Browse by research area

  1. Published

    Bank stock performance and bank regulation around the globe

    Pelster, M., Irresberger, F. & Weiß, G., 22.01.2018, In: European Journal of Finance. 24, 2, p. 77-113 37 p.

    Research output: Journal contributionsJournal articlesResearchpeer-review

  2. Published

    Bankruptcy in Germany: filling rates and the people behind the numbers

    Backert, W., Brock, D., Lechner, G. & Maischatz, K., 2009, Consumer credit, debt and bankruptcy. Niemi, J., Ramsay, I. & Whitford, W. C. (eds.). Oxford: Hart Publishing, p. 273-288 16 p.

    Research output: Contributions to collected editions/worksContributions to collected editions/anthologiesResearch

  3. Published

    Bank management of the net interest margin: New measures

    Memmel, C. & Schertler, A., 2013, In: Financial Markets and Portfolio Management. 27, 3, p. 275-297 23 p.

    Research output: Journal contributionsJournal articlesResearchpeer-review

  4. Published

    Bank lines of credit for small business clients: Cash substitution and funding source

    Schertler, A., Hubensack, C. & Pfingsten , A., 01.02.2015, In: Zeitschrift für Bankrecht und Bankwirtschaft . 2015, 2, p. 84-107 24 p.

    Research output: Journal contributionsJournal articlesResearchpeer-review

  5. Published

    Bankenwettbewerb: Positionierung im Privatkundengeschäft : 8. Norddeutscher Bankentag

    Baxmann, U. (Editor), 2008, 1. ed. Frankfurt am Main: Frankfurt School Verlag. 155 p.

    Research output: Books and anthologiesConference proceedingsResearch

  6. Published
  7. Published

    Bankenregulierung im Spannungsfeld differierender Interessen

    Baxmann, U., 2013, Bankenregulierung: Geschäftspolitische Herausforderung der Kreditwirtschaft. Baxmann, U. G. (ed.). Frankfurt School Verlag, p. 1-16 16 p.

    Research output: Contributions to collected editions/worksArticle in conference proceedingsTransfer

  8. Published

    Bankenregulierung: Geschäftspolitische Herausforderung der Kreditwirtschaft

    Baxmann, U. (Editor), 2013, Frankfurt am Main: Frankfurt School Verlag. 133 p.

    Research output: Books and anthologiesConference proceedingsTransfer

  9. Bank Dividend Policy and the European Debt Crisis: Is Sovereign Credit Risk of Relevance?

    Basse, T., Bürkle, T., Kunze, F. & Wegener, C., 07.2019, Handbook of Global Financial Markets: Transformations, Dependence, and Risk Spillovers. Boubaker, S. & Nguyen, D. K. (eds.). World Scientific Publishing Co., p. 401-410 10 p.

    Research output: Contributions to collected editions/worksChapterpeer-review

  10. Bankbetriebliche Risikopolitik und Unternehmensgründungen: eine neo-institutionalistische Analyse

    Schulte, R., 2000, G-Forum 1999: Dokumentation des 3. Forums Gründungsforschung, Köln, 8. Oktober 1999 . Klandt, H., Nathusius, K., Szyperski, N. & Heil, A. H. (eds.). Lohmar, Köln: Josef Eul Verlag , p. 393-408 16 p.

    Research output: Contributions to collected editions/worksArticle in conference proceedingsResearchpeer-review