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Isabel Schnabel
Isabel Schnabel
Professor of Financial Economics, University of Bonn, Germany
Geverifieerd e-mailadres voor uni-bonn.de - Homepage
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Reconciling risk sharing with market discipline: A constructive approach to euro area reform
A Bénassy-Quéré, M Brunnermeier, H Enderlein, E Farhi, C Fuest, ...
Centre for Economic Policy Research, 2018
4662018
Competition, risk-shifting, and public bail-out policies
R Gropp, H Hakenes, I Schnabel
The Review of Financial Studies 24 (6), 2084-2120, 2011
4562011
How do official bailouts affect the risk of investing in emerging markets?
G Dell'Ariccia, I Schnabel, J Zettelmeyer
Journal of Money, credit and Banking, 1689-1714, 2006
301*2006
Bank size and risk-taking under Basel II
H Hakenes, I Schnabel
Journal of banking & finance 35 (6), 1436-1449, 2011
2862011
Liquidity and contagion: The crisis of 1763
I Schnabel, HS Shin
Journal of the European Economic Association 2 (6), 929-968, 2004
2332004
Bubbles and central banks: Historical perspectives
MK Brunnermeier, I Schnabel
Centre for Economic Policy Research, 2015
2002015
The German twin crisis of 1931
I Schnabel
The Journal of Economic History 64 (3), 822-871, 2004
1962004
Money and trust: lessons from the 1620s for money in the digital age
I Schnabel, HS Shin
BIS Working paper, 2018
167*2018
Banks without parachutes: Competitive effects of government bail-out policies
H Hakenes, I Schnabel
Journal of Financial Stability 6 (3), 156-168, 2010
1612010
Capital regulation, bank competition, and financial stability
H Hakenes, I Schnabel
Economics Letters 113 (3), 256-258, 2011
148*2011
Financial integration and growth—Why is Emerging Europe different?
C Friedrich, I Schnabel, J Zettelmeyer
Journal of International Economics 89 (2), 522-538, 2013
1362013
Credit risk transfer and bank competition
H Hakenes, I Schnabel
Journal of financial intermediation 19 (3), 308-332, 2010
1192010
Public ownership of banks and economic growth: The impact of country heterogeneity 1
T Körner, I Schnabel
Economics of Transition 19 (3), 407-441, 2011
114*2011
Asset price bubbles and systemic risk
M Brunnermeier, S Rother, I Schnabel
The Review of Financial Studies 33 (9), 4272-4317, 2020
1102020
Bail-in expectations for European banks: Actions speak louder than words
A Schäfer, I Schnabel
ESRB: Working Paper Series, 2016
100*2016
When markets fail–the need for collective action in tackling climate change
I Schnabel
Speech at the European Sustainable Finance Summit, Frankfurt am Main 28, 2020
952020
Financial sector reform after the subprime crisis: Has anything happened?
A Schäfer, I Schnabel, B Weder di Mauro
Review of Finance 20 (1), 77-125, 2016
952016
The role of liquidity and implicit guarantees in the German twin crisis of 1931
I Schnabel
Journal of International Money and Finance 28 (1), 1-25, 2009
902009
Bank bonuses and bailouts
H Hakenes, I Schnabel
Journal of Money, Credit and Banking 46 (s1), 259-288, 2014
892014
The threat of capital drain: a rationale for regional public banks?
H Hakenes, I Schnabel
Journal of Institutional and Theoretical Economics (JITE)/Zeitschrift für …, 2010
892010
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Artikelen 1–20