Dr. Alexander Schäfer – Publications

Peer-Reviewed Journals

Schäfer, A., I. Schnabel and B. Weder di Mauro (2016), Financial sector reform after the subprime crisis: Has anything happened?, Review of Finance 20(1), 77-125.

Non-Peer Reviewed Journals

Schäfer, A. (2018), Zur Systemischen Relevanz von Investmentfonds, BAI-Newsletter I/2018,  Bundesverband für Alternative Investments, Bonn.

Andritzky, J., N. Gadatsch, T. Körner, A. Schäfer, and I. Schnabel (2016), Removing Privileges for Banks’ Sovereign Exposures – A Proposal, European Economy 1, 139-152.

Working Papers

Schäfer, A., I. Schnabel and B. Weder di Mauro (2016), Bail-in expectations for European banks: Actions speak louder than words, European Systemic Risk Board (ESRB) Working Paper No. 7, Frankfurt am Main.

Schäfer, A. (2016), A SIFI Badge for Banks in Europe: Reduction in Bail-Out Expectations or Monumental Heritage Protection?, Beiträge zur Jahrestagung des Vereins für Socialpolitik 2016: Demographischer Wandel - Session: Banks: Empirical Evidence, No. F03-V2.

Schäfer, A. (2016), Beating the Black Box of Risk-Weighted Capital: Is a Leverage Ratio Justified?, Arbeitspapier, mimeo.

Discussion Papers

Andritzky, J., N. Gadatsch, T. Körner, A. Schäfer and I. Schnabel (2016), A proposal for ending the privileges for sovereign exposures in banking regulation, VoxEU.org, 4 March 2016.

Schäfer, A., I. Schnabel and B. Weder di Mauro (2013), How have financial markets reacted to financial-sector reforms after the crisis?, VoxEU.org, 2 August 2013.