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Content
2003
- 2003/48 Screening and advising by a venture capitalist with a time constraint
by Dietz, Martin D.
- 2003/47 IPOs cycle and investment in high-tech industries
by Bouis, Romain
- 2003/46 Equal size, equal role? Interest rate interdependence between the Euro area and the United States
by Ehrmann, Michael & Fratzscher, Marcel
- 2003/45 Nominal exchange rate regimes and relative price dispersion: On the importance of nominal exchange rate volatility for the width of the border
by Beck, Günter W.
- 2003/44 Bayesian fan charts for UK inflation: Forecasting and sources of uncertainty in an evolving monetary system
by Cogley, Timothy W. & Morozov, Sergei & Sargent, Thomas J.
- 2003/42 The role of expectations in economic fluctuations and the efficacy of monetary policy
by Kurz, Mordecai & Jin, Hehui & Motolese, Maurizio
- 2003/41 Permanent and transitory policy shocks in an empirical macro model with asymmetric information
by Kozicki, Sharon & Tinsley, P. A.
- 2003/40 Imperfect knowledge, inflation expectations, and monetary policy
by Orphanides, Athanasios & Williams, John C.
- 2003/39 Performance of inflation targeting based on constant interest rate projections
by Honkapohja, Seppo & Mitra, Kaushik
- 2003/38 Escapist policy rules
by Bullard, James & Cho, In-Koo
- 2003/37 Monetary policy, indeterminacy and learning
by Evans, George W. & McGough, Bruce
- 2003/36 Corporate Governance in Germany: An Economic Perspective
by Schmidt, Reinhard H.
- 2003/35 Some Like it Smooth, and Some Like it Rough: Untangling Continuous and Jump Components in Measuring, Modeling, and Forecasting Asset Return Volatility
by Andersen, Torben G. & Bollerslev, Tim & Francis X. Diebold,
- 2003/34 Courts and sovereign eurobonds: Credibility of the judicial enforcement of repayment
by Hallak, Issam
- 2003/33 Bank loans non-linear structure of pricing: Empirical evidence from sovereign debts
by Hallak, Issam
- 2003/32 Evaluating VaR Forecasts under Stress – The German Experience
by Jaschke, Stefan & Stahl, Gerhard & Stehle, Richard
- 2003/31 The Macroeconomy and the Yield Curve: A Nonstructural Analysis
by Francis X. Diebold, & Rudebusch, Glenn D. & Aruoba, S. Boragan
- 2003/30 Inflation convergence after the introduction of the Euro
by Mentz, Markus & Sebastian, Steffen P.
- 2003/29 Privacy or Publicity - Who Drives the Wheel?
by Bannier, Christina E.
- 2003/28 Mergers and acquisitions in Germany: Social-setting and regulatory framework
by Schmid, Frank A. & Wahrenburg, Mark
- 2003/27 German banks – a declining industry?
by Hackethal, Andreas
- 2003/26 Initial public offerings and venture capital in Germany
by Franzke, Stefanie A. & Grohs, Stefanie & Laux, Christian
- 2003/25 The role of the value added by the venture capitalists in timing and extent of IPOs
by Tykvová, Tereza
- 2003/24 Is the Behavior of German Venture Capitalists Different? Evidence from the Neuer Mark
by Tykvová, Tereza
- 2003/23 A Critique on the Proposed Use of External Sovereign Credit Ratings in Basel II
by Kraeussl, Roman
- 2003/22 Do Changes in Sovereign Credit Ratings Contribute to Financial Contagion in Emerging Market Crises?
by Kraeussl, Roman
- 2003/21 Accounting for Financial Instruments in the Banking Industry: Conclusions from a Simulation Model
by Gebhardt, Günther & Reichardt, Rolf & Wittenbrink, Carsten
- 2003/20 Universal Banks and Relationships with Firms
by Elsas, Ralf & Krahnen, Jan Pieter
- 2003/19 Regulation and Competition in German Banking: An Assessment
by Fischer, Karl-Hermann & Pfeil, Christian
- 2003/18 Do Credit Rating Agencies Add to the Dynamics of Emerging Market Crises?
by Kraeussl, Roman
- 2003/17 Organized equity markets in Germany
by Theissen, Erik
- 2003/16 The role of accounting in the German financial system
by Leuz, Christian & Wüstemann, Jens
- 2003/15 Contractual relations between European VC-funds and investors: The impact of reputation and bargaining power on contractual design
by Schmidt, Daniel & Wahrenburg, Mark
- 2003/14 Institutional investors in Germany: Insurance companies and investment funds
by Maurer, Raimond H.
