Müller
- ‚Crisis‘ – ‚Democracy‘ – ‚Europe‘: terms of the contract? Framing public debates of the crisis, Katherine Sarikakis
- Financial Reporting and Financial Stability, Christian Laux