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Policy Publications

Contributions to the Policy Publications Series are either published as "White Papers", "Policy Letters" or "Press Articles". White Papers are comprised of research-based contributions to current policy debates. Policy Letters are short essays or commentaries on current policy topics. Press Articles feature commentary on current economic policy issues made by SAFE scholars in newspapers and periodicals. SAFE Policy Papers represent the authors‘ personal opinions and do not necessarily reflect the views of SAFE or its staff.


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Title Author/s Published Publication Series Topic Area Year Keywords Author
Taking Bail-in Seriously - The Looming Risks for Banking Policy in the Rescue of Monte Paschi di Siena
Policy Letter No. 54
Martin Götz,
Jan Pieter Krahnen,
Tobias Tröger
Feb 2017 Policy Letter Financial Institutions 2017 BRRD, banking resolution, banking supervision, SRM, financial stability, systemic risk Tröger, Tobias
Krahnen, Jan Pieter
Götz, Martin
Skin-in-the-Game in ABS Transactions: A Critical Review of Policy Options
White Paper No. 46
Jan Pieter Krahnen,
Christian Wilde
Feb 2017 White Paper Financial Markets 2017 Structured finance, ABS, STS (simple, transparent, and standardized securitizations), regulation, retention, capital, Dodd-Frank Act Wilde, Christian
Krahnen, Jan Pieter
SME Funding Without Banks? On the interplay of banks and markets
White Paper No. 44
Günter Franke,
Jan Pieter Krahnen
Jan 2017 White Paper Financial Institutions, Financial Markets 2017 SME, funding, capital markets, lending instruments, banks Krahnen, Jan Pieter
Franke, Günter
Banks' internal rating models - time for a change? The system of floors as proposed by the Basel Committee
White Paper No. 43
Rainer Haselmann,
Mark Wahrenburg
Nov 2016 White Paper Financial Institutions 2016 Internal rating models, floors, banking regulation, BCBS Wahrenburg, Mark
Haselmann, Rainer
Central Banks – from Overburdening to Decline?
White Paper No. 42
Otmar Issing Oct 2016 White Paper Macro Finance 2016 Central Banking, ECB, Monetary Policy Issing, Otmar
“Predatory” Margins and the Regulation and Supervision of Central Counterparty Clearing Houses (CCPs)
White Paper No. 41
Jan Pieter Krahnen,
Loriana Pelizzon
Sep 2016 White Paper Financial Markets 2016 central counterparties, CCP, derivatives, financial market regulation, financial market supervision Krahnen, Jan Pieter
Pelizzon, Loriana
Das Deutsche Rentensystem: Thesen zur derzeitigen Diskussion um „Umkehr“-Reformen
White Paper No. 40
Alexander Ludwig Sep 2016 White Paper Household Finance 2016 German pension system, reform, retirement age Ludwig, Alexander
Fair Retail Banking: How to Prevent Mis-selling by Banks
White Paper No. 39
Günter Franke,
Thomas Mosk,
Eberhard Schnebel
Jul 2016 White Paper 2016 Retail Banking, Mis-selling, MiFID II Mosk, Thomas
Schnebel, Eberhard
Franke, Günter
Kurzkommentar zum Volksentscheid im Vereinigten Königreich am 23. Juni 2016
Policy Letter No. 53
Helmut Siekmann Jun 2016 Policy Letter 2016 Brexit, Europäische Union, Vereinigtes Königreich Siekmann, Helmut
Panama & Co: Implikationen für die Steuerpolitik
Policy Letter No. 52
Alfons Weichenrieder Jun 2016 Policy Letter Macro Finance 2016 Steuerhinterziehung, Steuervermeidung, Steueroasen, Briefkastenfirmen, Panama Papers Weichenrieder, Alfons
Demographischer Wandel: Kapitalrenditen, Löhne und Verteilungswirkungen
White Paper No. 38
Alexander Ludwig May 2016 White Paper Macro Finance 2016 Demographischer Wandel, Migration, säkulare Stagnation, Kapitalrenditen, Ungleichheit Ludwig, Alexander
Euro area shadow banking activities in a low-interest-rate environment: a flow-of-funds perspective
White Paper No. 37
Günter Beck,
Hans-Helmut Kotz
Apr 2016 White Paper Financial Institutions, Macro Finance 2016 Non-bank financial intermediation, shadow banking, financial stability, systemic risk, financial regulation, low interest rate environment Beck, Günter
Kotz, Hans-Helmut
Lost in translation? ECB’s monetary impulses and financial intermediaries’ responses
White Paper No. 36
Günter Beck,
Hans-Helmut Kotz,
Natalia Zabelina
Apr 2016 White Paper Financial Institutions, Macro Finance 2016 Non-bank financial intermediation, interest-rate channel, credit channel, risk-taking channel of monetary policy, market-based financial intermediation, monetary transmission mechanism, waterbed effect Zabelina, Natalia
Beck, Günter
Kotz, Hans-Helmut
Mere criticism of the ECB is no solution
Policy Letter No. 51
Marcel Fratzscher, Reint Gropp,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Christian Odendahl, Beatrice Weder di Mauro,
Guntram B. Wolff
Apr 2016 Policy Letter Macro Finance 2016 eurozone, crisis, monetary policy Krahnen, Jan Pieter
Wolff, Guntram B.
Weder di Mauro, Beatrice
Gropp, Reint
Kotz, Hans-Helmut
Odendahl, Christian
Fratzscher, Marcel
Should the marketing of subordinated debt be restricted/different in one way or the other? What to do in the case of mis-selling?
White Paper No. 35
Martin Götz,
Tobias Tröger
Mar 2016 White Paper Financial Institutions 2016 Bail-in, BRRD, subordinated debt, EU market regulation Tröger, Tobias
Götz, Martin
The German Equity Trading Landscape
White Paper No. 34
Peter Gomber Feb 2016 White Paper Financial Markets 2016 MiFID II, MiFIR, equity trading, electronic trading, cash equity markets Gomber, Peter
Structural Reforms in Banking: The Role of Trading
White Paper No. 33
Jan Pieter Krahnen,
Felix Noth,
Ulrich Schüwer
Nov 2016 White Paper Financial Institutions, Financial Markets 2016 proprietary trading, banking separation proposals, bank risk Krahnen, Jan Pieter
Noth, Felix
Schüwer, Ulrich
The German Banking System: Characteristics and Challenges
White Paper No. 32
Patrick Behr, Reinhard H. Schmidt Dec 2015 White Paper Financial Institutions 2015 banks, government, regulation Behr, Patrick
Schmidt, Reinhard H.
Fragmentation in the European Retail Deposit Market and Implications for Loan Availability in European Member States
White Paper No. 31
Bijan Kaffenberger, Mark Wahrenburg Nov 2015 White Paper Household Finance 2015 household finance, deposits, European market fragmentation Wahrenburg, Mark
Kaffenberger, Bijan
The Potential Effect of Offering Lump Sums as Retirement Payments
Policy Letter No. 50
Raimond Maurer,
Olivia S. Mitchell,
Ralph Rogalla,
Tatjana Schimetschek
Nov 2015 Policy Letter Household Finance 2015 Social Security solvency, Pension system Schimetschek, Tatjana
Maurer, Raimond
Rogalla, Ralph
Mitchell, Olivia S.
