Group by: Creators | Item Type | Date
Jump to: B | C | D | E | F | G | L | M | N | R
Number of items at this level: 21.

B

Becht, MarcoIdRef, Bolton, PatrickIdRef and Roell, AilsaIdRef (2011) Why Bank Governance is Different. Oxford Review of Economic Policy, 27 (3). pp. 437-463.

Biais, BrunoIdRef, Heider, FlorianIdRef and Hoerova, Marie (2017) Optimal margins and equilibrium prices. TSE Working Paper, n. 17-819, Toulouse

Biais, BrunoIdRef, Heider, FlorianIdRef and Hoerova, Marie (2016) Risk-sharing or risk-taking? Counterparty-risk, incentives and margins. Journal of Finance, 71 (4). pp. 1669-1698.

C

Cerasi, Vittoria, Chizzolini, BarbaraIdRef and Ivaldi, MarcIdRef (2009) The Impact of Mergers on the Degree of Competition in the Banking Industry. TSE Working Paper, n. 09-113, Toulouse

Cerasi, Vittoria, Chizzolini, BarbaraIdRef and Ivaldi, MarcIdRef (2019) A test of the impact of mergers on bank competition. Economic Notes, vol. 48 (n° 2). pp. 1-27.

Coen, Jamie, Coen, PatrickIdRef and Hüser, Anne-Caroline (2024) Collateral Demand in Wholesale Funding Markets. TSE Working Paper, Toulouse

D

Dewatripont, MathiasIdRef and Tirole, JeanIdRef (2012) Macroeconomic Shocks and Banking Regulation. Journal of Money, Credit and Banking, 44. pp. 237-254.

E

Efing, Matthias, Hau, Harald, Kampkötter, Patrick and Rochet, Jean-CharlesIdRef (2023) Bank Bonus Pay as a Risk Sharing Contract. Review of Financial Studies, vol. 36 (n° 1). pp. 235-280.

F

Farhi, EmmanuelIdRef and Tirole, JeanIdRef (2021) Shadow banking and the four pillars of traditional financial intermediation. The Review Of Economic Studies, vol. 88 (n° 6). pp. 2622-2653.

Farhi, EmmanuelIdRef and Tirole, JeanIdRef (2025) Too Domestic to Fail: Liquidity Provision and National Champions. Review of Economic Studies, vol.92 (n°1). pp. 268-298.

Fève, PatrickIdRef, Garcia Sanchez, PabloIdRef, Moura, AlbanIdRef and Pierrard, Olivier (2021) Costly default and skewed business cycle. European Economic Review, vol. 132.

G

Gersbach, HansIdRef and Rochet, Jean-CharlesIdRef (2012) Aggregate Investment Externalities and Macroprudential Regulation. Journal of Money, Credit and Banking, 44. pp. 73-109.

Gersbach, HansIdRef and Rochet, Jean-CharlesIdRef (2017) Capital regulation and credit fluctuations. Journal of Monetary Economics, vol. 90. pp. 113-124.

Gersbach, HansIdRef, Rochet, Jean-CharlesIdRef and Scheffel, Martin (2022) Financial Intermediation, Capital Accumulation, and Crisis Recovery. Review of Finance.

Gersbach, HansIdRef, Rochet, Jean-CharlesIdRef and Scheffel, Martin (2023) Financial Intermediation, Capital Accumulation, and Crisis Recovery. International Review of Economics & Finance, vol.27 (n°4). pp. 1423-1469.

Guembel, AlexanderIdRef and Sussman, Oren (2010) Liquidity, Contagion and Financial Crisis. TSE Working Paper, n. 10-240, Toulouse

L

Landier, AugustinIdRef and Ueda, Kenichi (2009) True Taxpayer Burden of Bank Restructuring. TSE Working Paper, n. 10-238, Toulouse

M

Magnac, ThierryIdRef (2017) ATM foreign fees and cash withdrawals. Journal of Banking and Finance, 78. pp. 117-129.

N

Nguyen, Phuong Anh and Simioni, MichelIdRef (2015) Productivity and efficiency of Vietnamese banking system: new evidence using Färe-Primont index analysis. Applied Economics, vol.47 (n°41). pp. 4395-4407.

R

Rochet, Jean-CharlesIdRef (2004) Macroeconomic Shocks and Banking Supervision. IDEI Working Paper, n. 276

Rochet, Jean-CharlesIdRef and Vives, XavierIdRef (2004) Coordination Failures and the Lender of Last Resort : Was Bagehot Right After All? IDEI Working Paper, n. 294

This list was generated on Fri May 9 05:15:56 2025 CEST.