- 2003/13 Price stability and monetary policy effectiveness when nominal interest rates are bounded at zero
by Coenen, Günter & Orphanides, Athanasios & Wieland, Volker
- 2003/12 Optimal Monetary Policy with Imperfect Common Knowledge
by Adam, Klaus
- 2003/11 Heterogeneous Expectations in the Foreign Exchange Market Evidence from the Daily Dollar/DM Exchange Rate
by Ahrens, Ralf & Reitz, Stefan
- 2003/10 Nonlinearities and Cyclical Behavior: The Role of Chartists and Fundamentalists
by Reitz, Stefan & Westerhoff, Frank
- 2003/09 The Zero-Interest-Rate and the Role of the Exchange Rate for Monetary Policy in Japan
by Coenen, Guenter & Wieland, Volker
- 2003/08 A Small Estimated Euro Area Model with Rational Expectations and Nominal Rigidities
by Coenen, Guenter & Wieland, Volker
- 2003/07 Data Uncertainty and the Role of Money as an Information Variable for Monetary Policy
by Coenen, Guenter & Levin, Andrew & Wieland, Volker
- 2003/06 The performance of forecast-based monetary policy rules under model uncertainty
by Levin, Andrew & Wieland, Volker & Williams, John C.
- 2003/05 Monetary Policy and Uncertainty about the Natural Unemployment Rate
by Wieland, Volker
- 2003/04 Prediction of Financial Downside-Risk with Heavy-Tailed Conditional Distributions
by Mittnik, Stefan & Paolella, Marc S.
- 2003/03 Learning and Equilibrium Selection in a Monetary Overlapping Generations Model with Sticky Prices
by Adam, Klaus
- 2003/02 On the Relation between Robust and Bayesian Decision Making
by Adam, Klaus
- 2003/01 Learning to Forecast and Cyclical Behavior of Output and Inflation
by Adam, Klaus
- 2002/16 Over-allotment options in IPOs on Germany's Neuer Markt: An empirical investigation
by Franzke, Stefanie A. & Schlag, Christian
- 2001/13 Economic integration and the exchange rate regime: How damaging are currency crises?
by Weber, Axel A. & Beck, Günter W.
- 2001/07 How wide are European borders? On the integration effects of monetary unions
by Weber, Axel A. & Beck, Guenter
- 2001/01 Underpricing of venture-backed and non venture-backed IPOs: Germany's Neuer Markt
by Franzke, Stefanie A.
2002
- 2002/17 Collateral, relationship lending and financial distress: An empirical study on financial contracting
by Elsas, Ralf & Krahnen, Jan Pieter
- 2002/15 Activist stabilization policy and inflation: The Taylor rule in the 1970s
by Orphanides, Athanasios
- 2002/14 The Pricing puzzle: The default term structure of collateralised loan obligations
by Jobst, Andreas A.
- 2002/13 Collateralised loan obligations (CLOs): A primer
by Jobst, Andreas A.
- 2002/12 On the short and long term real effects of nominal exchange rates
by Aksoy, Yunus & Lustig, Hanno
- 2002/11 Core inflation in the euro area: An application of the generalized dynamic factor model
by Hahn, Elke
- 2002/10 Mixed normal conditional heteroskedasticity
by Haas, Markus & Mittnik, Stefan & Paolella, Marc S.
- 2002/09 The credibility of central bank announcements
by Hoeberichts, Marco
- 2002/08 Financing practices in the German venture capital industry: An empirical assessment
by Bascha, Andreas & Walz, Uwe
- 2002/07 Exit timing of venture capitalists in the course of an initial public offering
by Neus, Werner & Walz, Uwe
- 2002/06 Internalisierung und Marktqualität: Was bringt Xetra Best?
by Theissen, Erik
- 2002/05 Return and volatility spillovers to industry returns: Does EMU play a role?
by Kaltenhäuser, Bernd
- 2002/04 Forecasting stock market volatility and the informational efficiency of the DAX-index options market
by Claessen, Holger & Mittnik, Stefan
- 2002/03 Money-back guarantees in individual pension accounts: Evidence from the German pension reform
by Maurer, Raimond H. & Schlag, Christian
- 2002/02 Why borrowers pay premiums to larger lenders: Empirical evidence from sovereign syndicated loans
by Hallak, Issam
- 2002/01 Die Vertragsbeziehungen zwischen Investoren und Venture Capital-Fonds: Eine empirische Untersuchung des europäischen Venture Capital-Marktes
by Feinendegen, Stefan & Schmidt, Daniel & Wahrenburg, Mark
- 2001/09 Core inflation in the Euro area: Evidence from the structural VAR approach
by Hahn, Elke
2001
- 2001/12 Trade flows and the international business cycle
by Gross, Daniel
- 2001/11 Country-specific and global shocks in the business cycle
by Gross, Daniel
- 2001/10 Private benefits and minority shareholder expropriation: Empirical evidence from IPOs of German family-owned firms
by Ehrhardt, Olaf & Nowak, Eric
- 2001/08 Domestic money and US output and inflation
by Aksoy, Yunus & Piskorski, Tomasz
- 2001/06 Explaining the Dollar-Euro rate: Do stock market returns mater?
by Kaltenhäuser, Bernd
- 2001/05 Countdown for the New Basle Capital Accord: Are German banks ready for the internal ratings-based approach?
