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, No. 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.

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, April 2016.

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.