Marc Lange

Ruhr University of Bochum - Department of Finance and Banking

Germany

SCHOLARLY PAPERS

3

DOWNLOADS

643

SSRN CITATIONS

0

CROSSREF CITATIONS

0

Scholarly Papers (3)

1.

Determinants of Bank-Level Deposit Volatility: Evidence from the German Banking System

Number of pages: 35 Posted: 01 Nov 2016 Last Revised: 29 Nov 2016
Daniel Streit, Marc Lange and Stephan Paul
Ruhr University of Bochum - Department of Finance and Banking, Ruhr University of Bochum - Department of Finance and Banking and Ruhr University of Bochum - Faculty of Economics
Downloads 448 (100,550)

Abstract:

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Deposits, Deposit Volatility, Withdrawal Risk, Funding Liquidity Risk, Basel III Liquidity Regulation, Online Banking

2.

Consolidation in Light of Solvency II – The Impact of Mergers and Acquisitions on Insurers’ Default Risk

Number of pages: 55 Posted: 09 Apr 2019
Marc Lange
Ruhr University of Bochum - Department of Finance and Banking
Downloads 153 (293,999)

Abstract:

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Solvency II, Mergers, Consolidation, Insurers, Default risk, Distance to default, Financial Crisis

3.

Systematic Risk, Creditor Protection and Leverage – A Cross-Country Analysis

Number of pages: 50 Posted: 13 Jul 2021
Marcel Heinze, Tobias Hertel and Marc Lange
Ruhr University of Bochum - Department of Finance and Banking, Ruhr University of Bochum - Department of Finance and Banking and Ruhr University of Bochum - Department of Finance and Banking
Downloads 42 (628,327)

Abstract:

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Systematic Risk, Corporate Leverage, Capital Structure, Creditor Protection, Method of Mo-ments-Quantile Regression, Economic Downturns