by Ewert, Ralf & Szczesny, Andrea
- 2001/03 Comparative analysis of alternative credit risk models: An application on German middle market loan portfolios
by Kern, Markus & Rudolph, Bernd
- 2001/02 Do country fundamentals explain emerging market bond spreads?
by Beck, Roland
2000
- 2000/13 (Partial) privatization social security: The Chilean model - a lesson to follow?
by Eisen, Roland
- 2000/12 Has there always been underpricing and long-run underperformance? IPOs in Germany before World War I
by Schlag, Christian & Wodrich, Anja
- 2000/11 The volatility of capital flows to emerging markets and financial services trade
by Beck, Roland
- 2000/10 Information production in credit relationship: On the role of internal ratings in commercial banking
by Brunner, Antje & Pieter, Jan & Weber, Martin
- 2000/09 The euro and international capital markets
by Detken, Carsten & Hartmann, Philipp
- 2000/08 A real differential view of equilibrium real exchange rates and misalignments
by Hoffmann, Mathias & MacDonald, Ronald
- 2000/06 Number of bank relationships: An indicator of competition, borrower quality, or just size?
by Machauer, Achim & Weber, Martin
- 2000/04 Sovereign credit ratings and their impact on recent financial crises
by Kräussl, Roman
- 2000/02 Generally accepted rating principles: A primer
by Krahnen, Jan Pieter & Weber, Martin
- 1999/13 Collateral, default risk, and relationship lending: An empirical study on financial contracting
by Elsas, Ralf & Krahnen, Jan Pieter
1999
- 2000/05 The evolution of global standards of accounting
by Gebhardt, Günther
- 2000/01 Distressed relationships: Lessons from the Norwegian banking crisis
by Ongena, Steven & Smith, David C. & Michalsen, Dag
- 1999/17 Financial contagion: Spillovers through banking centers
by Van Rijckeghem, Caroline & Weder, Beatrice
- 1999/16 Transparency in monetary policy
by Remsperger, Hermann & Worms, Andreas
- 1999/15 Predicting recessions with interest rate spreads: A multicountry regime-switching analysis
by Ahrens, Ralf
- 1999/14 Improving market-based forecasts of short-term interest rates: Time-varying stationarity and the predictive content of switching regime-expectations
by Ahrens, Ralf
- 1999/12 Die Betreuer am Neuen Markt: eine empirische Analyse
by Gerke, Wolfgang & Bosch, Robert
- 1999/11 The relevance of primary dealers for public bond issues
by Breuer, Wolfgang
- 1999/10 Frankfurts Position im internationalen Finanzplatzwettbewerb: Eine ressourcenorientierte Analyse
by Dietl, Helmut & Pauli, Markus & Royer, Susanne
- 1999/09 Optimal monetary policy inertia
by Woodford, Michael
- 1999/08 Nominal rigidities and the optimal rate of inflation
by Andersen, Torben M.
- 1999/04 Does talk matter after all? Inflation targeting and central bank behavior
by Kuttner, Kenneth N. & Posen, Adam S.
- 1999/03 Monetary targeting in practice: The German experience
by Schmid, Peter
- 1999/02 Inflation targeting in practice: The UK experience
by Vickers, John
1998
- 1999/06 Inflation and unemployment revisited: Grease vs. sand
by Groshen, Erica L. & Schweitzer, Mark E.
- 1999/01 Credit unions and the common bond
by Emmons, William R. & Schmid, Frank A.
- 1998/17 Derivatives usage in risk management by U.S. and German non-financial firms: A comparative survey
by Bodnar, Gordon M. & Gebhardt, Günther
- 1998/16 Inflation targeting as a monetary policy rule
by Svensson, Lars E. O.
- 1998/14 Empirical analysis of credit relationships in small firms financing: Sampling design and descriptive statistics
by Elsas, Ralf & Henke, Sabine & Machauer, Achim & Rott, Roland & Schenk, Gerald
- 1998/13 Credit information in universal banking: A clinical study
by Burghof, Hans-Peter & Henschel, Claudia
- 1998/12 When an event is not an event: The curious case of an emerging market
by Bhattacharya, Utpal & Daouk, Hazem & Jorgenson, Brian & Kehr, Carl-Heinrich
- 1998/11 Why EMU is irrelevant for the German economy
by Posen, Adam
- 1998/09 Where do we stand in the theory of finance? A selective overview with reference to Erich Gutenberg
by Krahnen, Jan Pieter
- 1998/08 Bank behavior based on internal credit ratings of borrowers
by Machauer, Achim & Weber, Martin
- 1998/07 Credit securitization and credit derivatives: Financial instruments and the credit risk management of middle market commercial loan portfolios
by Henke, Sabine & Burghof, Hans-Peter & Rudolph, Bernd
- 1998/06 Determinants of bank lending performance
by Ewert, Ralf & Schenk, Gerald
- 1998/05 Is relationship lending special? Evidence from credit-file data in Germany
by Elsas, Ralf & Krahnen, Jan Pieter
- 1998/04 EMU and capital markets: The institutional framework
by Gros, Daniel
1997