Publications

On this page the institutional bibliography and open access repository can be searched. Browse by research area or use the search field and advanced search to discover relevant research outputs. Publications published prior to 2000 may be missing. To find specific authors we recommend the Person Index.

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  1. 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

  2. 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

  3. 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

  4. 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

  5. Published
  6. 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

  7. Published

    Bankenregulierung: Geschäftspolitische Herausforderung der Kreditwirtschaft

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

    Research output: Books and anthologiesConference proceedingsTransfer

  8. 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

  9. 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

  10. Published

    Bankaufsichtsrechtliche Anerkennung interner Kreditportfoliomodelle

    Lücke, T., 2011, Frankfurt am Main: Peter Lang Verlag. 317 p. (Europäische Hochschulschriften; vol. 3396)

    Research output: Books and anthologiesMonographsResearch