Impairments of Greek Government Bonds under IAS 39 and IFRS 9: A Case Study
White Paper No. 30
Günther Gebhardt Nov 2015 White Paper Financial Markets 2015 government bonds, IFRS 9, credit losses Gebhardt, Günther
Solvency II ante portas: Nutzen und Risiken der neuen Versicherungsregulierung
Policy Letter No. 49
Helmut Gründl Nov 2015 Policy Letter Financial Institutions 2015 Versicherungen, Regulierung Gründl, Helmut
Solvency II at the Gates: Benefits and Risks of the New Insurance Regulation
Policy Letter No. 48
Helmut Gründl Nov 2015 Policy Letter Financial Institutions 2015 Insurance, Regulation Gründl, Helmut
Greece: Threatening Recovery
Policy Letter No. 37
Alfons Weichenrieder Feb 2015 Policy Letter Macro Finance 2015 Financial Assistance, Conditionality Weichenrieder, Alfons
Stellungnahme zu den DCGK-Änderungs-Vorschlägen der Regierungs-Kommission Deutscher Corporate Governance Kodex
Policy Letter No. 38
Hans-Joachim Böcking, Marius Gros, Daniel Worret Apr 2015 Policy Letter Corporate Finance 2015 Deutscher Corporate Governance Kodex, Professionalisierung der Aufsichtsratstätigkeit, Financial Expert, Prüfungsausschuss, Aufsichtsratsvergütung Worret, Daniel
Böcking, Hans-Joachim
Gros, Marius
The Legal Framework for the European System of Central Banks
White Paper No. 26
Helmut Siekmann Apr 2015 White Paper Macro Finance 2015 economic and monetary union, euro, monetary policy, economic policy Siekmann, Helmut
Stellungnahme zu den Plänen einer Erbschaftsteuerreform
Policy Letter No. 39
Alfons Weichenrieder May 2015 Policy Letter Macro Finance 2015 Steuerpolitik, Erbschaftsteuer, Schenkungsteuer Weichenrieder, Alfons
Comments on the EU Commission’s Capital Markets Union Project
White Paper No. 27
Volker Brühl, Helmut Gründl,
Andreas Hackethal,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Tobias Tröger
May 2015 White Paper Financial Markets 2015 Capital Markets Union, functional finance approach, level playing field, financial services Tröger, Tobias
Krahnen, Jan Pieter
Brühl, Volker
Kotz, Hans-Helmut
Gründl, Helmut
Hackethal, Andreas
Negative Zinsen auf Einlagen – juristische Hindernisse und ihre wettbewerbspolitischen Auswirkungen
Policy Letter No. 40
Tobias Tröger Jun 2015 Policy Letter Corporate Finance 2015 Niedrigzinsumfeld, Einlageverträge, negativer Zins Tröger, Tobias
Drei Thesen zur Griechenlandkrise
Policy Letter No. 41
Jan Pieter Krahnen Jul 2015 Policy Letter Macro Finance 2015 Währungsunion, Fiskalunion, Politische Union Krahnen, Jan Pieter
Three Theses on the Greek Crisis
Policy Letter No. 42
Jan Pieter Krahnen Jul 2015 Policy Letter Macro Finance 2015 Monetary Union, Fiscal Union, Political Union Krahnen, Jan Pieter
Escalating Crisis in the Eurozone: The Case for Conditional Debt Relief for Greece
Policy Letter No. 43
Reinhard H. Schmidt Jun 2015 Policy Letter Macro Finance 2015 Greek crisis, structural reforms, debt sustainability Schmidt, Reinhard H.
Ein ESM Programm ist nicht zu rechtfertigen
Policy Letter No. 44
Alfons Weichenrieder Jul 2015 Policy Letter Macro Finance 2015 Vertrag über die Arbeitsweise der EU (AEUV), ESM, Währungsunion Weichenrieder, Alfons
Towards a Fiscal Union? On the Acceptability of a Fiscal Transfer System in the Eurozone
White Paper No. 28
Shafik Hebous, Alfons Weichenrieder Jul 2015 White Paper Macro Finance 2015 EMU, Eurozone, European unemployment insurance, fiscal transfers Hebous, Shafik
Weichenrieder, Alfons
The Effects of Contingent Convertible (CoCo) Bonds on Insurers' Capital Requirements under Solvency II
Policy Letter No. 45
Helmut Gründl,
Tobias Niedrig
Aug 2015 Policy Letter Financial Institutions 2015 Life insurance companies, Coco bonds, Solvency II Niedrig, Tobias
Gründl, Helmut
Euro Area Macro-Financial Stability: A Flow-of-Funds Perspective
White Paper No. 29
Günter Beck,
Hans-Helmut Kotz,
Natalia Zabelina
Sep 2015 White Paper Financial Institutions, Macro Finance 2015 Bank and non-bank financial intermediation, shadow banking, financial stability, systemic risk, financial regulation Zabelina, Natalia
Beck, Günter
Kotz, Hans-Helmut
Did emergency liquidity assistance (ELA) of the ECB delay the bankruptcy of Greek banks?
Policy Letter No. 46
Martin Götz,
Rainer Haselmann,
Jan Pieter Krahnen,
Sascha Steffen
Sep 2015 Policy Letter Financial Institutions, Macro Finance 2015 emergency liquidity assistance (ELA), economic and monetary union, banking supervision, Greece Krahnen, Jan Pieter
Götz, Martin
Haselmann, Rainer
Steffen, Sascha
Waren die ELA-Notkredite der EZB für griechische Banken eine Konkursverschleppung?
Policy Letter No. 47
Martin Götz,
Rainer Haselmann,
Jan Pieter Krahnen,
Sascha Steffen
Sep 2015 Policy Letter Financial Institutions, Macro Finance 2015 emergency liquidity assistance (ELA), Währungsunion, Bankenaufsicht, Griechenland Krahnen, Jan Pieter
Götz, Martin
Haselmann, Rainer
Steffen, Sascha
Zur Offenlegung der Bezüge von Sparkassenführungskräften im Internet
White Paper No. 12
Helmut Siekmann Feb 2014 White Paper Corporate Finance 2014 Bezüge im Bankensektor, Transparenz, Corporate Governance Siekmann, Helmut
Lessons from the Implementation of the Volcker Rule for Banking Structural Reform in the European Union
White Paper No. 13
Douglas J. Elliott, Christian Rauch Apr 2014 White Paper Financial Institutions 2014 banking separation proposals, proprietary trading ban, Dodd-Frank Act Rauch, Christian
Elliott, Douglas J.
How Important Are Hedge Funds in a Crisis?
Policy Letter No. 23
Reint Gropp Apr 2014 Policy Letter Financial Institutions 2014 systemic risk analysis, statistical risk measurement, spillover effects Gropp, Reint
Frontiers of Sustainable Finance in Europe: The Social Impact Bond
Policy Letter No. 24
Ester Faia May 2014 Policy Letter Financial Institutions 2014 social impact bonds, risk premia, incentives for investment Faia, Ester
The Fiscal Crisis as a Crisis in Trust
Policy Letter No. 25
Michael Haliassos May 2014 Policy Letter Household Finance 2014 fiscal crisis, household liquidity, economic reforms, Greece Haliassos, Michael
MiFID: Eine systematische Analyse der Zielerreichung
White Paper No. 14
Peter Gomber,
Benedikt Jaeger
May 2014 White Paper Financial Markets 2014 MiFID, Wettbewerb, Integration, Transparenz, Integrität Jaeger, Benedikt
Gomber, Peter
Europa und die Instabilität des Rechts
Press Article, 2014
Helmut Siekmann May 2014 Press Article Macro Finance 2014 Europarecht, Rechtsdurchsetzung, EZB Siekmann, Helmut
Family Status, Social Security Claiming Options, and Life Cycle Portfolios
Policy Letter No. 26
Andreas Hubener, Raimond Maurer,
Olivia S. Mitchell
May 2014 Policy Letter Household Finance 2014 life-cycle models, household savings, investment decisions Hubener, Andreas
Maurer, Raimond
Mitchell, Olivia S.
