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10.3280/ED2014-002003

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Unstructured Zitierung

Acharya, V., Pedersen, L., Philippon, T., Richardson, M., Measuring systemic risk, working paper, New York University Stern School of Business, 2010.


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Acharya, V., Yorulmazer, T., Too many too fail – an analysis of time – inconsistency in bank closure policies, Bank of England Working Paper, n. 319, 2007.


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Allen, F., Gale, D., Competition and Financial Stability, in ≪Journal of Money, Credit and Banking≫, vol. 36, n. 3, Part 2, The Ohio State University, 2003.


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Allen, W., Wood, G., Defining and achieving financial stability, in ≪Journal of Financial Stability≫, 2, 2006, pp. 152-172.

https://doi.org/10.1016/j.jfs.2005.10.001


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Allen, N., Berger-Leona, F., Klapper-Rima, Turk Ariss, Bank competition and financial stability, World Bank Policy Research Working Paper, 2008.


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Altunbas, Y., Carbo, S., Gardener, E.P.M., Molyneux, P., Examining the relationship between capital, risk and efficiency in European Banking, in ≪European Financial Management≫, 13, 2007, pp. 49-70.

https://doi.org/10.1111/j.1468-036X.2006.00285.x


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Aversa, D., Nesi, N., Mercati finanziari e tutela del risparmio, in ≪Finanza e Diritto≫, Le Fonti, 2006. Ayadi, R., Liewellyn, D., Schmiidt, R.H., Arbak, E., De Groen, W.P., Investigating diversity in the banking sector in Europe: key developments, performance and role of cooperative banks, Brussels, Centre for European Policy Studies Banking and Finance, 28, 2010, pp. 2427-2460.


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BCBS, The New Basel Capital Accord, BIS, 2003.


Unstructured Zitierung

BCBS, Basel III: International framework for liquidity risk measurement, standards and monitoring, Basilea, 2010.


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BCBS, Basel III: A global regulatory framework for more resilient banks and banking systems, Basilea, rev. June 2011, 2010.


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BCBS, Countercyclical capital buffer proposal, consultative document, BIS, 2010.


Unstructured Zitierung

BCBS, Basel III: International framework for liquidity risk measurement, standards and monitoring, Basilea, 2010.


Unstructured Zitierung

Beck, T., Demirguc-Kunt, A., Levine, R., Bank concentration, competition, and crises: first results, in ≪Journal of Banking and Finance≫, 30, 2006, pp. 1581-1603.

https://doi.org/10.1016/j.jbankfin.2005.05.010


Unstructured Zitierung

Beck, T., Bank competition and financial stability: friends or foes?, World Bank – Policy Research Working Paper, 2008.


Unstructured Zitierung

Bikker, J.A., Shaffer, S., Spierdijk, L., Assessing competition with the Panzar-Rosse model: the role of scale, costs, and equilibrium, Discussion Paper Series, n. 09-27, Tjalling C. Koopmans Research Institute, Utrecht School of Economics, 2009.


Unstructured Zitierung

Blank, S., Bunch, C., Neugebauer, K., Shocks at large banks and banking sector distress: The Banking Granular Residual, in ≪Journal of Financial Stability≫, 5, 2009, pp. 353-373.

https://doi.org/10.1016/j.jfs.2008.12.002


Unstructured Zitierung

Borio, C., Monetary and Financial Stability: Here to stay?, in ≪Journal of Banking & Finance≫, 30, 2006, pp. 3407-3414.

https://doi.org/10.1016/j.jbankfin.2006.06.004


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Boyd, J.H., Runkle, D.E., Size and performance of banking firms: testing the predictions of theory, in ≪Journal of Monetary Economics≫, 31, 1993, pp. 47-67.

https://doi.org/10.1016/0304-3932(93)90016-9


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Brunnermeier, M., Deciphering the Liquidity and Credit Crunch 2007-2008, in ≪Journal of Economic Perspective≫, vol. 23, n. 1, 2009, pp. 77-100.

https://doi.org/10.1257/jep.23.1.77


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Caprio, Gerard, Klingebiel, Episodes of Systemic and Borderline Financial Crises, World Bank, Financial Sector Strategy and Policy Department, Washington D.C., 2000.


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Casu, B., Girardone, C., Bank Competition, concentration and efficiency in the single European market, The Manchester School, vol. 74, n. 4, 2006.

https://doi.org/10.1111/j.1467-9957.2006.00503.x


Unstructured Zitierung

Cihak, M., Hesse, H., Islamic banks and financial stability: an empirical analysis, IMF Working Paper, 2008.


Unstructured Zitierung

Cihak, M., Schaeck, K., Wolfe, S., Are Competitive Banking System More Stable?, in ≪Journal of Money, Credit and Banking≫, vol. 41, n. 4, The Ohio State University, 2009.


Unstructured Zitierung

Chiaramonti, L., Poli, S., Oriani, M., Are Cooperatives Banks a lever for promoting bank stability? Evidences form the recent financial crisis in OECD countries, Bancaria, 2013.


Unstructured Zitierung

Davis, P., Towards a typology for systemic financial instability, London, Brunel University and NIESR, 2003.


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De Brant, O., Hartmann, P., Systemic risk: a survey, European Central Bank, Working Paper n. 35, 2000.


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De Graeve, F., Kick, T., Koetter, M., Monetary policy and financial (in)stability: An integrated micro-macro approach, in ≪Journal of Financial Stability≫, 4, 2008, pp. 205-231. De Haan, J., Oosterloo, S., Schoenmaker, D., European Financial Markets and Istitutions, working paper, Cambridge University, 2009.


Unstructured Zitierung

De Nicolo, G., Size, charter value and risk in banking: an international perspective, International Finance Discussion Paper, n. 689, Board of Governors of the Federal Reserve System, December 2000.


