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Obwohl die Idee der makroökonomischen Perspektive der Regulierung des Banken- und Finanzmarktes bereits in den 1970er und 1980er Jahren entstand, hat dieser Ansatz erst durch die Immobilien- und Finanzkrise dieses Jahrhunderts große Bedeutung erlangt. Aufgrund mangelnder Erfahrungen der...
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I review the state of the art of the academic theoretical and empirical literature on the potential trade-off between … the intensity of competition. -- antitrust ; regulation ; crisis ; risk-taking ; mergers ; state aid ; bail-outs …
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monetary policy's risk-return trade-off, including 1) pricing of risk, 2) leverage, 3) maturity and liquidity mismatch, and 4 …
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This paper surveys a wide body of economic literature on the relationship between currencies and trade. Specifically, two main issues are investigated: the impact on international trade of exchange rate volatility and of currency misalignments. On average, exchange rate volatility has a negative...
Persistent link: https://www.econbiz.de/10009376106
questions. First, what are the determinants of cross-border mergers of commercial banks? Second, do cross-border mergers affect … the efficiency of banks? Third, what are the risk effects of international bank mergers? We begin with a brief summary of …
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