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Wolf Wagner
Wolf Wagner
Professor of Finance, Rotterdam School of Management
Zweryfikowany adres z rsm.nl - Strona główna
Tytuł
Cytowane przez
Cytowane przez
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Diversification at financial institutions and systemic crises
W Wagner
Journal of financial intermediation 19 (3), 373-386, 2010
7922010
The liquidity of bank assets and banking stability
W Wagner
Journal of Banking & Finance 31 (1), 121-139, 2007
5142007
Cross-border banking in Europe: implications for financial stability and macroeconomic policies
F Allen
CEPR, 2011
3852011
Credit risk transfer activities and systemic risk: How banks became less risky individually but posed greater risks to the financial system at the same time
R Nijskens, W Wagner
Journal of Banking & Finance 35 (6), 1391-1398, 2011
3712011
Systemic liquidation risk and the diversity–diversification trade‐off
W Wagner
The Journal of Finance 66 (4), 1141-1175, 2011
2252011
Financial innovation and bank behavior: Evidence from credit markets
L Norden, CS Buston, W Wagner
Journal of Economic Dynamics and Control 43, 130-145, 2014
1782014
The homogenization of the financial system and financial crises
W Wagner
Journal of Financial Intermediation 17 (3), 330-356, 2008
1572008
Credit risk transfer and financial sector stability
W Wagner, IW Marsh
Journal of Financial Stability 2 (2), 173-193, 2006
1572006
Loan market competition and bank risk-taking
W Wagner
Journal of Financial Services Research 37, 71-81, 2010
1472010
Credit derivatives and loan pricing
L Norden, W Wagner
Journal of banking & finance 32 (12), 2560-2569, 2008
1322008
Bank behaviour with access to credit risk transfer markets
B Goderis, IW Marsh, JV Castello, W Wagner
Bank of Finland Research Discussion Papers, 2007
1232007
Insurers as asset managers and systemic risk
A Ellul, C Jotikasthira, A Kartasheva, CT Lundblad, W Wagner
The Review of Financial Studies 35 (12), 5483-5534, 2022
1042022
Nonstandard errors
AJ Menkveld, A Dreber, F Holzmeister, J Huber, M Johannesson, ...
The Journal of Finance 79 (3), 2339-2390, 2024
932024
Supervising cross-border banks: theory, evidence and policy
T Beck, R Todorov, W Wagner
Economic Policy 28 (73), 5-44, 2013
892013
A market-based measure of credit portfolio quality and banks' performance during the subprime crisis
M Knaup, W Wagner
Management Science 58 (8), 1423-1437, 2012
822012
International taxation and cross-border banking
H Huizinga, J Voget, W Wagner
American Economic Journal: Economic Policy 6 (2), 94-125, 2014
812014
Who bears the burden of international taxation? Evidence from cross-border M&As
H Huizinga, J Voget, W Wagner
Journal of International Economics 88 (1), 186-197, 2012
802012
In the quest of systemic externalities: A review of the literature
W Wagner
CESifo Economic Studies 56 (1), 96-111, 2010
752010
Supranational supervision: how much and for whom?
T Beck, W Wagner
44th issue (June 2016) of the International Journal of Central Banking, 2018
732018
Financial development and the opacity of banks
W Wagner
Economics Letters 97 (1), 6-10, 2007
642007
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