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Das vorliegende Werk untersucht die Auswirkungen der Finanzmarktregulierung auf das Geschäftsmodell der Kreditgenossenschaften. Hierfür wurde eine mehrstufige empirische Untersuchung durchgeführt. Die Publikation verdeutlicht die notwendigen strategischen Anpassungen des Geschäftsmodells, um...
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“The model is wrong!” so it is determined. All of the estimated output using the model becomes un-reliable immediately. And so is every other result calculated using the un-reliable output. So what is the impact of the model being “wrong” in the later calculations? To address this...
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This paper analyses the evolution of the safety and soundness of the European banking sector during the various stages of the Basel process of capital regulation. In the first part we document the evolution of various measures of systemic risk as the Basel process unfolds. Most strikingly, we...
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We examine determinants of creditor recoveries from defaulted debt instruments. First, we find that common measures of seniority and security, such as debt instrument types and collateral types, explain much less variations in recovery rates across defaulted debt instruments than seniority...
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