Prof. Dr. Jan Pieter Krahnen

Prof. Dr. Jan Pieter Krahnen
Programmbereich:
Financial Intermediation, Financial Markets
Position:
Scientific Director, Senior Researcher
Institution:
SAFE/Goethe University
Telefon:
+49 69 798 33699
E-Mail:
krahnen@safe-frankfurt.de
Raum:
HoF 1.12
Webseite
Forscher/innen Titel Programmbereich Publiziert
Jan Pieter Krahnen, Laura Moretti Bail-In Clauses
Financial Regulation: A Transatlantic Perspective (Cambridge University Press)
Financial Intermediation 2015
Jan Pieter Krahnen, Felix Noth, Ulrich Schüwer Structural Reforms in Banking: The Role of Trading
Journal of Financial Regulation
Financial Intermediation 2017
Marcel Bluhm, Jan Pieter Krahnen Systemic Risk in an Interconnected Banking System with Endogenous Asset Markets
Journal of Financial Stability
Systemic Risk Lab, Macro Finance 2014
Forscher/innen Titel Publiziert
Jan Pieter Krahnen Target Balances and Financial Crises
Policy Letter No. 71
2019
Otmar Issing,
Jan Pieter Krahnen
Transcript of a Hearing before Members of the House of Lords (UK) in Frankfurt on Genuine Economic and Monetary Union and its Implication for the UK
Policy Letter No. 21
2014
Jan Pieter Krahnen The Bail-In Puzzle
Policy Letter No. 6, 2011
2011
Franklin Allen,
Jan Pieter Krahnen,
Hélène Rey
Financial Resilience Revisited: Why Consistency in Regulation is now Paramount – Across Sectors and Regions, and Over Time
Policy Letter No. 55
2017
Jan Pieter Krahnen,
Helmut Siekmann
Rettungsstrategie ohne Moral Hazard – Versuch eines Gesamtkonzepts zur Bankkrisenvermeidung
White Paper No. 2, 2010
2010
Jan Pieter Krahnen Über Scheinriesen: Was TARGET-Salden tatsächlich bedeuten Eine finanzökonomische Überprüfung
White Paper No. 56
2018
Jan Pieter Krahnen,
Katja Langenbucher,
Christian Leuz,
Loriana Pelizzon
What are the wider supervisory implications of the Wirecard case?
White Paper No. 74
2020
Jan Pieter Krahnen,
Helmut Siekmann
Rescue Strategy Without Moral Hazard – An Attempt to Provide a Master Plan for Avoiding Banking Crises
White Paper No. 3, 2010
2010
Jan Pieter Krahnen On the European Commission’s Proposal for a Structural Reform of Banking
Press Article, 2014
2014
Jan Pieter Krahnen Finanzmärkte: Mut zu radikaler Ordnungspolitik
Policy Letter No. 17
2013
Jan Pieter Krahnen Implementing Bail-In Properly
Policy Letter No. 35
2014
Günter Franke,
Jan Pieter Krahnen
Marktkräfte und Finanzstabilität: Desiderate und Anreizwirkungen eines institutionellen Rahmens für Bankenrestrukturierung
White Paper No. 13, 2012
2012
Jan Pieter Krahnen Bail-In jetzt richtig umsetzen
Policy Letter No. 34
2014
Günter Franke,
Jan Pieter Krahnen
Ein staatliches Hospital für kranke Banken
Press Article No. 2, 2010
2010
Jan Pieter Krahnen A Big Bang for Banking in Europe
Policy Letter No. 16
2013
Arnoud Boot,
Elena Carletti,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Loriana Pelizzon,
Marti Subrahmanyam
Corona and Financial Stability 3.0: Try equity -risk sharing for companies, large and small
Policy Letter No. 81
2020
Martin Götz,
Jan Pieter Krahnen,
Tobias Tröger
Taking Bail-in Seriously - The Looming Risks for Banking Policy in the Rescue of Monte dei Paschi di Siena
Policy Letter No. 54
2017
Jan Pieter Krahnen,
Loriana Pelizzon
"Predatory" Margins and the Regulation and Supervision of Central Counterparty Clearing Houses (CCPs)
White Paper No. 41
2016
Arnoud Boot,
Elena Carletti,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Loriana Pelizzon,
Marti Subrahmanyam
Corona and Financial Stability 2.0: Act jointly now, but also think about tomorrow
Policy Letter No. 79
2020
Jan Pieter Krahnen Three Theses on the Greek Crisis
Policy Letter No. 42
2015
Jan Pieter Krahnen Drei Thesen zur Griechenlandkrise
Policy Letter No. 41
2015
Andreas Hackethal,
Jan Pieter Krahnen
Kommentierung des “Entwurf eines Gesetzes zur Abschirmung von Risiken und zur Planung der Sanierung and Abwicklung von Kreditinstituten und Finanzgruppen”
Policy Letter No. 3
2013
Jan Pieter Krahnen,
Thomas Mayer
Managementvergütung im Bankensektor
Policy Letter No. 4
2013
Jan Pieter Krahnen Stellungnahme zum Referentenentwurf "Risikobegrenzungsgesetz"
White Paper No. 2, 2008
2008
Martin Götz,
Jan Pieter Krahnen,
Tobias Tröger
Five Years after the Liikanen Report: What Have We Learned?