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De Nicolo, G., Bartholomew, P., Zaman, J., Zephirin, M., Bank Consolidation, Internationalization, and Conglomeration: Trends and Implications for Financial Risk, in ≪Financial Markets, Institutions & Instruments Journal≫, 13, 4, 2004, pp. 173-217.


Unstructured Zitierung

Demirguc-Kunt, A., Detragiache, E., Basel Core Principles and Bank Risk: Does Compliance Matter?, IMF Working Paper, 2010.


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Diamond, D., Dybvig, P., Bank runs, deposit insurance, and liquidity, in ≪Journal of Political Economy≫, vol. 91, n. 3, 1983.

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Unstructured Zitierung

Eisenbeis, R., Kaufman, G., Cross-border banking and financial stability in the EU, in ≪Journal of Financial Stability≫, 4, 2008, pp. 168-204.

https://doi.org/10.1016/j.jfs.2007.09.004


Unstructured Zitierung

Goodhart, C., Some New Directions for Financial Stability. The Per Jacobsson Lecture, Basel, Bank for International Settlements, 2004.


Unstructured Zitierung

Groeneveld, H., De Vries, B., European co-operative banks: first lessons of subprime crisis, in ≪The International Journal of Co-coperative Management≫, 4, 2009, pp. 8-21.


Unstructured Zitierung

Hakenes, H., Schnabel, I., Bank size and Risk-Taking under Basel II, Preprints of the Max, 2005.


Unstructured Zitierung

Heimeshoff, U., Uhde, A., Consolidation in banking and financial stability in Europe, in ≪Journal of Banking and Finance≫, 33, 7, 2009, pp. 1299-1311.


Unstructured Zitierung

Hesse, H., Cihak, M., Cooperative banks and financial stability, IMF Working Paper, 2007.


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Houben, A., Kakes, J., Schinasi, G., Toward a Framework for Safeguarding Financial Stability, International Monetary Fund, working paper, 2004.


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Kindleberger, C., Aliber, R., Manias, Panics, and Crashes: A History of Financial Crises, Fifth Edition, John Wiley & Sons, Inc., 2005.

https://doi.org/10.1057/9780230628045


Unstructured Zitierung

KPMG, In cerca di un nuovo equilibrio. Le banche italiane tra qualità del credito, requisiti patrimoniali, recupero di redditività ed efficienza, KPMG, 2011.


Unstructured Zitierung

Jimenez, G., Lopez, J., Saurina, J., How does competition impact bank risk taking?, Working Paper, Banco de Espana, 2007.


Unstructured Zitierung

Lerner, A.P., Concept of Monopoly and the Measurement of Monopoly Power, in ≪The Review of Economic Studies≫, 1, 3, 1934, pp. 157-175.


Unstructured Zitierung

Maudos, J., De Guevara, J.F., Bank size, market power and financial stability, disponibile su http://wolpertinger.bangor.ac.uk, 2010.


Unstructured Zitierung

Moshirian, F., Element of global financial stability, in ≪Journal of multinational financial management≫, 14, 2004, pp. 305-314.

https://doi.org/10.1016/j.mulfin.2004.05.002


Unstructured Zitierung

Oosterloo, S., De Haan, J., Central banks and financial stability: a survey, in ≪Journal of Financial Stability≫, 1, 2004, pp. 257-273.

https://doi.org/10.1016/j.jfs.2004.09.002


Unstructured Zitierung

Pichler, F., I conglomerati finanziari. Profili gestionali e di regolamentazione, Giuffre Editore, 2008.


Unstructured Zitierung

Poloz, S., Financial Stability: A worthy goal, but how feasible?, in ≪Journal of Banking & Finance≫, 30, 2006, pp. 3423-3427.

https://doi.org/10.1016/j.jbankfin.2006.06.002


Unstructured Zitierung

Rajan, Raghuram, G., Why Bank Credit Policies Fluctuate: A Theory and Some Evidence, in ≪The Quarterly Journal of Economics≫, 109, n. 2, 1994, pp. 399-441.

https://doi.org/10.2307/2118468


Unstructured Zitierung

Rodriguez, L.J., Banking stability and the Basel Capital Standards, in ≪Cato Journal≫, vol. 23, n. 1, 2003. Roy, A.D., Safety First and the Holding of Assets, in ≪Econometrica Journal of the econometric society≫, vol. 20, n. 3, 1952, pp. 431-449.


Unstructured Zitierung

Schaeck, K., Cihak, M., Wolfe, S., Are competitive banking systems more stable?, IMF Working Paper, 2006.


Unstructured Zitierung

Schinasi, G., Responsibility of Central Banks for Stability in Financial Markets, IMF, Working Paper n. 121, 2003.


Unstructured Zitierung

Segoviano, M.A., Goodhart, C., Banking stability measure, IMF Working Paper, 2009.


Unstructured Zitierung

Shaffer, S., The Winner Curse in Banking, University of Wyoming, Mimeo, 1999.


Unstructured Zitierung

Sironi, A., Rischio e valore nelle banche: risk management and capital allocation, Milano, Egea, 2005.


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Sironi, A., Le proposte di Basilea 3 per la riforma del sistema di adeguatezza patrimoniale: un’analisi critica, in ≪Bancaria≫, n. 3, 2010, Bancaria editrice.


Unstructured Zitierung

Stefancic, M., Cooperative Credit Network: Advantages And Challenges In Italian Cooperative Credit Banks, Euricse Working Papers, n. 16, 2010.


Unstructured Zitierung

Stiroh, K.J., Do community banks benefit from diversification?, in ≪Journal of Financial Services Research≫, 25, 2004, pp. 135-160.

https://doi.org/10.1023/B:FINA.0000020657.59334.76