Discussion paper DP3889 Cross-Country Determinants of Mergers and Acquisitions Paolo Volpin Stefano Rossi 23 May 2003 Financial Economics G21 G28 G32
Discussion paper DP3917 Loan Pricing Under Basel Capital Requirements Rafael Repullo Javier Suarez 23 May 2003 Financial Economics E43 G21 G28
Discussion paper DP3686 Credit Risk Analysis and Security Design Roman Inderst Holger Mueller 28 Feb 2003 Financial Economics G21
Discussion paper DP3743 Information Contagion and Inter-Bank Correlation in a Theory of Systemic Risk Viral Acharya Tanju Yorulmazer 23 Feb 2003 Financial Economics D62 E58 G21 G28 G38
Discussion paper DP3745 The Bank's Market Power and the Interest Rate Elasticity of Demand for Housing: An Econometric Study of Discrimination on French Mortgage Data Robert J. Gary-Bobo Sophie Larribeau 23 Feb 2003 Public Economics D40 G21 L13 R21
Discussion paper DP3794 Financial Crisis, Economic Recovery and Banking Development in Former Soviet Union Economies Haizhou Huang Dalia Marin Cheng-Gang Xu 23 Feb 2003 Financial Economics Industrial Organization Transition Economics D82 G21 G30 O16 P34
Discussion paper DP3721 Capital Requirements, Market Power and Risk-Taking in Banking Rafael Repullo 23 Jan 2003 Financial Economics D43 G21 G28
Discussion paper DP3624 The Multi-Regime Bank Lending Channel and the Effectiveness of the Polish Monetary Policy Transmission During Transition Rafał Kierzenkowski 20 Nov 2002 Transition Economics E44 E51 E52 G21 P00
Discussion paper DP3415 The Role of Non-financial Factors in Internal Credit Ratings Martin Weber Jens Grunert Lars Norden 20 Jun 2002 Financial Economics G21
Discussion paper DP3252 The Effects of Focus and Diversification on Bank Risk and Return: Evidence from Individual Bank Loan Portfolios Anthony Saunders Viral Acharya Iftekhar Hasan 20 Mar 2002 Financial Economics G21 G28 G31 G32
Discussion paper DP3253 Is the International Convergence of Capital Adequacy Regulation Desirable? Viral Acharya 20 Mar 2002 Financial Economics D62 E58 G21 G28 G38
Discussion paper DP3122 Banking Passivity and Regulatory Failure in Emerging Markets: Theory and Evidence from the Czech Republic Jan Hanousek Gérard Roland 1 Jan 2002 Financial Economics Transition Economics C53 E58 G21 G33