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Zoyke, “Kompetenzdiagnose als Basis individueller Förderung - Zum Geheimnis einer Black Box!?,” in Kompetenzermittlung für die Berufsausbildung. Verfahren, Probleme und Perspektive im nationalen, europäischen und internationalen Raum, D. Münk and A. Schelten, Eds. 2010, pp. 145–160.","ama":"Kremer H-H, Zoyke A. Kompetenzdiagnose als Basis individueller Förderung - Zum Geheimnis einer Black Box!? In: Münk D, Schelten A, eds. Kompetenzermittlung für die Berufsausbildung. Verfahren, Probleme und Perspektive im nationalen, europäischen und internationalen Raum. ; 2010:145-160.","apa":"Kremer, H.-H., & Zoyke, A. (2010). Kompetenzdiagnose als Basis individueller Förderung - Zum Geheimnis einer Black Box!? In D. Münk & A. Schelten (Eds.), Kompetenzermittlung für die Berufsausbildung. Verfahren, Probleme und Perspektive im nationalen, europäischen und internationalen Raum (pp. 145–160).","chicago":"Kremer, H.-Hugo, and A. Zoyke. “Kompetenzdiagnose als Basis individueller Förderung - Zum Geheimnis einer Black Box!?” In Kompetenzermittlung für die Berufsausbildung. Verfahren, Probleme und Perspektive im nationalen, europäischen und internationalen Raum, edited by D. Münk and A. Schelten, 145–60, 2010.","mla":"Kremer, H. Hugo, and A. Zoyke. “Kompetenzdiagnose als Basis individueller Förderung - Zum Geheimnis einer Black Box!?” Kompetenzermittlung für die Berufsausbildung. Verfahren, Probleme und Perspektive im nationalen, europäischen und internationalen Raum, edited by D. Münk and A. Schelten, 2010, pp. 145–60.","bibtex":"@inbook{Kremer_Zoyke_2010, title={Kompetenzdiagnose als Basis individueller Förderung - Zum Geheimnis einer Black Box!?}, booktitle={Kompetenzermittlung für die Berufsausbildung. 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Lück, Hochschulmanagement 5 (2010) 78–81.","chicago":"Lück, Sonja. “Hochschulforscher oder Hochschullehrer? Eine Panel-Daten-Analyse wirtschaftswissenschaftlicher Bachelor- und Masterkurse.” Hochschulmanagement 5, no. 3 (2010): 78–81.","ieee":"S. Lück, “Hochschulforscher oder Hochschullehrer? Eine Panel-Daten-Analyse wirtschaftswissenschaftlicher Bachelor- und Masterkurse,” Hochschulmanagement, vol. 5, no. 3, pp. 78–81, 2010.","bibtex":"@article{Lück_2010, title={Hochschulforscher oder Hochschullehrer? Eine Panel-Daten-Analyse wirtschaftswissenschaftlicher Bachelor- und Masterkurse}, volume={5}, number={3}, journal={Hochschulmanagement}, author={Lück, Sonja}, year={2010}, pages={78–81} }","mla":"Lück, Sonja. “Hochschulforscher oder Hochschullehrer? Eine Panel-Daten-Analyse wirtschaftswissenschaftlicher Bachelor- und Masterkurse.” Hochschulmanagement, vol. 5, no. 3, 2010, pp. 78–81."},"type":"journal_article","year":"2010","language":[{"iso":"ger"}],"title":"Hochschulforscher oder Hochschullehrer? Eine Panel-Daten-Analyse wirtschaftswissenschaftlicher Bachelor- und Masterkurse","user_id":"950","department":[{"_id":"200"},{"_id":"281"},{"_id":"475"}],"publication":"Hochschulmanagement","author":[{"full_name":"Lück, Sonja","orcid":"0000-0003-0380-1965","first_name":"Sonja","id":"950","last_name":"Lück"}],"publication_identifier":{"issn":["1860-3025"]},"volume":5,"publication_status":"published","date_created":"2022-06-08T10:11:08Z","status":"public"},{"user_id":"21810","extern":"1","abstract":[{"lang":"ger","text":"Die schwerste Finanz- und Wirtschaftskrise nach dem Zweiten Weltkrieg befindet sich nun schon in ihrem dritten Jahr und wird in weiten Teilen der Öffentlichkeit als Paradebeispiel für ein gravierendes Marktversagen eingestuft. Dies hat über die unmittelbaren staatlichen Rettungsmaßnahmen hinaus den Ruf nach \"Mehr Staat in der Kreditwirtschaft!\" verstärkt und vielfältige Vorschläge zur Ausweitung und Verschärfung der Beaufsichtigung der Banken hervorgerufen (zuletzt im September 2009 beim Finanzgipfel in Pittsburgh). Noch lässt sich nicht präzise genug abschätzen, welche staatlichen Hilfen für die Kreditwirtschaft erforderlich sein werden und welche Veränderungen in der Bankenregulierung noch vorgenommen werden müssen. Dennoch wird in diesem Beitrag der Versuch einer Skizze möglicher Auswirkungen auf die Wettbewerbssituation des europäischen und deutschen Bankenmarktes speziell im Retail-Segment unternommen. Um die durch die Finanzkrise hervorgerufenen Veränderungen einschätzen zu können, ist jedoch zunächst ein kurzer Blick auf die wichtigsten Etappen und Ergebnisse der europäischen Finanzmarktintegration erforderlich."