63 results on '"Schich, Sebastian"'
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2. Limiting too-big-to-fail: market reactions to policy announcements and actions
3. The Government as Guarantor of Last Resort: Benefits, Costs and the Case for Premium Charges
4. What Makes Private Stablecoins Stable?
5. Banks, Digital Banking Initiatives and the Financial Safety Net: Theory and Analytical Framework
6. Do Fintech and Cryptocurrency Initiatives Make Banks Less Special?
7. Implicit Bank Debt Guarantees: Costs, Benefits and Risks
8. Fear the Walking Dead? Incidence and Effects of Zombie Firms in Europe
9. IMPLICIT BANK DEBT GUARANTEES: COSTS, BENEFITS AND RISKS
10. To What Extent Do Public Authorities Verify the Cost-Effectiveness of Guarantees for Credit to SMEs?
11. Les garanties publiques du crédit aux PME sont-elles efficientes ? Les enseignements d'une enquête officielle internationale
12. Estimating the size and incidence of bank resolution costs for selected banks in OECD countries
13. Reducing and sharing the burden of bank failures
14. Un moment opportun pour l’évaluation des coûts et bénéfices des garanties de crédit et la relance des politiques de soutien aux PME
15. Why implicit bank debt guarantees matter
16. Policy responses to the issue of implicit bank debt guarantees
17. Measurement and analysis of implicit guarantees for bank debt
18. Improving the monitoring of the value of implicit guarantees for bank debt
19. How to reduce implicit bank debt guarantees?
20. Developments in the value of implicit guarantees for bank debt
21. Implicit guarantees for bank debt
22. Sovereign and Banking Sector Debt
23. The Economic Impact of Protracted Low Interest Rates on Pension Funds and Insurance Companies
24. Guarantee Arrangements for Financial Promises
25. The Design of Government Guarantees for Bank Bonds
26. Insurance companies and the financial crisis
27. Expanded guarantees for banks
28. Expanded government guarantees for bank liabilities
29. Challenges Associated with the Expansion of Deposit Insurance Coverage during Fall 2008
30. Revisiting the asset-meltdown hypothesis
31. Financial crisis: Deposit insurance and related financial safety net aspects
32. Challenges for financial intermediaries offering asset decumulation products
33. Challenges Associated with the Expansion of Deposit Insurance Coverage During Fall 2008
34. Challenges related to financial guarantee insurance
35. Financial turbulence
36. International capital mobility: What do national saving–investment dynamics tell us?
37. Large-Scale Disasters and the Insurance Industry
38. Indian Financial System Reform
39. Selected Questions Regarding Hedge Funds
40. Housing Markets and Household Debt
41. Asset Allocation Challenges for Pension Funds
42. European stock market dependencies when price changes are unusually large
43. National Saving-Investment Dynamics and International Capital Mobility
44. How Stable is the Predictive Power of the Yield Curve? Evidence from Germany and the United States
45. Assessing the stability of the relationship between yield curves and inflation
46. Financial development and investment: panel data evidence for OECD countries from 1970 to 1997
47. Dependencies between European Stock Markets when Price Changes are Unusually Large
48. Dependencies between European Stock Markets When Price Changes are Unusually Large
49. Increases in Business Investment Rates in OECD Countries in the 1990s: How Much Can be Explained by Fundamentals?
50. Panel Cointegration Analysis of the Finance-Investment Link in OECD Countries
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