Publications of Hendrik Hakenes
All genres
Journal Article (14)
2014
Journal Article
149, pp. 43 - 64 (2014)
Looting and Risk Shifting in Banking Crises. Journal of Economic Theory
Journal Article
46 (s1), pp. 259 - 288 (2014)
Bank Bonuses and Bail-Outs. Journal of Money, Credit, and Banking 2012
Journal Article
96, pp. 218 - 225 (2012)
The Politician and his Banker. Journal of Public Economics 2011
Journal Article
113, pp. 256 - 258 (2011)
Capital Regulation, Bank Competition and Financial Stability. Economics Letters 2010
Journal Article
166, pp. 662 - 689 (2010)
The Threat of Capital Drain: A Rationale for Regional Public Banks? Journal of Institutional and Theoretical Economics 2008
Journal Article
30, pp. 1097 - 1103 (2008)
Something out of nothing? Neoclassical Growth and the "Trivial" Steady State. Journal of Macroeconomics
Journal Article
26, pp. 546 - 556 (2008)
Umbrella Branding and the Provision of Quality. International Journal of Industrial Organization 2007
Journal Article
30, pp. 171 - 180 (2007)
The Long-Run Evolution of Technological Know-ledge. Economic Theory
Journal Article
48, pp. 693 - 730 (2007)
Observable Reputation Trading. International Economic Review
Journal Article
40, pp. 351 - 380 (2007)
Regionale Banken in einer globalisierten Welt [Regional Banks in a Globalized World]. Kredit und Kapital 2006
Journal Article
39 (2), pp. 163 - 181 (2006)
Braucht Deutschland eine 'starke private deutsche Bank'? Über die Notwendigkeit nationaler Champions im Bankwesen. Kredit und Kapital 2004
Journal Article
28, pp. 2399 - 2426 (2004)
Banks as Delegated Risk Managers. Journal of Banking and Finance
Journal Article
2004 (2), pp. 87 - 91 (2004)
Der Vorteil von Autobanken, Vertrauen in die Marke herzustellen - Tochterbanken als Signal für Produktqualität. FLF
Journal Article
47, pp. 327 - 348 (2004)
From Poverty Measurement to the Measurement of Downside Risk. Mathematical Social Sciences Book Chapter (2)
2009
Book Chapter
The Regulation of Credit Derivative Markets. In: Macroeconomic Stability and Financial Regulation: Key Issues for the G20 113-127, pp. 113 - 127 (Eds. Dewatripont, M.; Freixas, X.; Portes, R.). Centre for Economic Policy Research (CEPR) (2009)
2007
Book Chapter
Welchen Einfluss haben staatliche Garantien auf die Risikoübernahme von Banken? [How Do Public Guarantees Affect Banks’ Risk-Taking?]. In: Jahrbuch der Max-Planck-Gesellschaft, pp. 199 - 202 (Ed. Max Planck Society) (2007)
Working Paper (10)
2013
Working Paper
Bank Bonuses and Bail-Outs. (2013)
2010
Working Paper
Information Disclosure, Intertemporal Risk Sharing, and Asset Prices. (2010)
Working Paper
Bankers’ Bonuses and Speculative Bubbles. (2010)
Working Paper
Competition, Risk-Shifting, and Public Bail-out Policies. (2010)
2009
Working Paper
Credit Risk Transfer and Bank Competition. (2009)
2008
Working Paper
The Politician and his Banker. (2008)
Working Paper
Umbrella Branding and External Certification. (2008)
2006
Working Paper
The Threat of Capital Drain: A Rationale for Public Banks? (2006), 33 pp.
2005
Working Paper
Bank Size and Risk-Taking under Basel II. (2005), 33 pp.
2004
Working Paper
Banks without Parachutes – Competitive Effects of Government Bail-out Policies. (2004), 36 pp.