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20 Publications


2024 | Journal Article | LibreCat-ID: 34802
Herwald, Sarah, et al. “The Conditional Impact of Market Consolidation and Market Power on Banking Stability – Evidence from Europe.” Journal of Risk Finance, 2024, doi:https://doi.org/10.1108/JRF-03-2023-0075.
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2022 | Journal Article | LibreCat-ID: 13147
Wengerek, Sascha Tobias, et al. “Risk Allocation through Securitization – Evidence from Non-Performing Loans.” The Quarterly Review of Economics and Finance, vol. Vol. 86 (11), Elsevier, 2022, pp. 48–64, doi:https://doi.org/10.1016/j.qref.2022.06.005.
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2022 | Journal Article | LibreCat-ID: 29317
Letmathe, Sebastian, et al. “Semiparametric GARCH Models with Long Memory Applied to Value at Risk and Expected Shortfall.” Journal of Risk, doi:10.21314/JOR.2022.044.
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2021 | Journal Article | LibreCat-ID: 5163
Uhde, André. “Tax Avoidance through Securitization.” The Quarterly Review of Economics and Finance, vol. 79, 2021, pp. 411–21, doi:10.1016/j.qref.2020.07.008.
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2021 | Working Paper | LibreCat-ID: 36063
Hippert, Benjamin, et al. Determinants of CDS Trading on Major Banks.
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2021 | Working Paper | LibreCat-ID: 29316
Hippert, Benjamin, et al. Risk Allocation through Securitization - Evidence from Non-Performing Loans. 2021.
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2020 | Journal Article | LibreCat-ID: 17522
Uhde, André. “Tax Avoidance through Securitization.” The Quarterly Review of Economics and Finance, 2020, doi:10.1016/j.qref.2020.07.008.
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2020 | Journal Article | LibreCat-ID: 17401
Uhde, André. “Tax Avoidance through Securitization.” The Quarterly Review of Economics and Finance, 2020.
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2019 | Working Paper | LibreCat-ID: 29314
Hippert, Benjamin, et al. Determinants of CDS Trading on Major Banks. 2019.
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2019 | Working Paper | LibreCat-ID: 13145
Hippert, Benjamin, et al. Determinants of CDS Trading on Major Banks. 2019.
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2019 | Working Paper | LibreCat-ID: 5170
Hippert, Benjamin, and André Uhde. Determinants of CDS Trading on Major Banks.
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2017 | Working Paper | LibreCat-ID: 5171
Uhde, André, and Sascha Tobias Wengerek. The Relationship between Credit Risk Transfer and Non-Performing Loans. Evidence from European Banks.
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2016 | Journal Article | LibreCat-ID: 3376
Uhde, André. “Risk-Taking Incentives through Excess Variable Compensation: Evidence from European Banks.” The Quarterly Review of Economics and Finance, vol. 60, no. 5, Elsevier, 2016, pp. 12–28, doi:https://doi.org/10.1016/j.qref.2015.11.009.
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2015 | Journal Article | LibreCat-ID: 4396
Farruggio, Christian, and André Uhde. “Determinants of Loan Securitization in European Banking.” Journal of Banking and Finance, vol. 56, 2015, pp. 12–27, doi:10.1016/j.jbankfin.2015.01.015 .
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2012 | Journal Article | LibreCat-ID: 4399
Michalak, Tobias C., and André Uhde. “ Credit Risk Securitization and Bank Soundness: Evidence from the Microlevel for Europe.” Quarterly Review of Economics and Finance, vol. 52, no. 3, 2012, pp. 272–85, doi:https://doi.org/10.1016/j.qref.2012.04.008.
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2012 | Journal Article | LibreCat-ID: 4401
Müller, Oliver, and André Uhde. “Cross-Border Bank Lending - Empirical Evidence on Further Determinants from OECD Banking Markets.” Journal of International Financial Markets, Institutions & Money, vol. 23, 2012, pp. 136–62, doi:DOI: 10.1016/j.intfin.2012.09.004 .
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2012 | Journal Article | LibreCat-ID: 4402
Paul, Stephan, et al. “Measuring the Quality of Banking Supervision Revisited - Assessments by German Banks before and during the Financial Crisis.” Journal of Governance and Regulation, vol. 1, no. 3, 2012, pp. 96–109, doi:http://dx.doi.org/10.2139/ssrn.1946120 .
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2011 | Working Paper | LibreCat-ID: 36021
Michalak, Tobias C., and André Uhde. The Nexus between Monetary Policy, Banking Market Structure and Bank Risk Taking. Paderborn University, 2011.
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2009 | Journal Article | LibreCat-ID: 4406
Uhde, André, and Ulrich Heimeshoff. “Consolidation in Banking and Financial Stability in Europe: Empirical Evidence.” Journal of Banking & Finance, vol. 33, no. 7, 2009, pp. 1299–311, doi:https://doi.org/10.1016/j.jbankfin.2009.01.006.
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2008 | Journal Article | LibreCat-ID: 4407
Paul, Stephan, et al. “Measuring the Relationship between Supervisory Authorities and Banks: An Assessment of the German Banking Sector.” Journal of Risk Managment in Financial Institutions, vol. 2, no. 1, 2008, pp. 69–87.
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