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Jan Krahnen
Jan Krahnen
Professor Goethe University - retired
Verified email at wiwi.uni-frankfurt.de - Homepage
Title
Cited by
Cited by
Year
Is relationship lending special? Evidence from credit-file data in Germany
R Elsas, JP Krahnen
Journal of Banking & Finance 22 (10-11), 1283-1316, 1998
10191998
Agency theory, information, and incentives
W Ballwieser, G Bamberg, MJ Beckmann, H Bester, M Blickle, R Ewert, ...
Springer Science & Business Media, 2012
3192012
Generally accepted rating principles: A primer
JP Krahnen, M Weber
Journal of Banking & Finance 25 (1), 3-23, 2001
2962001
The German financial system
JP Krahnen, RH Schmidt
OUP Oxford, 2004
2762004
Development finance as institution building: A new approach to poverty-oriented banking
JP Krahnen
Routledge, 2022
2662022
Multiple lenders and corporate distress: Evidence on debt restructuring
A Brunner, JP Krahnen
The Review of Economic Studies 75 (2), 415-442, 2008
2622008
Default risk sharing between banks and markets: the contribution of collateralized debt obligations
G Franke, JP Krahnen
The risks of financial institutions, 603-634, 2007
2312007
Does credit securitization reduce bank risk? Evidence from the European CDO market
D Haensel, JP Krahnen
Evidence from the European CDO Market (January 29, 2007), 2007
1882007
Universal banks and relationships with firms
R Elsas, JP Krahnen
CFS Working Paper, 2003
1432003
Risk transfer with CDOs and systemic risk in banking
JP Krahnen, C Wilde
CFS Working Paper, 2006
1402006
Collateral, default risk, and relationship lending: An empirical study on financial contracting
R Elsas, JP Krahnen
CFS Working Paper, 2000
1372000
Systemic risk in an interconnected banking system with endogenous asset markets
M Bluhm, JP Krahnen
Journal of Financial Stability 13, 75-94, 2014
1352014
The future of securitization
G Franke, JP Krahnen
CFS working paper, 2008
1292008
Sunk costs und Unternehmensfinanzierung
JP Krahnen
Springer-Verlag, 2013
862013
Endogenous banks' networks, cascades and systemic risk
M Bluhm, E Faia, JP Krahnen
SAFE Working Paper, 2014
842014
The anatomy of a call market
CH Kehr, JP Krahnen, E Theissen
Journal of Financial Intermediation 10 (3-4), 249-270, 2001
732001
Der handel von kreditrisiken: eine neue dimension des kapitalmarktes
JP Krahnen
Perspektiven der Wirtschaftspolitik 6 (4), 499-519, 2005
722005
Risikomessung im kreditgeschäft: eine empirische analyse bankinterner ratingverfahren
M Weber, JP Krahnen, F Vossmann
Sonderforschungsbereich 504 Publications, 1998
711998
The coronavirus and financial stability
AWA Boot, E Carletti, R Haselmann, HH Kotz, JP Krahnen, L Pelizzon, ...
SAFE Policy Letter, 2020
692020
Scoring-Verfahren-häufige Anwendungsfehler und ihre Vermeidung
M Weber, J Krahnen, A Weber
Der Betrieb 48 (33), 1621-1626, 1995
681995
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