Curtailing capture through the European banking union: a note of caution
Policy Letter No. 27
Cornelia Woll Jun 2014 Policy Letter Financial Institutions 2014 public-private relations, capture, collective action, social relations Woll, Cornelia
Im Schatten der Lowflation
Policy Letter No. 28
Alfons Weichenrieder Jun 2014 Policy Letter Macro Finance 2014 Deflation, Zentralbanken, Quantitative Lockerung Weichenrieder, Alfons
Monetary Policy and Balance Sheet Adjustment
White Paper No. 15
Otmar Issing Jun 2014 White Paper Macro Finance 2014 recession, monetary policy, balance sheet adjustment Issing, Otmar
Forward Guidance: A New Challenge for Central Banks
White Paper No. 16
Otmar Issing Jun 2014 White Paper Macro Finance 2014 central bank communication, monetary policy, forward guidance Issing, Otmar
Den Ruhestand optimal finanzieren
Press Article, 2014
Raimond Maurer Jun 2014 Press Article Household Finance 2014 Alterssicherung, USA, Deutschland Maurer, Raimond
Der makroprudenzielle Komplex: der Prozess, das Schloss, das Urteil
White Paper No. 17
Hermann Remsperger Jun 2014 White Paper Macro Finance 2014 makroprudenzielle Regulierung, Finanzstabilität, Europäische Zentralbank Remsperger, Hermann
EU Mapping: Systematic Overview on Economic and Financial Legislation
White Paper No. 18
Marcel Gellings, Kai Jungbluth, Katja Langenbucher May 2014 White Paper Corporate Finance 2014 EU economic and financial services legislation Gellings, Marcel
Langenbucher, Katja
Jungbluth, Kai
Anlegerschutz braucht mehr Eigenverantwortung
Press Article, 2014
Andreas Hackethal,
Thomas Schäfer
Jul 2014 Press Article Household Finance 2014 Anlegerschutz, Bankberatung, Finanzbildung Hackethal, Andreas
Schäfer, Thomas
Taxes, banks and financial stability
White Paper No. 6
Reint Gropp Aug 2013 White Paper Financial Institutions 2013 taxes, financial institutions, tax incidence, financial stability, tax revenues, bank incentives Gropp, Reint
Stellungnahme zum Entwurf eines Gesetzes zur Absicherung stabiler und fairer Leistungen für Lebensversicherte
Policy Letter No. 29
Helmut Gründl Jun 2014 Policy Letter Financial Institutions 2014 Lebensversicherungen, Solvency II, Bewertungsreserven, Niedrigzinsphase Gründl, Helmut
On the European Commission’s Proposal for a Structural Reform of Banking
Press Article, 2014
Jan Pieter Krahnen Jan 2014 Press Article Financial Institutions 2014 proprietary trading, banking separation proposals, Liikanen Commission Krahnen, Jan Pieter
Effective Resolution of Banks: Problems and Solutions
White Paper No. 19
Günter Franke,
Jan Pieter Krahnen,
Thomas von Lüpke
Sep 2014 White Paper Financial Institutions 2014 Bank Recovery and Resolution Directive (BRRD), Single Resolution Mechanism (SRM), Bail-in Krahnen, Jan Pieter
von Lüpke, Thomas
Franke, Günter
Neuordnung der Finanzmärkte in Europa durch MiFID II/MiFIR
White Paper No. 20
Peter Gomber,
Frank Nassauer
Sep 2014 White Paper Financial Markets 2014 MiFID II, MiFIR, Derivatehandel, Hochfrequenzhandel Gomber, Peter
Nassauer, Frank
National Strategic Framework for Research and Innovation 2014 - 2020
White Paper No. 21
Michael Haliassos Sep 2014 White Paper Macro Finance 2014 Greece, growth, innovation Haliassos, Michael
Keine Institutionenkonkurrenz auf nationaler Ebene schaffen: das „doppelte AIDA“-Modell
Policy Letter No. 30
Jan Pieter Krahnen Oct 2014 Policy Letter Macro Finance 2014 Bankenaufsicht, Bankenabwicklung, Bundesbank, Bafin Krahnen, Jan Pieter
Stellungnahme zum Entwurf eines Gesetzes zur Umsetzung der Richtlinie 2014/59/EU (BRRD-Umsetzungsgesetz)
Policy Letter No. 31
Martin Götz Oct 2014 Policy Letter Financial Institutions 2014 Bankenabwicklung, Restrukturierung, Bail-in, SoFFin Götz, Martin
What Do We Know about the Tax Planning of German-Based Multinational Firms?
White Paper No. 22
Shafik Hebous, Alfons Weichenrieder Oct 2014 White Paper Macro Finance 2014 taxation, foreign direct investment, multinational firms Hebous, Shafik
Weichenrieder, Alfons
Making Sense of the Comprehensive Assessment
Policy Letter No. 32
Viral Acharya, Sascha Steffen Oct 2014 Policy Letter Financial Institutions 2014 Asset Quality Review, Single Supervisy Mechanism, European Central Bankor Acharya, Viral
Steffen, Sascha
Robustness, Validity, and Significance of the ECB’s Asset Quality Review and Stress Test Exercise
White Paper No. 23
Sascha Steffen Nov 2014 White Paper Financial Institutions 2014 Stress Test, Comprehensive Assessment, Asset Quality Review, European Central Bank, European Banking Authority, Single Supervisory Mechanism Steffen, Sascha
Resolution threats and bank discipline – What Europe can learn for the Single Resolution Mechanism from U.S. experience
Policy Letter No. 33
Magdalena Ignatowski, Josef Korte Nov 2014 Policy Letter Financial Institutions 2014 risk-taking, bank resolution regimes, USA, Europe Korte, Josef
Ignatowski, Magdalena
What Does U.S. Money Market Mutual Fund Reform Portend for the European Union?
White Paper No. 24
Craig Lewis, Christian Schlag Oct 2014 White Paper Financial Markets 2014 money market funds, liquidity runs, floating net asset value (FNAV) Schlag, Christian
Lewis, Craig
The Fiscal Compact and Government Debt: One Law, Multiple Statistics
Policy Letter No. 22
Iñaki Aldasoro, Ester Faia Mar 2014 Policy Letter Macro Finance 2014 government debt, statistics, Fiscal Compact Aldasoro, Iñaki
Faia, Ester
Bail-In jetzt richtig umsetzen
Policy Letter No. 34
Jan Pieter Krahnen Nov 2014 Policy Letter Financial Institutions 2014 total loss absorbing capacity (TLAC), nachrangiges Fremdkapital, too big to fail, bail-in Krahnen, Jan Pieter
Implementing bail-in properly
Policy Letter No. 35
Jan Pieter Krahnen Nov 2014 Policy Letter Financial Institutions 2014 total loss absorbing capacity (TLAC), too big to fail, bail-in Krahnen, Jan Pieter
PPPs: Umgehung von Defizitregeln oder höhere Effizienz im Staatssektor?
Policy Letter No. 36
Alfons Weichenrieder Nov 2014 Policy Letter Macro Finance 2014 Schuldenbremse, Defizitregeln, Private Public Partnership (PPP) Weichenrieder, Alfons
Austerity and Growth – Concepts for Europe
SAFE Policy Letter Collection No. 1, 2015
Alfons Weichenrieder Feb 2015 Policy Letter Macro Finance 2015 Fiscal Consolidation, Sovereign Debt, Growth Weichenrieder, Alfons
The Regulation of Repo Markets: Incorporating Public Interest through a Stronger Role of Civil Society
White Paper No. 25
Matthias Thiemann Feb 2015 White Paper Financial Markets 2015 Repo Markets, Shadow Banking, Non-governmental Organizations Thiemann, Matthias
Die letzte Waffe - Helicopter Money?
Press Article, 2015
Otmar Issing Feb 2015 Press Article Macro Finance 2015 Quantitative Easing, European Central Bank, Geldpolitik Issing, Otmar
Zwei Makrooekonomen gewinnen den Nobelpreis
Policy Letter No. 04, 2012
Volker Wieland,
Maik Wolters
Feb 2012 Policy Letter Macro Finance 2012 makroökonomische Konjunkturforschung, vektorautoregressive Modelle, monetäre Makroökonomik Wolters, Maik
Wieland, Volker
Macroeconomic Model Comparisons and Forecast Competition
Policy Letter No. 03, 2012
Volker Wieland,
Maik Wolters
Feb 2012 Policy Letter Macro Finance 2012 macroeconomic models, financial models, forecasting Wolters, Maik
Wieland, Volker
Schlechte Erfahrungen
Policy Letter No. 02, 2012
Helmut Siekmann,
Volker Wieland
Feb 2012 Policy Letter Financial Institutions 2012 Finanztransaktionssteuer, Bankenaufsicht Siekmann, Helmut
Wieland, Volker
Constitutional Ruling on Court of Auditors’ Review of Banks
Policy Letter No. 01, 2012
Helmut Siekmann,
Patrick Tuschl
Feb 2012 Policy Letter Corporate Finance 2012 fiscal responsibility, control by Court of Auditors Tuschl, Patrick
Siekmann, Helmut
Stellungnahme zum Gesetzentwurf der Bundesregierung: Finanzkonglomerate-Aufsichtsgesetz
Policy Letter No. 7
Helmut Gründl Apr 2013 Policy Letter Financial Institutions 2013 Finanzkonglomerate; Eigenmittelanforderungen; Aufsichtsbehörde; BaFin; Bundesbank Gründl, Helmut
What happened in Cyprus
Policy Letter No. 6
Athanasios Orphanides Apr 2013 Policy Letter Macro Finance 2013 financial crisis, troika, Cyprus Orphanides, Athanasios
Stellungnahme zu aktuellen Formulierungsvorschlägen für Änderungen am Deutschen Corporate Governance Kodex
