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For a sample of 83 financial institutions during 2003–2011, this paper attempts to answer three questions: first, what is the evolution of banks’ stock price exposure to country-level and global risk factors as approximated by equity indices; second, which bank-specific characteristics...
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The financial services sector, particularly with respect to today's banking industry, is aiming to make a digital transition. Sustainable reporting is a holistic new reporting approach in banking and has only become partially mandatory for the sector. Thus, this paper makes a contribution to the...
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Zusammenfassung Historische Ereignisse spiegeln sich in Preisveränderungen auf Finanzmärkten. Dieses Papier untersucht die deutsche Kriegsgeschichte während des zweiten Weltkriegs anhand der Preisentwicklung der in der Schweiz gehandelten deutschen Staatsanleihen. Die Resultate unserer...
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The paper explores incentives created by the German Bank Restructuring Act for investors holding assets in systemically important banks (SIBs). Its purpose is to examine consequences that follow for risk choices of SIBs, as well as for Germany's financial system. Applying the analytical model of...
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