Discussion paper DP3721 Capital Requirements, Market Power and Risk-Taking in Banking Rafael Repullo 23 Jan 2003 Financial Economics D43 G21 G28
Discussion paper DP2161 From Value at Risk to Stress Testing: The Extreme Value Approach François Longin 31 May 1999 Financial Economics C51 G28
Discussion paper DP2060 Entrepreneurial Moral Hazard and Bank Monitoring: A Model of the Credit Channel Rafael Repullo Javier Suarez 31 Jan 1999 Financial Economics D82 E44 E50
Discussion paper DP429 European Financial Integration: A Framework for Policy Analysis Damien Neven Colin Mayer 1 Jul 1990 Applied Macroeconomics B L