Policy Letter No. 5
Hans-Joachim Böcking, Marius Gros, Daniel Worret Mar 2013 Policy Letter Corporate Finance 2013 Deutscher Corporate Governance Kodex, Financial Expert, Prüfungsausschuss, Vorstandsvergütung, Aufsichtsratsvergütung Worret, Daniel
Böcking, Hans-Joachim
Gros, Marius
Managementvergütung im Bankensektor
Policy Letter No. 4
Jan Pieter Krahnen,
Thomas Mayer
Feb 2013 Policy Letter Corporate Finance 2013 Boni, Bail-in Anleihen, Liikanen-Kommission Krahnen, Jan Pieter
Mayer, Thomas
Kommentierung des “Entwurf eines Gesetzes zur Abschirmung von Risiken und zur Planung der Sanierung and Abwicklung von Kreditinstituten und Finanzgruppen”
Policy Letter No. 3
Andreas Hackethal,
Jan Pieter Krahnen
Feb 2013 Policy Letter Financial Institutions 2013 Handelsgeschäft, Einlagengeschäft, Risiko Krahnen, Jan Pieter
Hackethal, Andreas
Beteiligung der Versicherungsnehmer an den Bewertungsreserven in der Lebensversicherung
Policy Letter No. 2
Helmut Gründl Feb 2013 Policy Letter Financial Institutions 2013 Lebensversicherungen, Garantiezins, Bewertungsreserven Gründl, Helmut
Salary Cuts and Competitiveness
Policy Letter No. 1
Michael Haliassos Jan 2013 Policy Letter Macro Finance 2013 Greek economic crisis, productivity, structural reforms Haliassos, Michael
Die gerichtliche Kontrolle von Beschlüssen der Gläubigerversammlung
White Paper No. 7, 2008
Theodor Baums Sep 2008 White Paper Corporate Finance 2008 Gläubigerversammlung Baums, Theodor
Zur monistischen Verfassung der deutschen Aktiengesellschaft. Überlegungen de lege ferenda
White Paper No. 6, 2008
Theodor Baums Jul 2008 White Paper Corporate Finance 2008 Corporate Governance, Unternehmensverfassung Baums, Theodor
Zur Anfechtung von Hauptversammlungsbeschlüssen - rechtspolitische Vorschläge
White Paper No. 5, 2008
Theodor Baums, Florian Drinhausen May 2008 White Paper Corporate Finance 2008 Anfechtungsklage Baums, Theodor
Drinhausen, Florian
Stellungnahme zum Referentenentwurf "Risikobegrenzungsgesetz"
White Paper No. 2, 2008
Jan Pieter Krahnen Feb 2008 White Paper Corporate Finance 2008 Corporate Governance, Finanzinnovationen Krahnen, Jan Pieter
Europäische Modellgesetze im Gesellschaftsrecht
White Paper No. 1, 2008
Theodor Baums Jan 2008 White Paper Corporate Finance 2008 Modellgesellschaftsgesetze Baums, Theodor
Zur Deregulierung des Depotstimmrechts
White Paper No. 2, 2007
Theodor Baums Sep 2007 White Paper Corporate Finance 2007 Depotstimmrecht Baums, Theodor
The Law of Corporate Finance in Europe - an Essay
White Paper No. 1, 2007
Theodor Baums Jun 2007 White Paper Corporate Finance 2007 corporate finance Baums, Theodor
Die Auswirkungen von Regulierung auf Bankverhalten und Wettbewerb
Policy Letter No. 12
Jan Pieter Krahnen,
Theodor Weimer
Jun 2013 Policy Letter Financial Institutions 2013 Bail-in Anleihen, Banken, Regulierung, Liikanen-Kommission Krahnen, Jan Pieter
Weimer, Theodor
Mindfully Resisting the Bandwagon – IT Implementation and Its Consequences in the Financial Crisis
Policy Letter No. 10
Roman Beck, Wolfgang König,
Immanuel Pahlke, Martin Wolf
May 2013 Policy Letter Financial Markets 2013 IT innovations, financial services König, Wolfgang
Wolf, Martin
Beck, Roman
Pahlke, Immanuel
Own Risk and Solvency Assessment Within the Solvency II Framework and its Interplay with the Quantitative Solvency Capital Requirements
Policy Letter No. 11
Jens Gal,
Helmut Gründl
May 2013 Policy Letter Financial Institutions 2013 Insurance, Solvency II, Own Risk and Solvency Assessment Gal, Jens
Gründl, Helmut
The European Central Bank’s Outright Monetary Transactions and the Federal Constitutional Court of Germany
White Paper No. 4
Helmut Siekmann,
Volker Wieland
Jun 2013 White Paper Macro Finance 2013 ECB, OMT, monetary policy, fiscal policy Siekmann, Helmut
Wieland, Volker
Savings Banks and Cooperative Banks in Europe
White Paper No. 5
Dilek Bülbül, Reinhard H. Schmidt,
Ulrich Schüwer
Aug 2013 White Paper Financial Institutions 2013 national systems of local banks, bank competition, performance indicators Bülbül, Dilek
Schmidt, Reinhard H.
Schüwer, Ulrich
Gesprächsreihe zu Strukturreformen im europäischen Bankensektor: Wiederherstellung privater Haftung und die zukünftige Rolle der Aufsicht
Policy Letter No. 13
Elke König Sep 2013 Policy Letter Financial Institutions 2013 Bail-in Anleihen, Banken, Aufsicht, Liikanen-Kommission König, Elke
Challenges for Monetary Policy
White Paper No. 7
Otmar Issing Sep 2013 White Paper Macro Finance 2013 ECB, OMT, central banking Issing, Otmar
Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts
White Paper No. 8
Jan Pieter Krahnen Oct 2013 White Paper Financial Institutions 2013 Liikanen-Kommission, Bail-in, Trennbanken, Bankenunion Krahnen, Jan Pieter
Der einheitliche Abwicklungsmechanismus – Europäisches Allheilmittel oder weiße Salbe?
Policy Letter No. 14
Tobias Tröger Sep 2013 Policy Letter Financial Institutions 2013 Bankenunion, SRM, Abwicklungsinstrumente, Bail-in Tröger, Tobias
Commentary on ESMA Guidelines on enforcement of financial information
Policy Letter No. 15
Hans-Joachim Böcking, Marius Gros, Daniel Worret Oct 2013 Policy Letter Corporate Finance 2013 Enforcement, ESMA, financial reporting quality, restatements Worret, Daniel
Böcking, Hans-Joachim
Gros, Marius
Rescue by Regulation? Key Points of the Liikanen Report
White Paper No. 9
Jan Pieter Krahnen Oct 2013 White Paper Financial Institutions 2013 Liikanen Commission, Bail-in, Banking Separation, Banking Union Krahnen, Jan Pieter
Designing the funding side of the Single Resolution Mechanism (SRM): A proposal for a layered scheme with limited joint liability
White Paper No. 10
Jan Pieter Krahnen,
Jörg Rocholl
Dec 2013 White Paper Financial Institutions 2013 Banking Union, Single Resolution Mechanism Krahnen, Jan Pieter
Rocholl, Jörg
Securities Transaction Tax in France: Impact on Market Quality and Inter-Market Price Coordination
White Paper No. 11
Peter Gomber,
Martin Haferkorn, Kai Zimmermann
Jan 2014 White Paper Financial Institutions 2014 financial transaction tax, market fragmentation, speculative trading, market quality Zimmermann, Kai
Haferkorn, Martin
Gomber, Peter
Finanzmärkte: Mut zu radikaler Ordnungspolitik
Policy Letter No. 17
Jan Pieter Krahnen Dec 2013 Policy Letter Financial Institutions 2013 Finanzkrise, Bankenunion, Regulierung, Ordnungspolitik Krahnen, Jan Pieter
Surveillance of peer to peer payment systems and peer to peer lending platforms
Policy Letter No. 18
Ester Faia Feb 2014 Policy Letter Financial Institutions 2014 financial innovation, peer to peer payment systems, Bitcoin, regulation Faia, Ester
Energiewende, Butterberge und das Kiwi-in-Grönland-Problem
Policy Letter No. 20
Alfons Weichenrieder Feb 2014 Policy Letter Macro Finance 2014 Erneuerbare-Energien-Gesetz, Energiewende, Steuergelder Weichenrieder, Alfons
Transcript of a hearing before Members of the House of Lords (UK) in Frankfurt on Genuine Economic and Monetary Union and its Implication for the UK
Policy Letter No. 21
Otmar Issing, Jan Pieter Krahnen Mar 2014 Policy Letter Macro Finance 2014 Monetary Union, European Central Bank, Outright Monetary Transactions, UK Krahnen, Jan Pieter
Issing, Otmar
Recommendations by the Issing Commission – Memo for the G-20 November 2011 summit in Cannes
White Paper No. 04, 2012
Otmar Issing, Jan Pieter Krahnen,
Klaus Regling, William White
Feb 2012 White Paper Financial Institutions 2012 shadow banking, systemic risk analysis, regulatory arbitrage Regling, Klaus
Krahnen, Jan Pieter
White, William
Issing, Otmar
High-Frequency-Trading: Zwischen Nutzeffekten und Risiken
Press Article No. 8, 2011
Peter Gomber Sep 2011 Press Article Financial Markets 2011 Wertpapiermärkte, High Frequency Trading, Regulierung Gomber, Peter
Stellungnahme zum Entwurf eines Zweiten Gesetzes zur Umsetzung eines Maßnahmenpakets zur Stabilisierung des Finanzmarktes
White Paper No. 03, 2012
Helmut Siekmann Feb 2012 White Paper Financial Institutions 2012 Finanzmarktrecht, BaFin, FMSA Siekmann, Helmut
Ein Plädoyer für Banken-Vielfalt
Press Article No. 5, 2011
Reinhard H. Schmidt May 2011 Press Article Financial Institutions 2011 Drei-Säulen-System, Bankensektor, Finanzkrise Schmidt, Reinhard H.
