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Fünf Jahre nach der Abschaffung der umfassenden Haftung für Landesbanken hat sich deren Lage deutlich verschärft. Dazu hat auch die internationale Finanzkrise beigetragen. Einzelne Landesbanken benötigten erhebliche Kapitalspritzen. Inzwischen ist klar, dass eine weitere Konsolidierung im...
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Macroeconomic theory assumes that factors of production in the economy are homogeneous and fungible. As a result, it is poorly suited for analyzing and developing policy responses to the recent financial crisis. Theories of strategic management and organization, with their emphasis on...
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The governance of infrastructure institutions in the financial markets – namely exchanges, central counter-parties (CCPs), and central securities depositories (CSDs) – has become a matter of significant commercial, regulatory, legislative, and even political concern. Such institutions play a...
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We analyze the transmission of the financial crisis of 2007 to 2009 to 415 country-industry equity portfolios. We use a factor model to predict crisis returns, defining unexplained increases in factor loadings and residual correlations as indicative of contagion. While we find evidence of...
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