This paper analyses the question of financial risk in the relation between the banks and the firms: a problem of great significance for Euroland, a recent monetary union largely dominated by banking (“bank – centered”) rather than equity markets (“market – centered “) in financing the economy. The rapid evolution of banking an
The financial and banking market is presently right in the middle of a developing and consolidating ...
This paper aims to analyse risk, regulation, supervision and crises in the framework of the European...
This paper analyzes the relationship between banks’ divergent strategies toward specialization and d...
The paper presents the diversity of banking risk which is found today at the center of banking busin...
The recent sub-prime crisis has highlighted the need for a better understanding of underlying bank r...
Amongst the recent strategic developments in the Belgian banking industry, their ongoing efforts to ...
This paper analyzes the relationship between banks ' divergent strategies toward specialization...
This timely collection of papers probes into the major issues that are at the heart of our current f...
The aim of this paper is to verify whether and to which extent co-movements in EU banks ’ risk, i.e....
sponsible for the contents and distribution of each Kiel Working Paper. Since the series involves ma...
We find evidence of a bank lending channel operating in the euro area via bank risk. Financial innov...
Rev. paper from the Workshop on Financial Reform in Poland and the Evolution of a Single EC Banking ...
Henk van Kerkhoff for research assistance and several colleagues for useful comments and suggestions...
We examine changes in bank equity risk following the formation of the Economic Monetary Union (EMU) ...
Banking sectors plays a crucial role in the management of the economy of a country. Risk refers to ...
The financial and banking market is presently right in the middle of a developing and consolidating ...
This paper aims to analyse risk, regulation, supervision and crises in the framework of the European...
This paper analyzes the relationship between banks’ divergent strategies toward specialization and d...
The paper presents the diversity of banking risk which is found today at the center of banking busin...
The recent sub-prime crisis has highlighted the need for a better understanding of underlying bank r...
Amongst the recent strategic developments in the Belgian banking industry, their ongoing efforts to ...
This paper analyzes the relationship between banks ' divergent strategies toward specialization...
This timely collection of papers probes into the major issues that are at the heart of our current f...
The aim of this paper is to verify whether and to which extent co-movements in EU banks ’ risk, i.e....
sponsible for the contents and distribution of each Kiel Working Paper. Since the series involves ma...
We find evidence of a bank lending channel operating in the euro area via bank risk. Financial innov...
Rev. paper from the Workshop on Financial Reform in Poland and the Evolution of a Single EC Banking ...
Henk van Kerkhoff for research assistance and several colleagues for useful comments and suggestions...
We examine changes in bank equity risk following the formation of the Economic Monetary Union (EMU) ...
Banking sectors plays a crucial role in the management of the economy of a country. Risk refers to ...
The financial and banking market is presently right in the middle of a developing and consolidating ...
This paper aims to analyse risk, regulation, supervision and crises in the framework of the European...
This paper analyzes the relationship between banks’ divergent strategies toward specialization and d...