Das Prinzip der Selbstbindung
Press Article No. 3, 2011
Alfons Weichenrieder Mar 2011 Press Article Macro Finance 2011 Schuldenbremse, Haushaltspolitik, Staatsverschuldung Weichenrieder, Alfons
Next Hike End of 2014: FOMC Matches Historical Responses to Member’s Forecasts and Risks Repeating Earlier Mistakes
White Paper No. 02, 2012
Volker Wieland Feb 2012 White Paper Macro Finance 2012 federal funds rate, interest rates, inflation forecasts Wieland, Volker
Neues Schuldverschreibungsrecht und Altanleihen
White Paper No. 01, 2012
Theodor Baums, Roland Schmidtbleicher Jan 2012 White Paper Corporate Finance 2012 Collective Action Clauses, Anleihen, Umstrukturierung Baums, Theodor
Schmidtbleicher, Roland
Notenbanker müssen zunehmend Finanzmarkterfahrung haben
Press Article No. 1, 2011
Stefan Gerlach Jan 2011 Press Article Macro Finance 2011 Ernennungspraxis von Zentralbankern, Finanzfachkenntnis, moderne Notenbanker Gerlach, Stefan
Das Grünbuch der EU-Kommission „Weiteres Vorgehen im Bereich der Abschlussprüfung: Lehren aus der Krise“ – Eine Auswertung der Stellungnahmen des Konsultationsprozesses
White Paper No. 12, 2011
Hans-Joachim Böcking, Marius Gros, Christoph Wallek, Daniel Worret Nov 2011 White Paper Corporate Finance 2011 Abschlussprüfung, Finanzkrise, EU Grünbuch, Konsultationsprozess Wallek, Christoph
Worret, Daniel
Böcking, Hans-Joachim
Gros, Marius
Ein staatliches Hospital für kranke Banken
Press Article No. 2, 2010
Günter Franke,
Jan Pieter Krahnen
Feb 2010 Press Article Financial Institutions 2010 Systemisches Risiko, Bankenhospital Krahnen, Jan Pieter
Franke, Günter
Dem Druck standhalten
Press Article No. 3, 2009
Volker Wieland Jul 2009 Press Article Macro Finance 2009 Geldpolitik, EZB Wieland, Volker
Analysis of the EU Consultation on the Green Paper “Audit Policy: Lessons from the Crisis”
White Paper No. 11, 2011
Hans-Joachim Böcking, Marius Gros, Christoph Wallek, Daniel Worret Nov 2011 White Paper Corporate Finance 2011 Audit Policy, Financial Crisis, EU Green Paper, Consultation Process Wallek, Christoph
Worret, Daniel
Böcking, Hans-Joachim
Gros, Marius
Eurozone stimulus: A myth, some facts, and estimates
Policy Letter No. 2, 2009
Volker Wieland Sep 2009 Policy Letter Macro Finance 2009 fiscal stimulus packages Wieland, Volker
Anfechtungsklagen und Freigabeverfahren. Eine empirische Studie
White Paper No. 10, 2011
Theodor Baums, Florian Drinhausen, Astrid Keinath Nov 2011 White Paper Corporate Finance 2011 Aktionärsrechte, Berufskläger, Anlegerschutz Baums, Theodor
Keinath, Astrid
Drinhausen, Florian
"Neue" Regeln für die Notenbanken?
Policy Letter No. 1, 2009
Volker Wieland May 2009 Policy Letter Macro Finance 2009 Geldpolitik, Taylor-Regel Wieland, Volker
Law and Economics of the Monetary Union
White Paper No. 9, 2011
Helmut Siekmann Sep 2011 White Paper Macro Finance 2011 Euro, sovereign debt crisis, legal foundations Siekmann, Helmut
Das neue System der Europäischen Finanzmarktaufsicht
White Paper No. 8, 2011
Helmut Siekmann Sep 2011 White Paper Financial Institutions 2011 Regulierung, Finanzaufsicht, Systemrisiken Siekmann, Helmut
Eurobonds zur Bewältigung der europäischen Krise? Wegweisung zu einer modernen Entwicklungsunion
White Paper No. 7, 2011
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Christian Leuz, Helmut Siekmann
Sep 2011 White Paper Macro Finance 2011 Eurobonds, Staatsschuldenkrise, Europäische Union Krahnen, Jan Pieter
Leuz, Christian
Kotz, Hans-Helmut
Siekmann, Helmut
Comment on the European Commission's Green Paper "Audit Policy: Lessons from the Crisis"
Policy Letter No. 16, 2010
Hans-Joachim Böcking, Marius Gros Dec 2010 Policy Letter Corporate Finance 2010 audit quality, expectation gap, regulation Böcking, Hans-Joachim
Gros, Marius
On a Fundamental Reorganisation of the Landesbanks and Savings Banks Sector in Germany
White Paper No. 2, 2011
Heinz Hilgert, Jan Pieter Krahnen,
Günther Merl, Helmut Siekmann
Mar 2011 White Paper Financial Institutions 2011 Landesbanks and savings banks sector; public law financial system Merl, Günther
Hilgert, Heinz
Krahnen, Jan Pieter
Siekmann, Helmut
Unternehmen und Ethik
Policy Letter No. 13, 2010
Theodor Baums Oct 2010 Policy Letter Corporate Finance 2010 Rechtsnormen, ethische Normen, Wirtschaftsverfassung Baums, Theodor
Streitschrift für eine grundlegende Neuordnung des Sparkassen- und Landesbankensektors in Deutschland
White Paper No. 1, 2011
Heinz Hilgert, Jan Pieter Krahnen,
Günther Merl, Helmut Siekmann
Feb 2011 White Paper Financial Institutions 2011 Sparkassen- und Landesbankensektor, öffentlich rechtlicher Finanzsektor Merl, Günther
Hilgert, Heinz
Krahnen, Jan Pieter
Siekmann, Helmut
Liquidity Management and the Reform of the International Monetary System
White Paper No. 4, 2011
Volker Wieland May 2011 White Paper Macro Finance 2011 international monetary system, reserve currencies, liquidity Wieland, Volker
High Frequency Trading
White Paper No. 3, 2011
Björn Arndt, Peter Gomber,
Marco Lutat, Tim Uhle
Apr 2011 White Paper Financial Markets 2011 algorithmic trading, high-frequency trading, regulation Lutat, Marco
Arndt, Björn
Gomber, Peter
Uhle, Tim
Report of the Reflection Group on the Future of EU Company Law
White Paper No. 5, 2011
Theodor Baums May 2011 White Paper Corporate Finance 2011 EU-harmonization, corporate governance, regulation, cross-border mobility Baums, Theodor
A credible Stability and Growth Pact: Raising the bar for budgetary transparency
Policy Letter No. 5, 2010
Stefan Gerlach Jan 2010 Policy Letter Macro Finance 2010 public debt, ECB Gerlach, Stefan
How to be a good European...
Policy Letter No. 4, 2010
Volker Wieland May 2010 Policy Letter Macro Finance 2010 Schuldenkrise Wieland, Volker
The fiscal stimulus debate "Bone-headed" and "Neanderthal"?
Policy Letter No. 3, 2009
Volker Wieland Mar 2009 Policy Letter Macro Finance 2009 fiscal policy, new Keynesian macroeconomic models Wieland, Volker
Competition among electronic markets and market quality
White Paper No. 25, 2010
Peter Gomber,
Markus Gsell, Marco Lutat
Dec 2010 White Paper Financial Markets 2010 MiFID, market fragmentation,liquidity Lutat, Marco
Gomber, Peter
Gsell, Markus
Low balling, creeping in und deutsches Übernahmerecht
White Paper No. 24, 2010
Theodor Baums Nov 2010 White Paper Corporate Finance 2010 feindliche Übernahme, Hauptversammlungsmehrheit, Meldepflichten Baums, Theodor
MiFID - Spirit and Reality of a European Financial Markets Directive
White Paper No. 22, 2010
Peter Gomber,
Axel Pierron
Nov 2010 White Paper Financial Markets 2010 MiFID, regulation, securities trading Gomber, Peter
Pierron, Axel
Stellungnahme zum "Restrukturierungsgesetz"
White Paper No. 20, 2010
Jan Pieter Krahnen,
Helmut Siekmann
Oct 2010 White Paper Financial Institutions 2010 Systemisches Risiko, Restruktuierung, Abwicklung Krahnen, Jan Pieter
Siekmann, Helmut
Banking and Sovereign Risk in the Euro Area
White Paper No. 19, 2010
Stefan Gerlach, Alexander Schulz, Guntram B. Wolff Sep 2010 White Paper Macro Finance 2010 sovereign bond markets, banking, liquidity, EMU Wolff, Guntram B.