}],"volume":"Heft 13","jel":["G"],"date_created":"2018-09-14T12:57:42Z","status":"public","keyword":["Finanz- und Wirtschaftskrise","Bankenmarkt"],"publication":"Wirtschaftsdienst","author":[{"last_name":"Paul","first_name":"Stephan","full_name":"Paul, Stephan"},{"last_name":"Uhde","id":"36049","first_name":"André","orcid":"https://orcid.org/0000-0002-8058-8857","full_name":"Uhde, André"}],"publisher":"Springer Verlag","_id":"4405","page":"26-34","type":"journal_article","citation":{"mla":"Paul, Stephan, and André Uhde. “Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise.” Wirtschaftsdienst, vol. Heft 13, Springer Verlag, 2010, pp. 26–34, doi:https://doi.org/10.1007/s10273-010-1031-7.","bibtex":"@article{Paul_Uhde_2010, title={Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise}, volume={Heft 13}, DOI={https://doi.org/10.1007/s10273-010-1031-7}, journal={Wirtschaftsdienst}, publisher={Springer Verlag}, author={Paul, Stephan and Uhde, André}, year={2010}, pages={26–34} }","chicago":"Paul, Stephan, and André Uhde. “Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise.” Wirtschaftsdienst Heft 13 (2010): 26–34. https://doi.org/10.1007/s10273-010-1031-7.","apa":"Paul, S., & Uhde, A. (2010). Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise. Wirtschaftsdienst, Heft 13, 26–34. https://doi.org/10.1007/s10273-010-1031-7","ama":"Paul S, Uhde A. Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise. Wirtschaftsdienst. 2010;Heft 13:26-34. doi:https://doi.org/10.1007/s10273-010-1031-7","ieee":"S. Paul and A. Uhde, “Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise,” Wirtschaftsdienst, vol. Heft 13, pp. 26–34, 2010, doi: https://doi.org/10.1007/s10273-010-1031-7.","short":"S. Paul, A. Uhde, Wirtschaftsdienst Heft 13 (2010) 26–34."},"year":"2010","title":"Einheitlicher europäischer Bankenmarkt? Eine Einschätzung der Wettbewerbssituation vor und nach der Finanzkrise","publication_identifier":{"issn":["0043-6275"]},"publication_status":"published","department":[{"_id":"186"},{"_id":"188"}],"doi":"https://doi.org/10.1007/s10273-010-1031-7","date_updated":"2023-01-10T09:32:58Z","language":[{"iso":"ger"}]},{"date_updated":"2023-01-10T09:35:58Z","doi":"https://doi.org/10.1016/j.jbankfin.2010.07.012","language":[{"iso":"eng"}],"title":"Securitization and systematic risk in European banking: Empirical evidence","department":[{"_id":"186"},{"_id":"188"}],"intvolume":" 34","_id":"4404","issue":"12","page":"3061-3077","type":"journal_article","year":"2010","citation":{"ieee":"A. Uhde and T. C. Michalak, “Securitization and systematic risk in European banking: Empirical evidence,” Journal of Banking & Finance, vol. 34, no. 12, pp. 3061–3077, 2010, doi: https://doi.org/10.1016/j.jbankfin.2010.07.012.","short":"A. Uhde, T.C. Michalak, Journal of Banking & Finance 34 (2010) 3061–3077.","bibtex":"@article{Uhde_Michalak_2010, title={Securitization and systematic risk in European banking: Empirical evidence}, volume={34}, DOI={https://doi.org/10.1016/j.jbankfin.2010.07.012}, number={12}, journal={Journal of Banking & Finance}, author={Uhde, André and Michalak, Tobias C.}, year={2010}, pages={3061–3077} }","mla":"Uhde, André, and Tobias C. Michalak. “Securitization and Systematic Risk in European Banking: Empirical Evidence.” Journal of Banking & Finance, vol. 34, no. 12, 2010, pp. 3061–77, doi:https://doi.org/10.1016/j.jbankfin.2010.07.012.","ama":"Uhde A, Michalak TC. Securitization and systematic risk in European banking: Empirical evidence. Journal of Banking & Finance. 2010;34(12):3061-3077. doi:https://doi.org/10.1016/j.jbankfin.2010.07.012","apa":"Uhde, A., & Michalak, T. C. (2010). Securitization and systematic risk in European banking: Empirical evidence. 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Building several sub-samples we additionally find that (a) the increase in systematic risk is more relevant for larger banks that repeatedly engage in securitization, (b) securitization is more important for small and medium financial institutions, (c) banks have a higher incentive to retain the larger part of credit risk as a quality signal at the beginning of the securitization business in Europe, and (d) the overall risk-shifting effect due to securitization is more distinct when the pre-event systematic risk is low.","lang":"eng"}],"user_id":"21810","publication":"Journal of Banking & Finance","keyword":["Credit risk transfer","Securitization","Systematic risk","Event study"],"author":[{"first_name":"André","full_name":"Uhde, André","orcid":"https://orcid.org/0000-0002-8058-8857","last_name":"Uhde","id":"36049"},{"last_name":"Michalak","full_name":"Michalak, Tobias C.","first_name":"Tobias C."}],"volume":34,"jel":["G14","G21","G28","G32"],"date_created":"2018-09-14T12:48:35Z","status":"public"},{"user_id":"21222","volume":80,"status":"public","date_created":"2018-10-30T15:04:15Z","author":[{"last_name":"Sureth-Sloane","id":"530","first_name":"Caren","orcid":" 0000-0002-8183-5901","full_name":"Sureth-Sloane, Caren"},{"first_name":"Michaela","full_name":"Bäumer, Michaela","last_name":"Bäumer"}],"quality_controlled":"1","publisher":"Springer Nature","publication":"Zeitschrift für Betriebswirtschaft","issue":"2","_id":"5097","intvolume":" 80","type":"journal_article","citation":{"short":"C. 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