White Paper No. 50
2017
Klaus Adam,
Thiess Büttner,
Joachim Hennrichs,
Jan Pieter Krahnen,
Jörg Rocholl
Zur Reform der Einlagensicherung: Elemente einer anreizkompatiblen Europäischen Rückversicherung
White Paper No. 66
2020
Arnoud Boot,
Elena Carletti,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Loriana Pelizzon,
Marti Subrahmanyam
Corona and Financial Stability 4.0: Implementing a European Pandemic Equity Fund
Policy Letter No. 84
2020
Jan Pieter Krahnen Kluge Finanzarchitektur zur Begrenzung des systemischen Risikos
Policy Letter No. 20, 2011
2011
Jan Pieter Krahnen Risiko muss wieder kosten
Press Article No. 9, 2011
2011
Volker Brühl,
Jan Pieter Krahnen
An open banking platform for Germany - a future-oriented alternative to a merger of Deutsche Bank / Commerzbank
Policy Letter No. 73
2019
Heinz Hilgert,
Jan Pieter Krahnen,
Günther Merl,
Helmut Siekmann
Streitschrift für eine grundlegende Neuordnung des Sparkassen- und Landesbankensektors in Deutschland
White Paper No. 1, 2011
2011
Heinz Hilgert,
Jan Pieter Krahnen,
Günther Merl,
Helmut Siekmann
On a Fundamental Reorganisation of the Landesbanks and Savings Banks Sector in Germany
White Paper No. 2, 2011
2011
Marcel Fratzscher,
Reint Gropp,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Christian Odendahl,
Beatrice Weder di Mauro,
Guntram B. Wolff
Mere criticism of the ECB is no solution
Policy Letter No. 51
2016
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Christian Leuz,
Helmut Siekmann
Eurobonds zur Bewältigung der europäischen Krise? Wegweisung zu einer modernen Entwicklungsunion
White Paper No. 7, 2011
2011
Jan Pieter Krahnen,
Loriana Pelizzon
Priorities for the CMU agenda
Policy Letter No. 85
2020
Günter Franke,
Jan Pieter Krahnen
Die Rolle von Anreizen für die Zukunfts der Kreditverbriefung
White Paper No. 5, 2009
2009
Jan Pieter Krahnen Designing the Funding Side of the Single Resolution Mechanism (SRM): A Proposal for a Layered Scheme with Limited joint Liability
White Paper No. 10
2013
Günter Franke,
Jan Pieter Krahnen
SME Funding Without Banks? On the Interplay of Banks and Markets
White Paper No. 44
2017
Otmar Issing,
Jan Pieter Krahnen,
Klaus Regling,
William White
Recommendations by the Issing Commission – Memo for the G-20 November 2011 Summit in Cannes
White Paper No. 04, 2012
2012
Jan Pieter Krahnen,
Felix Noth,
Ulrich Schüwer
Structural Reforms in Banking: The Role of Trading
White Paper No. 33
2016
Jan Pieter Krahnen,
Christian Wilde
Skin-in-the-Game in ABS Transactions: A Critical Review of Policy Options
White Paper No. 46
2017
Franklin Allen,
Jan Pieter Krahnen,
Hélène Rey
Financial resilience revisited: Why consistency in regulation is now paramount - across sectors and regions, and over time
Policy Report No. 1
2017
Rainer Haselmann,
Jan Pieter Krahnen,
Mark Wahrenburg
Evaluierung gesamt- und finanzwirtschaftlicher Effekte der Reformen europäischer Finanzmarktregulierung im deutschen Finanzsektor seit der Finanzkrise
Policy Report No.2
2019
Volker Brühl,
Jan Pieter Krahnen
Eine Open Banking Plattform für Deutschland – eine zukunftsorientierte Alternative zu einer Fusion Deutsche Bank/Commerzbank
