The Basel II Accord: Internal Ratings and Bank Differentiation By Anna Polanska|2022-05-24T18:10:20+02:00May 24, 2022|Working Papers|0 Comments Read More
The Reform of October 1979: How It Happened and Why By Anna Polanska|2022-05-24T18:09:40+02:00May 24, 2022|Working Papers|0 Comments Read More
Practical Volatility and Correlation Modeling for Financial Market Risk Management By Anna Polanska|2022-05-24T18:08:55+02:00May 24, 2022|Working Papers|0 Comments Read More
Modeling Bond Yields in Finance and Macroeconomics By Anna Polanska|2022-05-24T18:08:32+02:00May 24, 2022|Working Papers|0 Comments Read More
A Framework for Exploring the Macroeconomic Determinants of Systematic Risk By Anna Polanska|2022-05-24T18:07:52+02:00May 24, 2022|Working Papers|0 Comments Read More
Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes By Anna Polanska|2022-05-24T18:07:14+02:00May 24, 2022|Working Papers|0 Comments Read More
Default Risk Sharing Between Banks and Markets: The Contribution of Collateralized Debt Obligations By Anna Polanska|2022-05-24T18:06:50+02:00May 24, 2022|Working Papers|0 Comments Read More
Competitive Risk Sharing Contracts with One-Sided Commitment By Anna Polanska|2022-05-24T18:06:08+02:00May 24, 2022|Working Papers|0 Comments Read More
Volatility Forecasting By Anna Polanska|2022-05-24T18:05:45+02:00May 24, 2022|Working Papers|0 Comments Read More
Assessing Central Bank Credibility During the ERM Crises: Comparing Option and Spot Market-Based Forecasts By Anna Polanska|2022-05-24T18:04:56+02:00May 24, 2022|Working Papers|0 Comments Read More