Publications of Isabel Schnabel
All genres
Journal Article (22)
2019
Journal Article
99 (8), pp. 553 - 561 (2019)
Verursachen Target-Salden Risiken für die Steuerzahler? Wirtschaftsdienst
Journal Article
9, pp. 632 - 640 (2019)
Target-Salden, Leistungsbilanzsalden, Geldschöpfung, Banken und Kapitalmärkte. Wirtschaftsdienst 2016
Journal Article
1, pp. 139 - 152 (2016)
Removing Privileges for Banks’ Sovereign Exposures – A Proposal. European Economy – Banks, Regulation, and the Real Sector 2015
Journal Article
6, pp. 349 - 362 (2015)
The New Actors of Macroprudential Supervision in Germany and Europe – A Critical Evaluation. Journal of Banking Law and Banking (zbb)
Journal Article
20 (1), pp. 77 - 125 (2015)
Financial Sector Reform After the Subprime Crisis: Has Anything Happened? Review of Finance 2014
Journal Article
46 (s1), pp. 259 - 288 (2014)
Bank Bonuses and Bail-Outs. Journal of Money, Credit, and Banking
Journal Article
94, pp. 6 - 10 (2014)
Das europäische Bankensystem: Bestandsaufnahme und Herausforderungen [The European Banking System: Status Quo and Challenges for the Future]. Wirtschaftsdienst 2013
Journal Article
89, pp. 522 - 538 (2013)
Financial Integration and Growth – Why Is Emerging Europe Different? Journal of International Economics
Journal Article
28, pp. 327 - 329 (2013)
Discussion of Harald Hau, Sam Langfield and David Marques-Ibanez, Bank ratings: what determines their quality? Economic Policy
Journal Article
28, pp. 37 - 39 (2013)
Discussion of Thorsten Beck, Radomir Todorov and Wolf Wagner, Supervising cross-border banks: theory, evidence and policy. Economic Policy
Journal Article
28, pp. 335 - 369 (2013)
Why Banks Are Not Too Big To Fail – Evidence from the CDS Market. Economic Policy 2011
Journal Article
113, pp. 256 - 258 (2011)
Capital Regulation, Bank Competition and Financial Stability. Economics Letters
Journal Article
19, pp. 397 - 405 (2011)
The great transformation: From government-owned to foreign-controlled banking sectors. A symposium on banking in transition. Economics of Transition
Journal Article
19, pp. 407 - 441 (2011)
Public Ownership of Banks and Economic Growth: The Impact of Country Heterogeneity. Economics of Transition 2010
Journal Article
166, pp. 662 - 689 (2010)
The Threat of Capital Drain: A Rationale for Regional Public Banks? Journal of Institutional and Theoretical Economics 2007
Journal Article
40, pp. 351 - 380 (2007)
Regionale Banken in einer globalisierten Welt [Regional Banks in a Globalized World]. Kredit und Kapital 2006
Journal Article
39 (2), pp. 163 - 181 (2006)
Braucht Deutschland eine 'starke private deutsche Bank'? Über die Notwendigkeit nationaler Champions im Bankwesen. Kredit und Kapital
Journal Article
38(7), pp. 1689 - 1714 (2006)
How Do Official Bailouts Affect the Risk of Investing in Emerging Markets? (formerly entitled "Moral Hazard and International Crisis Lending: A Test"). Journal of Money, Credit, and Banking 2004
Journal Article
64 (3), pp. 822 - 871 (2004)
The German Twin Crisis of 1931. Journal of Economic History
Journal Article
64 (3), pp. 877 - 878 (2004)
Reply to Thomas Ferguson and Peter Temin's Comment on 'The German Twin Crisis of 1931'. Journal of Economic History
Journal Article
2 (6), pp. 929 - 968 (2004)
Liquidity and Contagion: The Crisis of 1763 (formerly entitled "Foreshadowing LTCM: The Crisis of 1763). Journal of the European Economic Association
Journal Article
2 (6), pp. 929 - 968 (2004)
Liquidity and Contagion: The Crisis of 1763 (formerly entitled "Foreshadowing LTCM: The Crisis of 1763). Journal of the European Economic Association Book Chapter (7)
2016
Book Chapter
Creditor Participation Clauses: Making No Bail-Out Credible in the Euro Area. In: Filling the gaps in governance: the case of Europe, pp. 67 - 74 (Eds. Allen, F.; Carletti, E.; Gray, J.; Gulati, M.). European University Institute, Florence (2016)
Book Chapter
Bubbles and Central Banks: Historical Perspectives. In: Central Banks at a Crossroads – What Can We Learn from History?, pp. 493 - 562 (Eds. Bordo, M. D.; Eitrheim, O.; Flandreau, M.; Qvigstad, J. F.). Cambridge University, Cambridge (2016)
2015
Book Chapter
Divergence of liability and control as the source of over-indebtedness and moral hazard in the European monetary union. In: The Eurozone Crisis: A Consensus View of the Causes and a Few Possible Remedies (Ed. Baldwin, R.) (2015)
Book Chapter
The road from micro- to macro-prudential regulation. In: Financial regulation: A transatlantic perspective, pp. 3 - 22 (Eds. Faia, E.; Hackethal, A.; Haliassos, M.; Langenbucher, K.). Cambridge University Press, Cambridge (2015)
2010
Book Chapter
47, pp. 89 - 97 (2010)
Lessons from Financial Crisis – Historical Perspectives and Theoretical Concepts. In: Bankhistorisches Archiv, Vol. 2009
Book Chapter
The Regulation of Credit Derivative Markets. In: Macroeconomic Stability and Financial Regulation: Key Issues for the G20 113-127, pp. 113 - 127 (Eds. Dewatripont, M.; Freixas, X.; Portes, R.). Centre for Economic Policy Research (CEPR) (2009)
2007
Book Chapter
Welchen Einfluss haben staatliche Garantien auf die Risikoübernahme von Banken? [How Do Public Guarantees Affect Banks’ Risk-Taking?]. In: Jahrbuch der Max-Planck-Gesellschaft, pp. 199 - 202 (Ed. Max Planck Society) (2007)
Proceedings (1)
2005
Proceedings
The divorce between macro financial stability and micro supervisory responsibility: are we now in for a more stable life? – Comment. 33rd Economics Conference, 2005. (2005), - pp.
Working Paper (8)
2013
Working Paper
Bank Bonuses and Bail-Outs. (2013)
2010
Working Paper
Competition, Risk-Shifting, and Public Bail-out Policies. (2010)
Working Paper
Public Ownership of Banks and Economic Growth – The Role of Heterogeneity. (2010)
2009
Working Paper
Credit Risk Transfer and Bank Competition. (2009)
2006
Working Paper
The Threat of Capital Drain: A Rationale for Public Banks? (2006), 33 pp.
2005
Working Paper
Bank Size and Risk-Taking under Basel II. (2005), 33 pp.
Working Paper
The Role of Liquidity and Implicit Guarantees in the German Twin Crisis of 1931. (2005), 37 pp.
2004
Working Paper
Banks without Parachutes – Competitive Effects of Government Bail-out Policies. (2004), 36 pp.
Report (1)
2014
Report
Mehr Vertrauen in Marktprozesse. German Council of Economic Experts, Wiesbaden (2014)