Policy Letter No. 72
2019
Jan Pieter Krahnen,
Katja Langenbucher
The Wirecard lessons: A reform proposal for the supervision of securities markets in Europe
Policy Letter No. 88
2020
Jan Pieter Krahnen Europataugliche Einlagensicherung: Vorschlag für eine dreistufige Einlagensicherung mit begrenzter europäischer Haftung
Policy Letter No. 16, 2012
2012
Jan Pieter Krahnen Rescue by Regulation? Key Points of the Liikanen Report
White Paper No. 9
2013
Tatiana Farina,
Jan Pieter Krahnen,
Loriana Pelizzon,
Mark Wahrenburg
What are the main factors for the subdued profitability of significant banks in the Banking Union, and is the ECB’s supervisory response conclusive and exhaustive?
White Paper No. 65
2019
Volker Brühl,
Helmut Gründl,
Andreas Hackethal,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Tobias Tröger
Comments on the EU Commission’s Capital Markets Union Project
White Paper No. 27
2015
Martin Götz,
Rainer Haselmann,
Jan Pieter Krahnen,
Sascha Steffen
Waren die ELA-Notkredite der EZB für griechische Banken eine Konkursverschleppung?
Policy Letter No. 47
2015
Jan Pieter Krahnen Deposit Insurance Suitable for Europe: Proposal for a Three-Stage Deposit Guarantee Scheme with Limited European Liability
Policy Letter No. 8
2013
Otmar Issing,
Jan Pieter Krahnen
Criteria for a Workable Approach Towards Bank Levies and Bank Restructuring
White Paper No. 14, 2010
2010
Jan Pieter Krahnen Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts
White Paper No. 8
2013
Martin Götz,
Rainer Haselmann,
Jan Pieter Krahnen,
Sascha Steffen
Did Emergency Liquidity Assistance (ELA) of the ECB Delay the Bankruptcy of Greek Banks?
Policy Letter No. 46
2015
Michael Kemmer,
Jan Pieter Krahnen
Zukunft der Universalbanken
Policy Letter No. 9
2013
Arnoud Boot,
Elena Carletti,
Rainer Haselmann,
Hans-Helmut Kotz,
Jan Pieter Krahnen,
Loriana Pelizzon,
Stephen Schaefer,
Marti Subrahmanyam
The Coronavirus and Financial Stability
Policy Letter No. 78
2020
Jan Pieter Krahnen Keine Institutionenkonkurrenz auf nationaler Ebene schaffen: das „doppelte AIDA“-Modell
Policy Letter No. 30
2014
Jan Pieter Krahnen,
Helmut Siekmann
Stellungnahme zum "Restrukturierungsgesetz"
White Paper No. 20, 2010
2010
Jan Pieter Krahnen "Politiker wollen die Wahrheit nicht hören"
Policy Letter No. 7, 2011
2011
Jan Pieter Krahnen Comment on the European Parliament Draft Report on the Proposal for a Recovery and Resolution Directive
Policy Letter No. 14, 2012
2012
Jan Pieter Krahnen,
Theodor Weimer
Die Auswirkungen von Regulierung auf Bankverhalten und Wettbewerb
Policy Letter No. 12
2013
Günter Franke,
Jan Pieter Krahnen,
Thomas von Lüpke
Effective Resolution of Banks: Problems and Solutions
White Paper No. 19
2014
Otmar Issing,
Jan Pieter Krahnen,
Klaus Regling,
William White
Recommendations by the Issing Commission - Memo for the G-20 Summit in Seoul
White Paper No. 23, 2010
2010
Forscher/innen Projekt Finanziert von Status Projektdauer Publication Count
Jan Pieter Krahnen, Felix Noth, Christian Rauch, Ulrich Schüwer On the Separation of Banking Activities LOEWE Beendet 2013 1
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