Følg
Martin Goetz
Tittel
Sitert av
Sitert av
År
Does the geographic expansion of banks reduce risk?
MR Goetz, L Laeven, R Levine
Journal of Financial Economics 120 (2), 346-362, 2016
2982016
Does the geographic expansion of banks reduce risk?
MR Goetz, L Laeven, R Levine
Journal of Financial Economics 120 (2), 346-362, 2016
2982016
Identifying the valuation effects and agency costs of corporate diversification: Evidence from the geographic diversification of US banks
MR Goetz, L Laeven, R Levine
The Review of Financial Studies 26 (7), 1787-1823, 2013
2732013
Competition and bank stability
MR Goetz
Journal of Financial Intermediation, 2017
2262017
Liquidity shocks, local banks, and economic activity: Evidence from the 2007-2009 crisis
MR Goetz, JC Gozzi
582010
Should the marketing of subordinated debt be restricted/different in one way or the other? What to do in the case of mis-selling?
MR Götz, T Tröger
White Paper Series, 2016
292016
Bank diversification, market structure and bank risk taking: theory and evidence from US commercial banks
MR Goetz
282012
The valuation effects of geographic diversification: Evidence from US banks
M Goetz, L Laeven, R Levine
National Bureau of Economic Research, 2011
262011
Life insurance and demographic change: An empirical analysis of surrender decisions based on panel data
I Gemmo, M Götz
ICIR Working Paper Series, 2016
212016
Multinational Banks
JL Fillat, S Garetto, M Götz
152013
Do Bank Insiders Impede Equity Issuances?
M Goetz, L Laeven, R Levine
National Bureau of Economic Research Working Paper Series, 2020
142020
Financial Constraints and Corporate Environmental Responsibility
MR Goetz
Available at SSRN 3230344, 2018
122018
Bank organization, market structure and risk taking: Theory and evidence from US commercial banks
M Goetz
Federal Reserve Bank of Boston Working Paper, May, 2010
112010
Financial Integration and the Co-Movement of Economic Activity: Evidence from US States
MR Goetz, JC Gozzi
Journal of International Economics, 2021
82021
Financial integration and business cycle synchronization: Evidence from US states
MR Goetz, JC Gozzi
Goethe University and University of Warwick unpublished working paper, 2013
82013
Fünf Jahre nach dem Liikanen-Bericht: Was haben wir gelernt?
JP Krahnen, MR Götz, TH Tröger
Perspektiven der Wirtschaftspolitik 18 (3), 205-225, 2017
72017
Fines for misconduct in the banking sector: What is the situation in the EU?
MR Götz, TH Tröger
White Paper Series, 2017
62017
Did emergency liquidity assistance (ELA) of the ECB delay the bankruptcy of Greek banks?
MR Götz, R Haselmann, JP Krahnen, S Steffen
SAFE Policy Letter, 2015
62015
Five years after the Liikanen Report: What have we learned?
M Götz, JP Krahnen, T Tröger
White Paper Series, 2017
42017
The Valuation Effects of the Geographic Diversification of US banks
MR Goetz, L Laeven, R Levin
Working Paper Available at http://www. martin-goetz. com/Goetz, Laeven …, 2012
32012
Systemet kan ikke utføre handlingen. Prøv på nytt senere.
Artikler 1–20