Schulz, Alexander
Gerlach, Stefan
Managerhaftung und Verjährungsfrist
White Paper No. 17, 2010
Theodor Baums Aug 2010 White Paper Corporate Finance 2010 Organhaftungsregeln, Verjährungsfristen Baums, Theodor
Die Finanzmarktaufsicht in der Krise
White Paper No. 16, 2010
Helmut Siekmann Aug 2010 White Paper Financial Institutions 2010 Finanzmarktaufsicht, Ratingagenturen, Abwicklung Siekmann, Helmut
Ursachen, Auswirkungen und Lehren der Finanzkrise: Eine systematische Bestandsaufnahme
White Paper No. 15, 2010
Helmut Siekmann Jul 2010 White Paper Financial Institutions 2010 Systemisches Risiko, Finanzaufsicht Siekmann, Helmut
Criteria for a workable approach towards bank levies and bank restructuring
White Paper No. 14, 2010
Otmar Issing, Jan Pieter Krahnen Jun 2010 White Paper Financial Institutions 2010 systemic risk, bank resolution Krahnen, Jan Pieter
Issing, Otmar
Risiko und Risikosteuerung im Aktienrecht
White Paper No. 9, 2010
Theodor Baums Jul 2010 White Paper Corporate Finance 2010 Risikomanagement, Vorstandspflichten Baums, Theodor
Die Rolle von Anreizen für die Zukunfts der Kreditverbriefung
White Paper No. 5, 2009
Günter Franke,
Jan Pieter Krahnen
Apr 2009 White Paper Financial Institutions 2009 Kreditverbriefung, Agency Theorie, Vergütungssysteme Krahnen, Jan Pieter
Franke, Günter
Rescue Strategy without moral hazard – an attempt to provide a master plan for avoiding banking crises
White Paper No. 3, 2010
Jan Pieter Krahnen,
Helmut Siekmann
Feb 2010 White Paper Financial Institutions 2010 systemic risk, banking hospital Krahnen, Jan Pieter
Siekmann, Helmut
Rettungsstrategie ohne Moral Hazard – Versuch eines Gesamtkonzepts zur Bankkrisenvermeidung
White Paper No. 2, 2010
Jan Pieter Krahnen,
Helmut Siekmann
Feb 2010 White Paper Financial Institutions 2010 Systemisches Risiko, Bankenhospital Krahnen, Jan Pieter
Siekmann, Helmut
Die Unabhängigkeit des Vergütungsberaters
White Paper No. 1, 2010
Theodor Baums Jan 2010 White Paper Corporate Finance 2010 Corporate Governance-Kodex, Vergütungsberater Baums, Theodor
Stabilisierung der WestLB AG durch Garantien des Landes NRW
White Paper No. 7, 2009
Helmut Siekmann Oct 2009 White Paper Financial Institutions 2009 Landesbanken Siekmann, Helmut
Die Neuordnung der Finanzmarktaufsicht
White Paper No. 6, 2009
Helmut Siekmann Oct 2009 White Paper Financial Institutions 2009 Finanzmärkte, Rechtsordnung Siekmann, Helmut
Entwurf einer Regelung zur Mitbestimmungsvereinbarung und zur Größe des mitbestimmten Aufsichtsrats
White Paper No. 3, 2009
Gregor Bachmann, Theodor Baums, Mathias Habersack, Martin Henssler, Marcus Lutter, Hartmut Oetker, Peter Ulmer May 2009 White Paper Corporate Finance 2009 Mitbestimmungsrecht Oetker, Hartmut
Baums, Theodor
Ulmer, Peter
Bachmann, Gregor
Lutter, Marcus
Henssler, Martin
Habersack, Mathias
Die Schaffung von Einrichtungen der Finanzaufsicht auf EU-Ebene
White Paper No. 2, 2009
Helmut Siekmann Apr 2009 White Paper Financial Institutions 2009 Gemeinschaftsagenturen, Finanzmarktaufsicht Siekmann, Helmut
Anschleichen an Übernahmeziele mittels Cash Settled Equity Derivaten - ein Regelungsvorschlag
White Paper No. 1, 2009
Theodor Baums Feb 2009 White Paper Corporate Finance 2009 Unternehmensübernahmen, Equity Swaps Baums, Theodor
Der Weg in die Knechtschaft
Policy Letter No. 22, 2011
Otmar Issing Dec 2011 Policy Letter Macro Finance 2011 Freiheit, soziale Marktwirtschaft, Basisdemokratie Issing, Otmar
Kluge Finanzarchitektur zur Begrenzung des systemischen Risikos
Policy Letter No. 20, 2011
Jan Pieter Krahnen Dec 2011 Policy Letter Financial Institutions 2011 systemisches Risiko, too-big-to-fail, Regulierung Krahnen, Jan Pieter
Stellungnahme zum Antrag der SPD-Fraktion auf Einführung einer Finanztransaktionssteuer in Europa
Policy Letter No. 19, 2011
Volker Wieland Nov 2011 Policy Letter Financial Institutions 2011 Finanztransaktionssteuer, Finanzinnovationen, Finanzspekulation Wieland, Volker
Rational learning about rare-disaster frequencies: A persistent source of asset-price overreaction
Policy Letter No. 14, 2011
Volker Wieland Nov 2011 Policy Letter Financial Markets 2011 asset prices, comsumer beliefs, Bayesian learning Wieland, Volker
Long-Term Guarantees and the Countercyclical Premium Under Solvency II
Policy Letter No. 15, 2011
Helmut Gründl,
Hato Schmeiser
Nov 2011 Policy Letter Financial Institutions 2011 insurance supervision, capital requirements, Solvency II Schmeiser, Hato
Gründl, Helmut
Rechtsbrüche im Euroraum
Policy Letter No. 13, 2011
Helmut Siekmann Oct 2011 Policy Letter Macro Finance 2011 Europäische Währungsunion, Währungsrecht, Europarecht Siekmann, Helmut
Geldpolitik vor der Krise
Policy Letter No. 12, 2011
Stefan Gerlach, Laura Moretti Aug 2011 Policy Letter Macro Finance 2011 Geldpolitik, reale Zinssätze, Finanzkrise Moretti, Laura
Gerlach, Stefan
Monetary policy before the crisis
Policy Letter No. 11, 2011
Stefan Gerlach, Laura Moretti Aug 2011 Policy Letter Macro Finance 2011 monetary policy, real interest rates, financial crisis Moretti, Laura
Gerlach, Stefan
Comment on the European Commission's Green Paper "The EU corporate governance framework"
Policy Letter No. 9, 2011
Hans-Joachim Böcking, Marius Gros Jul 2011 Policy Letter Corporate Finance 2011 corporate governance, supervisory board, shareholder activism Böcking, Hans-Joachim
Gros, Marius
Ratingagenturen entmachten - aber wie?
Policy Letter No. 8, 2011
Reinhard H. Schmidt Jul 2011 Policy Letter Financial Institutions 2011 Ratingagenturen, Marktmacht Schmidt, Reinhard H.
