Discussion papers
The discussion papers with economic studies or financial and banking studies are elaborated by the research center of the Deutsche Bundesbank.
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Panel estimation of state dependent adjustment when the target is unobserved Discussion paper 09/2008: Ulf von Kalckreuth
420 KB, PDF
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Regulatory capital for market and credit risk interaction: is current regulation always conservative? Discussion paper 14/2008: Thomas Breuer, Martin Jandacka, Klaus Rheinberger, Martin Summer
415 KB, PDF
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A value at risk analysis of credit default swaps Discussion paper 12/2008: Burkhard Raunig, Martin Scheicher
268 KB, PDF
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Systemic bank risk in Brazil: an assessment of correlated market, credit, sovereign and inter-bank risk in an environment with stochastic volatilities and correlations Discussion paper 13/2008: Theodore M. Barnhill, Jr., Marcos Rietti Souto
647 KB, PDF
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Determinants of European banks' engagement in loan securitization Discussion paper 10/2008: Christina E. Bannier, Dennis N. Hänsel
433 KB, PDF
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Interaction of market and credit risk:an analysis of inter-risk correlation and risk aggregation Discussion paper 11/2008: Klaus Böcker, Martin Hillebrand
326 KB, PDF
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The pricing of correlated default risk: evidence from the credit derivatives market Discussion paper 09/2008: Nikola Tarashev, Haibin Zhu
530 KB, PDF
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Market conditions, default risk and credit spreads Discussion paper 08/2008: Dragon Yongjun Tang, Hong Yan
291 KB, PDF
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Which interest rate scenario is the worst one for a bank? Evidence from a tracking bank approach for German savings and cooperative banks Discussion paper 07/2008: Christoph Memmel
467 KB, PDF
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The success of bank mergers revisited - an assessment based on a matching strategy Discussion paper 06/2008: Andreas Behr, Frank Heid
855 KB, PDF