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von Weizsäcker C. C., B.M.S. van Praag and A. Ferrer-i-Carbonell, Happiness Quantified, Oxford University Press 2007, Journal of Economics, vol. 96, pp. 289-293, 2009.
van Aaken A., Balancing of Human Rights - Constitutional Interpretation in International Law, Universal Declaration – 60 Years After, Jovanovic M., (Ed.), Geneva, Eleven International Publishing, In Press.
Moral Soriano L., "Balancing reasons at the European court of justice" in proceedings of the IVR conference 1999 legal philosophy: general aspects (concepts, rights and doctrines), Archiv f, pp. 128-142, 2002.
Hakenes H., Schnabel I., Bank Bonuses and Bail-Outs, issue 2013/03, Bonn, Max Planck Institute for Research on Collective Goods, 2013. Abstract Full textapplication/pdf icon
  forthcoming in:Journal of Money, Credit, and Banking, In Press.
Hakenes H., Schnabel I., Bank Bonuses and Bail-Outs, Journal of Money, Credit, and Banking, In Press. Preprintapplication/pdf icon
Hakenes H., Schnabel I., Bank Size and Risk Taking under Basel II, Journal of Banking and Finance, vol. 35, no. 6, pp. 1436-1449, 2011.
Hakenes H., Schnabel I., Bank Size and Risk-Taking under Basel II, issue 2005/06, Bonn, Max Planck Institute for Research on Collective Goods, pp. 33, 2005. Abstract Full textapplication/pdf icon
Hellwig M., Banken sollten 20 % mehr Eigenkapital halten, Interview, Basler Zeitung, Finanz und Wirtschaft, 13.10.2010.
Hellwig M., Banken zwischen Politik und Markt: Worin besteht die volkswirtschaftliche Verantwortung der Banken?, Perspektiven der Wirtschaftspolitik, vol. 1, pp. 337-356, 2000.
Burhop C., Banken, Aufsichtsräte und Corporate Governance im Deutschen Kaiserreich, 1871- 1913, Bankhistorisches Archiv, vol. 32, no. 1, pp. 1-25, 2006.
Admati A. R., Hellwig M., The Bankers' New Clothes: What’s Wrong With Banking and What to Do About It: Princeton University Press, pp. 398 , 2013.
Burhop C., Banking Crises in Germany: 1873-1974, Die internationale Finanzkrise: Was an ihr ist neu, was alt? Worauf muss in Zukunft geachtet werden? 31. Symposium des Instituts für bankhistorische Forschung e. V. am 10. Juni 2009 im Hause der Deutschen Bundesbank, vol. 47, Stuttgart, pp. 73-88, 2009.
Hellwig M., Banking, Financial Intermediation, and Corporate Finance, European Financial Integration, Giovannini A., Mayer C., (Eds.), Cambridge, Cambridge University Press, pp. 35-63, 1991.
Hellwig M., Bankruptcy, Limited Liability, and the Modigliani-Miller Theorem, American Economic Review, vol. 71, pp. 155-170, 1981.
Hakenes H., Banks as Delegated Risk Managers, Journal of Banking and Finance, vol. 28, pp. 2399-2426, 2004.
Hakenes H., Schnabel I., Banks without Parachutes – Competitive Effects of Government Bail-out Policies, issue 2004/12, Bonn, Max Planck Institute for Research on Collective Goods, pp. 36, 2004. Abstract Full textapplication/pdf icon
  published in:Journal of Financial Stability, vol. 6, pp. 156-168, 2010.
Hakenes H., Schnabel I., Banks without Parachutes – Competitive Effects of Government Bail-out Policies, Journal of Financial Stability, vol. 6, pp. 156-168, 2010. Preprintapplication/pdf icon
Hellwig M., Banks, Markets, and the Allocation of Risks, Journal of Institutional and Theoretical Economics, vol. 154, pp. 328-351, 1998.
Glöckner A., Dickert S., Base-rate Respect by Intuition: Approximating Rational Choices in Base-rate Tasks with Multiple Cues, issue 2008/49, Bonn, Max Planck Institute for Research on Collective Goods, 2008. Abstract Full textapplication/pdf icon
van Aaken A., Begrenzte Rationalität und Paternalismusgefahr: Das Prinzip des schonendsten Paternalismus, issue 2006/03, Bonn, Max Planck Institute for Research on Collective Goods, pp. 34, 2006. Full textapplication/pdf icon
  published in:Recht und Verhalten, Tübingen, Mohr Siebeck, pp. 189-230, 2007.
van Aaken A., Begrenzte Rationalität und Paternalismusgefahr: Das Prinzip des schonendsten Paternalismus, Recht und Verhalten, Engel C., Englerth M., Lüdemann J., Spiecker gen. Döhmann I., (Eds.), Tübingen, Mohr Siebeck, pp. 189-230, 2007. Preprintapplication/pdf icon
Morell A., Behavioral Antitrust and Merger Control: Comment, Journal of Institutional and Theoretical Economics, vol. 167, no. 1, pp. 143-148, 2011.
Kube S., Kaiser J., Behavioral Finance meets Experimental Macroeconomics: On the Determinants of Currency Trade Decisions, Journal of Behavioral Finance, vol. 10, no. 1, pp. 44-54, 2009.
Schmies C., Behavioral Finance und Finanzmarktregulierung, Recht und Verhalten - Beitr, T, Mohr Siebeck, pp. 165-188, 2007.
Engel C., Behavioral Law and Economics or Law and Psychology? Comment on Christine Jolls, Behavioral law and economics, Behavioral economics and its applications, Diamond P., Vartiainen H., (Eds.), Princeton, Princeton University Press, pp. 148-155, 2007.