"Politiker wollen die Wahrheit nicht hören"
Policy Letter No. 7, 2011
Jan Pieter Krahnen Jul 2011 Policy Letter Financial Institutions 2011 Ratingagenturen, Schuldenkrise Krahnen, Jan Pieter
The bail-in puzzle
Policy Letter No. 6, 2011
Jan Pieter Krahnen Jul 2011 Policy Letter Financial Institutions 2011 debt restructuring, financial stability, bank bonds Krahnen, Jan Pieter
Die Bankenabgabe in Deutschland
Policy Letter No. 3, 2011
Helmut Siekmann Apr 2011 Policy Letter Financial Institutions 2011 Bankenabgabe, Systemisches Risiko, Restrukturierungsgesetz Siekmann, Helmut
Stellungnahme zum Gesetzesentwurf der Bundesregierung zur Umsetzung derr OGAW-Richtlinie der EU-Kommission
Policy Letter No. 2, 2011
Raimond Maurer Mar 2011 Policy Letter Household Finance 2011 Investmentfonds, Wertpapiere, Anlegerschutz Maurer, Raimond
Europataugliche Einlagensicherung: Vorschlag für eine dreistufige Einlagensicherung mit begrenzter europäischer Haftung
Policy Letter No. 16, 2012
Jan Pieter Krahnen Dec 2012 Policy Letter Financial Institutions 2012 Bankenunion, Einlagensicherung, Bankinsolvenzen Krahnen, Jan Pieter
Gender Balance in the ECB's Executive Board
Policy Letter No. 15, 2012
Laura Moretti Nov 2012 Policy Letter Macro Finance 2012 gender equality, ECB Executive Board Moretti, Laura
Comment on the European Parliament Draft Report on the proposal for a recovery and resolution directive
Policy Letter No. 14, 2012
Jan Pieter Krahnen Nov 2012 Policy Letter Financial Institutions 2012 bail-in bonds, bank resolution, Liikanen Report Krahnen, Jan Pieter
Nationality and the ECB's Executive Board
Policy Letter No. 12, 2012
Laura Moretti Aug 2012 Policy Letter Macro Finance 2012 European Monetary Union, institutional design Moretti, Laura
Die Notenbanken und das liebe Geld: Von Zinsen, Inflation und konjunktureller Überhitzung
Policy Letter No. 13, 2012
Volker Wieland Sep 2012 Policy Letter Macro Finance 2012 Zentralbanken, Inflationssteuerung, Geldpolitik Wieland, Volker
Central Bank Independence: Does the Governor's Passport Matter?
Policy Letter No. 10, 2012
Laura Moretti May 2012 Policy Letter Macro Finance 2012 central bank independence, central bank governor Moretti, Laura
Stellungnahme zu den vom Deutschen Standardisierungsrat vorgeschlagenen Änderungen der Anforderungen an die Konzernlageberichterstattung
Policy Letter No. 09, 2012
Hans-Joachim Böcking, Marius Gros Apr 2012 Policy Letter Corporate Finance 2012 Chancen- und Risikoberichterstattung, Strategieberichterstattung, Management Commentary Böcking, Hans-Joachim
Gros, Marius
Wie lässt sich der Kundennutzen der Anlageberatung steigern?
Policy Letter No. 07, 2012
Andreas Hackethal Apr 2012 Policy Letter Household Finance 2012 Anlageentscheidung, Wertpapierberatung, Risikomaße, Rendite Hackethal, Andreas
Stellungnahme zu den DCGK-Aenderungsvorschlaegen der Regierungskommission Deutscher Corporate Governance Kodex
Policy Letter No. 06, 2012
Hans-Joachim Böcking, Marius Gros Mar 2012 Policy Letter Corporate Finance 2012 Deutscher Corporate Governance Kodex, Prüfungsausschuss, Aufsichtsratsvergütung Böcking, Hans-Joachim
Gros, Marius
Support Mechanisms Pose Fundamental Legal Questions
Policy Letter No. 05, 2012
Helmut Siekmann Feb 2012 Policy Letter Macro Finance 2012 sovereign debt crisis, ESM, EFSF, new fiscal compact Siekmann, Helmut
Zukunft der Universalbanken
Policy Letter No. 9
Michael Kemmer, Jan Pieter Krahnen Apr 2013 Policy Letter Financial Institutions 2013 Trennbanken, Restrukturierung, Abwicklung, Liikanen-Kommission Krahnen, Jan Pieter
Kemmer, Michael
Zentralbankpolitik: Überforderung statt Langeweile?
White Paper No. 3
Hermann Remsperger Apr 2013 White Paper Macro Finance 2013 makroprudenzielle Regulierung; Zentralbank; Bankenaufsicht Remsperger, Hermann
Legal aspects of gender balance on corporate boards in Germany
White Paper No. 2
Katja Langenbucher Mar 2013 White Paper Corporate Finance 2013 German corporate governance codex, gender equality, German constitutional law Langenbucher, Katja
Civil Liability of Credit Rating Agencies after CRA 3 – Regulatory All-or-Nothing Approaches Between Immunity and Over-Deterrence
White Paper No. 1
Brigitte Haar Feb 2013 White Paper Financial Institutions 2013 Rating Agencies, regulation, contractual liability, CRA3 Haar, Brigitte
Missachtung rechtlicher Vorgaben des AEUV durch die Mitgliedstaaten und die EZB in der Schuldenkrise
White Paper No. 15, 2012
Helmut Siekmann Nov 2012 White Paper Corporate Finance 2012 Bankenkrise, Staatsschuldenkrise, EFSF, ESM, Fiskalpakt Siekmann, Helmut
Stellungnahme zum Entwurf eines Dritten Gesetzes zur Umsetzung eines Maßnahmenpakets zur Stabilisierung des Finanzmarktes
White Paper No. 14, 2012
Helmut Siekmann Nov 2012 White Paper Financial Institutions 2012 Finanzmarktstabilisierungsgesetz, Restrukturierungsfond, systemisches Risiko Siekmann, Helmut
Marktkräfte und Finanzstabilität: Desiderate und Anreizwirkungen eines institutionellen Rahmens für Bankenrestrukturierung
White Paper No. 13, 2012
Günter Franke,
Jan Pieter Krahnen
Oct 2012 White Paper Financial Institutions 2012 Ankeranleihen, Bail-in, systemisches Risiko, Bankenrestrukturierung Krahnen, Jan Pieter
Franke, Günter
Die Legende von der verfassungsrechtlichen Sonderstellung des „anonymen“ Kapitaleigentums
White Paper No. 12, 2012
Helmut Siekmann Sep 2012 White Paper Corporate Finance 2012 Geldeigentum, Anteilseigentum, Gesellschaftsrecht, Verfassungsrecht Siekmann, Helmut
Neuausrichtung des OTC-Derivate-Marktes als Chance begreifen
White Paper No. 11, 2012
Peter Gomber,
Thorsten Gommel
Sep 2012 White Paper Financial Institutions 2012 EMIR, OTC-Derivate, CDS Gommel, Thorsten
Gomber, Peter
Löhne kürzen schadet der Wettbewerbsfähigkeit
Press Article No. 01, 2013
Michael Haliassos Jan 2013 Press Article Macro Finance 2013 Griechenland, strukturelle Reformen, Arbeitsproduktivität Haliassos, Michael
Aktuelle Finanzmarktpolitik: Wo bleibt die Nachhaltigkeit?
White Paper No. 10, 2012
Reinhard H. Schmidt Jul 2012 White Paper Financial Institutions 2012 Finanzkrise, Finanzmarktpolitik, Regulierung, Nachhaltigkeit Schmidt, Reinhard H.
The Greek Crisis Two Years On: Policy Options and Resolution Prospects
White Paper No. 09, 2012
Lucas Papademos Jun 2012 White Paper Macro Finance 2012 Greece; fiscal adjustment; European Monetary Union Papademos, Lucas
Frueher war nicht alles besser
Press Article No. 04, 2012
Theodor Baums Sep 2012 Press Article Corporate Finance 2012 Baums, Theodor
Central Banks – Paradise Lost?
White Paper No. 08, 2012
Otmar Issing May 2012 White Paper Macro Finance 2012 central bank mandate, financial stability Issing, Otmar
Grosser Beifall von allen Seiten
Press Article No. 03, 2012
Otmar Issing Sep 2012 Press Article Macro Finance 2012 Europäische Währungsunion, politische Union, Eurobonds Issing, Otmar
Der Weg aus der Krise
White Paper No. 06, 2012
Otmar Issing Apr 2012 White Paper Macro Finance 2012 Währungsunion, Fiskalunion, Eurobonds Issing, Otmar
The Problem with Envisaging an Exit
Press Article No. 02, 2012
Laura Moretti Aug 2012 Press Article Macro Finance 2012 Moretti, Laura
Jeder muss sich selbst helfen
Press Article No. 01, 2012
Otmar Issing Aug 2012 Press Article Macro Finance 2012 Europäische Währungsunion, politische Union Issing, Otmar
"The Economic Rationale for Financial Regulation” Reconsidered
White Paper No. 05, 2012
Richard Herring, Reinhard H. Schmidt Apr 2012 White Paper Financial Institutions 2012 regulation, supervision, systemic risk Herring, Richard
Schmidt, Reinhard H.
