Sascha Steffen
Title
Cited by
Cited by
Year
The “greatest” carry trade ever? Understanding eurozone bank risks
VV Acharya, S Steffen
Journal of Financial Economics 115 (2), 215-236, 2015
732*2015
Global retail lending in the aftermath of the US financial crisis: Distinguishing between supply and demand effects
M Puri, J Rocholl, S Steffen
Journal of Financial Economics 100 (3), 556-578, 2011
6612011
The costs of being private: Evidence from the loan market
A Saunders, S Steffen
The Review of Financial Studies 24 (12), 4091-4122, 2011
3142011
The total cost of corporate borrowing in the loan market: Don't ignore the fees
T Berg, A Saunders, S Steffen
The Journal of Finance 71 (3), 1357-1392, 2016
2512016
Syndication, interconnectedness, and systemic risk
J Cai, F Eidam, A Saunders, S Steffen
Journal of Financial Stability 34, 105-120, 2018
1772018
What do a million observations have to say about loan defaults? Opening the black box of relationships
M Puri, J Rocholl, S Steffen
Journal of Financial Intermediation 31, 1-15, 2017
120*2017
On syndicate composition, corporate structure and the certification effect of credit ratings
O Bosch, S Steffen
Journal of Banking & Finance 35 (2), 290-299, 2011
107*2011
European banking supervision: the first eighteen months
D Schoenmaker, N Véron
Blueprint, 2016
892016
A capital structure channel of monetary policy
B Grosse-Rueschkamp, S Steffen, D Streitz
Journal of Financial Economics 133 (2), 357-378, 2019
87*2019
The risk of being a fallen angel and the corporate dash for cash in the midst of COVID
VV Acharya, S Steffen
The Review of Corporate Finance Studies 9 (3), 430-471, 2020
722020
Government guarantees and bank risk taking incentives
M Fischer, C Hainz, J Rocholl, S Steffen
eSMT Working Paper, 2014
712014
Falling short of expectations? Stress-testing the European banking system
VV Acharya, S Steffen
Stress-Testing the European Banking System (January 15, 2014). CEPS Policy Brief, 2014
702014
Falling short of expectations? Stress-testing the European banking system
VV Acharya, S Steffen
Stress-Testing the European Banking System (January 15, 2014). CEPS Policy Brief, 2014
702014
A zero-risk weight channel of sovereign risk spillovers
K Kirschenmann, J Korte, S Steffen
Journal of Financial Stability 51, 100780, 2020
64*2020
Determinants of bank liquidity creation
C Rauch, S Steffen, A Hackethal, M Tyrell
Available at SSRN 1343595, 2010
582010
Exit strategies of buyout investments: an empirical analysis
DM Schmidt, S Steffen, F Szabo
The Journal of Alternative Investments 12 (4), 58-84, 2010
542010
Does the lack of financial stability impair the transmission of monetary policy?
VV Acharya, B Imbierowicz, S Steffen, D Teichmann
Journal of Financial Economics 138 (2), 342-365, 2020
462020
Lender of last resort versus buyer of last resort: Evidence from the European sovereign debt crisis
VV Acharya, D Pierret, S Steffen
University of Geneva, 2018
452018
Europe's Untapped Capital Market: Rethinking financial integration after the crisis
D Valiante, C Amariei, JM Frie
Rowman & Littlefield International, 2016
452016
Analyzing systemic risk of the European banking sector
VV Acharya, S Steffen
Handbook on Systemic Risk, JP Fouque and J. Langsam, eds., Cambridge …, 2012
432012
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Articles 1–20