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by Memmel, Christoph in Journal of banking & finance Vol. 35, No. 2 (2011), p. 282-290
..., their earnings from term transformation, and the dynamics of the term structure Memmel, Christoph in...
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    by Memmel, Christoph in Quantitative finance Vol. 14, No. 6 (2014), p. 1059-1068
    ... the market value perspective Memmel, Christoph in Quantitative finance Abingdon [u.a.] : Routledge Vol...
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      by Memmel, Christoph In International journal of banking, accounting and finance Vol. 1, No. 1 (2008), p. 85-104
      ... German savings and cooperative banks Christoph Memmel graph. Darst. Memmel, Christoph In International...
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        by Memmel, Christoph in Financial markets and portfolio management Vol. 27, No. 3 (2013), p. 275-297
        ... margin new measures Memmel, Christoph Schertler, Andrea in Financial markets and portfolio management...
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          by Memmel, Christoph in European financial management : the journal of the European Financial Management Association Vol. 18, No. 4 (2012), p. 602-620
          ... and Liabilities: Evidence from Germany Memmel, Christoph Schertler, Andrea in European financial...
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            by Busch, Ramona verfasserin Enthalten in Financial markets and portfolio management Vol. 30, No. 4 (2016), p. 371-396
            ... Quantifying the components of the banks' net interest margin Ramona Busch, Christoph Memmel Text txt...
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              by Kempf, Alexander in Die Betriebswirtschaft : DBW Vol. 63, No. 5 (2003), p. 516-531
              ... Portfoliotheorie: Ein analytischer und simulationsgestützter Vergleich Kempf, Alexander Memmel, Christoph in Die...
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                by Memmel, Christoph in Journal of financial intermediation Vol. 19, No. 4 (2010), p. 509-529
                ... ratios? Memmel, Christoph Raupach, Peter in Journal of financial intermediation Amsterdam [u...
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                  by Memmel, Christoph In Journal of banking regulation Vol. 7, No. 3/4 (2006), p. 310-325
                  ... aggregation Christoph Memmel and Carsten S. Wehn graph. Darst. Memmel, Christoph Wehn, Carsten S. In Journal...
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                    by Memmel, Christoph in Journal of financial stability Vol. 16 (2015), p. 232-247
                    ... drivers of default risk Memmel, Christoph Gündüz, Yalin Raupach, Peter in Journal of financial stability...
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                      by Jahn, Nadya in Schmalenbach business review : sbr Vol. 17, No. 1 (2016), p. 25-48
                      ... Memmel, Christoph Pfingsten, Andreas in Schmalenbach business review : sbr Cham : Springer Vol. 17, No. 1...
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                        by Memmel, Christoph In International journal of central banking : IJCB Vol. 8, No. 3 (2012), p. 177-206
                        ... Contagion in the interbank market with stochastic loss given default Christoph Memmel, Angelika Sachs, and...
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                          by Bornemann, Sven in Journal of banking & finance Vol. 36, No. 8 (2012), p. 2403-2416
                          ... beat earnings benchmarks? Evidence from Germany Bornemann, Sven Kick, Thomas Memmel, Christoph...
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                            by Oliver Entrop in Journal of banking & finance Vol. 54 (2015), p. 1-19
                            ... exposure is only priced in by smaller, local banks. Oliver Entrop Christoph Memmel Benedikt Ruprecht Marco...
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                              by Gaisser, Sandra in Journal of risk Vol. 14, No. 1 (2011), p. 3-41
                              ... Gaisser, Sandra Memmel, Christoph Schmidt, Rafael Wehn, Carsten S in Journal of risk London : Incisive...
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                                  by Memmel, Christoph Published Tue Jan 01 2008 01:00:00 GMT+0100 (CET)
                                  Additional Persons: ...Memmel, Christoph...

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