Moral hazard will result from ECB bond buying
Press Article No. 10, 2011
Otmar Issing Nov 2011 Press Article Macro Finance 2011 lender of last resort, ECB, sovereign debt Issing, Otmar
Risiko muss wieder kosten
Press Article No. 9, 2011
Jan Pieter Krahnen Sep 2011 Press Article Financial Institutions 2011 Anleihemärkte, systemisches Risiko, Bankeninsolvenz Krahnen, Jan Pieter
Financial Regulation: A Transatlantic Perspective
Book Volume - published by Cambridge University Press
Ester Faia, Andreas Hackethal,
Michael Haliassos, Katja Langenbucher
Sep 2015 Financial Institutions, Household Finance, Macro Finance 2015 banking union, microprudential regulation, macroprudential regulation, investor protection, borrower protection Faia, Ester
Hackethal, Andreas
Haliassos, Michael
Langenbucher, Katja
Politically Acceptable Debt Restructuring in the Euro Zone: Is it Really Better than the Redemption Fund?
Policy Letter No. 19
Ester Faia Feb 2014 Policy Letter Macro Finance 2014 public debt, debt restructuring Faia, Ester
A Big Bang for Banking in Europe
Policy Letter No. 16
Jan Pieter Krahnen Dec 2013 Policy Letter Financial Institutions 2013 comprehensive assessment, banking supervision, euro area Krahnen, Jan Pieter
Deposit insurance suitable for Europe: Proposal for a three-stage deposit guarantee scheme with limited European liability
Policy Letter No. 8
Jan Pieter Krahnen Apr 2013 Policy Letter Financial Institutions 2013 banking union; deposit insurance; bank risk Krahnen, Jan Pieter
On the Potential Threats from a Greek Eurozone Exit
Policy Letter No. 11, 2012
Ester Faia May 2012 Policy Letter Macro Finance 2012 European Monetary Union, TARGET balances, inflation Faia, Ester
Systemic Risks and Central Banks
White Paper No. 07, 2012
Hermann Remsperger May 2012 White Paper Macro Finance 2012 macroprudential regulation, monetary policy, Financial Stability Act Remsperger, Hermann
Finanzstabilität im Bundestag
Policy Letter No. 08, 2012
Hermann Remsperger Apr 2012 Policy Letter Macro Finance 2012 Finanzstabilitätsgesetz; makroprudenzielle Regulierung; Zentralbank Remsperger, Hermann
Ordnungspolitik gegen Systemrisiken
Policy Letter No. 23, 2011
Hermann Remsperger Dec 2011 Policy Letter Macro Finance 2011 systemisches Risiko, Geldpolitik Remsperger, Hermann
Verschwenderische Südeuropäer?
Policy Letter No. 25, 2011
Michael Haliassos Dec 2011 Policy Letter Macro Finance 2011 Staatsschuldenkrise, Europäische Währungsunion, Arbeitsproduktivität Haliassos, Michael
Prodigal Italy Greece Spain?
Policy Letter No. 24, 2011
Michael Haliassos Dec 2011 Policy Letter Macro Finance 2011 http://safe-frankfurt.de/policy-publications/administrator/components/com_jresearch/files/publications/Haliassos_Prodigal_Italy_Greece_Spain.pdf Haliassos, Michael
Europa - wohin
Policy Letter No. 21, 2011
Bertram Schefold Dec 2011 Policy Letter Macro Finance 2011 Europäische Währungsunion, Strukturanpassungen, Europäische Integration Schefold, Bertram
Ein makroprudenzielles Mandat für die Bundesbank
Policy Letter No. 10, 2011
Hermann Remsperger Aug 2011 Policy Letter Macro Finance 2011 makroprudenzielle Regulierung, Finanzstabilität, Bundesbank Remsperger, Hermann
Reforms or Bankruptcy?
Policy Letter No. 5, 2011
Michael Haliassos Jun 2011 Policy Letter Macro Finance 2011 Greek economic crisis, public debt, structural reforms Haliassos, Michael
Getting Greece Back on Track: How?
White Paper No. 6, 2011
Michael Haliassos, Dimitri Vayanos Jun 2011 White Paper Macro Finance 2011 financial crisis, structural reforms, productivity Haliassos, Michael
Vayanos, Dimitri
Europas Staaten brauchen Stresstests
Press Article No. 2, 2011
Stefan Gerlach Feb 2011 Press Article Macro Finance 2011 Stabilitäts- und Wachstumspakt, Fiskalpolitik Gerlach, Stefan
EU Economic Governance
White Paper No. 26, 2010
Stefan Gerlach Dec 2010 White Paper Macro Finance 2010 Stability and Growth Pact, Excessive Imbalance Procedure, national fiscal frameworks Gerlach, Stefan
Recommendations by the Issing Commission - Memo for the G-20 Summit in Seoul
White Paper No. 23, 2010
Otmar Issing, Jan Pieter Krahnen,
Klaus Regling, William White
Nov 2010 White Paper Financial Institutions 2010 Basel III, systemic risk, liquidity support Regling, Klaus
Krahnen, Jan Pieter
White, William
Issing, Otmar
Basel III: Unvollendet, aber nicht allein
Policy Letter No. 12, 2010
Hermann Remsperger Oct 2010 Policy Letter Financial Institutions 2010 Basel III, Eigenkapital, Finanzkrise, Insolvenzordnung Remsperger, Hermann
Inflation targeting matters in Asia
Policy Letter No. 11, 2010
Stefan Gerlach, Peter Tillmann Oct 2010 Policy Letter Macro Finance 2010 inflation targeting Gerlach, Stefan
Tillmann, Peter
Inflation Targeting: In Asien besonders erfolgreich
Policy Letter No. 10, 2010
Stefan Gerlach, Peter Tillmann Oct 2010 Policy Letter Macro Finance 2010 inflation targeting Gerlach, Stefan
Tillmann, Peter
Strengthening the Institutional Underpinnings of the Euro
Policy Letter No. 14, 2010
Stefan Gerlach Oct 2010 Policy Letter Macro Finance 2010 Stability and Growth Pact, fiscal policy, public debt Gerlach, Stefan
Makroprudentielle Politik zur Stabilisierung der Finanzmärkte
Policy Letter No. 9, 2010
Stefan Gerlach Aug 2010 Policy Letter Macro Finance 2010 makroprudentielle Instrumente, Regulierung Gerlach, Stefan
The Greek Sovereign Debt Crisis and ECB Policy
White Paper No. 12, 2010
Stefan Gerlach Jun 2010 White Paper Macro Finance 2010 public debt, ECB Gerlach, Stefan
Are the Golden Years of Central Banking Over? Monetary Policy after the Crisis
White Paper No. 10, 2010
Stefan Gerlach Jun 2010 White Paper Macro Finance 2010 monetary policy, public debt, central banks Gerlach, Stefan
G20 and Macroprudential Policy
Policy Letter No. 3, 2010
Stefan Gerlach Apr 2010 Policy Letter Macro Finance 2010 At the upcoming G20 meetings the issue what can be done to avoid a repetition of the current deep financial crisis will again be debated. Much attention and criticism will be directed to central banks. That is unavoidable: central banks must never again p Gerlach, Stefan
Zur Stärkung der Deutschen Bundesbank
Policy Letter No. 1, 2010
Stefan Gerlach, Emilie Yoo Mar 2010 Policy Letter Macro Finance 2010 Die zum Ende April 2010 frei werdenden zwei Vorstandsposten in der Deutschen Bundesbank haben bereits Anfang des Jahres eine lebhafte Debatte über mögliche Kandidaten ausgelöst. Die Diskussion über eine weitaus wesentlichere Frage, nämlich welche fachlich Gerlach, Stefan
Yoo, Emilie
Future Development of Global Imbalances
White Paper No. 4, 2010
Stefan Gerlach Mar 2010 White Paper Macro Finance 2010 current account balances, international monetary system, G20 Gerlach, Stefan
Defining and Measuring Systemic Risk
White Paper No. 8, 2009
Stefan Gerlach Nov 2009 White Paper Financial Institutions 2009 systemic risk, statistical risk measurement Gerlach, Stefan
Asset Prices and Monetary Policy: Some Skeptical Observations
White Paper No. 9, 2009
Stefan Gerlach Oct 2009 White Paper Macro Finance 2009 monetary policy, macroecomomic fluctuations, regulation Gerlach, Stefan
The Risk of Deflation
White Paper No. 4, 2009
Stefan Gerlach Apr 2009 White Paper Macro Finance 2009 deflation, monetary policy, fiscal policy Gerlach, Stefan
Ensuring Financial Stability: Financial Structure and the Impact of Monetary Policy and Asset Prices
White Paper No. 4, 2008
Katrin Assenmacher-Wesche, Stefan Gerlach Mar 2008 White Paper Macro Finance 2008 asset prices, monetary policy, panel VAR Assenmacher-Wesche, Katrin
Gerlach, Stefan
Can monetary policy really be used to stabilise asset prices?
Policy Letter No. 1, 2008
Stefan Gerlach Mar 2008 Policy Letter Macro Finance 2008 monetary policy, asset prices Gerlach, Stefan