Seguir
Reint Gropp
Reint Gropp
Institute for economic research Halle
Dirección de correo verificada de iwh-halle.de - Página principal
Título
Citado por
Citado por
Año
The determinants of bank capital structure
R Gropp, F Heider
Review of finance 14 (4), 587-622, 2010
10772010
Personal bankruptcy and credit supply and demand
R Gropp, JK Scholz, MJ White
The Quarterly Journal of Economics 112 (1), 217-251, 1997
6021997
Bank concentration and retail interest rates
S Corvoisier, R Gropp
Journal of Banking & Finance 26 (11), 2155-2189, 2002
5952002
Equity and bond market signals as leading indicators of bank fragility
R Gropp, J Vesala, G Vulpes
Journal of Money, Credit and Banking, 399-428, 2006
5282006
Deposit insurance, moral hazard and market monitoring
R Gropp, J Vesala
Review of Finance 8 (4), 571-602, 2004
4932004
Banks response to higher capital requirements: Evidence from a quasi-natural experiment
R Gropp, T Mosk, S Ongena, C Wix
The Review of Financial Studies 32 (1), 266-299, 2019
4802019
Competition, risk-shifting, and public bail-out policies
R Gropp, H Hakenes, I Schnabel
The Review of Financial Studies 24 (6), 2084-2120, 2011
4512011
The impact of public guarantees on bank risk-taking: Evidence from a natural experiment
R Gropp, C Gruendl, A Guettler
Review of Finance 18 (2), 457-488, 2014
3892014
Revenue implications of trade liberalization
R Gropp, LP Ebrill, JG Stotsky
Revenue implications of trade liberalization, 1999
3531999
The disappearing tax base: is foreign direct investment eroding corporate income taxes?
R Gropp, K Kostial
Available at SSRN 355624, 2000
2602000
The dynamics of bank spreads and financial structure
R Gropp, C Kok, JD Lichtenberger
The Quarterly Journal of Finance 4 (04), 1450014, 2014
2102014
Deposit insurance and moral hazard: does the counterfactual matter?
R Gropp, JM Vesala
Available at SSRN 277949, 2001
1892001
Trade credit defaults and liquidity provision by firms
F Boissay, R Gropp
ECB working paper, 2007
1832007
Spillover effects among financial institutions: A state-dependent sensitivity value-at-risk approach
Z Adams, R Füss, R Gropp
Journal of Financial and Quantitative Analysis 49 (3), 575-598, 2014
1812014
Payment defaults and interfirm liquidity provision
F Boissay, R Gropp
Review of Finance 17 (6), 1853-1894, 2013
1682013
Cross-border bank contagion in Europe
R Gropp, M Lo Duca, JM Vesala
ECB working paper, 2006
1642006
Rating agency actions and the pricing of debt and equity of European banks: what can we infer about private sector monitoring of bank soundness?
R Gropp, AJ Richards
Economic Notes 30 (3), 373-398, 2001
1612001
Measurement of contagion in banks’ equity prices
R Gropp, G Moerman
Journal of International Money and Finance 23 (3), 405-459, 2004
1602004
Market indicators, bank fragility, and indirect market discipline
R Gropp, JM Vesala, G Vulpes
Economic Policy Review 10 (2), 2004
1132004
Bank owners or bank managers: Who is keen on risk? Evidence from the financial crisis
R Gropp, M Köhler
Evidence from the financial crisis, 10-013, 2010
1042010
El sistema no puede realizar la operación en estos momentos. Inténtalo de nuevo más tarde.
Artículos 1–20