Dorothea Schäfer

Adjungerad professor nationalekonomi
Nationalekonomi , Jönköping International Business School
Ekonomie Doktor

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Artikel

Mutarindwa, S., Schäfer, D., Stephan, A. (2024). Certification against greenwashing in nascent bond markets: lessons from African ESG bonds Eurasian Economic Review. More information
Schäfer, D., Semmler, W. (2024). Is interest rate hiking a recipe for missing several goals of monetary policy: beating inflation, preserving financial stability, and keeping up output growth? Eurasian Economic Review. More information
D’Orazio, P., Schäfer, D., Stephan, A. (2024). Macro-financial policy at the crossroad: addressing climate change, biodiversity loss, and environmental degradation - introduction to the special issue Eurasian Economic Review. More information
Schäfer, D., Stephan, A., Fuhrmeister, S. (2023). The impact of public procurement on financial barriers to general and green innovation Small Business Economics. More information
Schäfer, D., Stephan, A., Weser, H. (2023). Crisis stress for the diversity of financial portfolios: evidence from European households International Review of Economics and Finance, 83, 330-347. More information
Mutarindwa, S., Schäfer, D., Stephan, A. (2021). Differences in African banking systems: causes and consequences Journal of Institutional Economics, 17(4), 561-581. More information
Mutarindwa, S., Schäfer, D., Stephan, A. (2020). The impact of liquidity and capital requirements on lending and stability of African banks Journal of international financial markets, institutions, and money, 67. More information
Mutarindwa, S., Schäfer, D., Stephan, A. (2020). Central banks' supervisory guidance on corporate governance and bank stability: Evidence from African countries Emerging Markets Review, 43. More information
Wulandari, F., Schäfer, D., Stephan, A., Sun, C. (2018). The impact of liquidity risk on the yield spread of green bonds Finance Research Letters, 27, 53-59. More information
Schäfer, D., Schrooten, M. (2018). Geld und die Welt , 87(3), 5-8. More information
Barasinska, N., Schäfer, D. (2018). Gender role asymmetry and stock market participation – evidence from four European household surveys European Journal of Finance, 24(12), 1026-1046. More information
Schäfer, D., Stephan, A., Solórzano Mosquera, J. (2017). Family ownership: Does it matter for funding and success of corporate innovations? Small Business Economics, 48(4), 931-951. More information
Moro, R., Härdle, W., Schäfer, D. (2017). Company rating with support vector machines , 34(1-2), 55-67. More information
Kotz, H., Schäfer, D. (2017). EU Capital Markets Union: an alluring opportunity or a blind alley? The macro-perspective: CMU and risk-sharing , 86(2), 5-7. More information
Kotz, H., Schäfer, D. (2017). EU Capital Markets Union: an alluring opportunity or a blind alley? Concept and micro-perspectives of CMUs , 86(1), 5-8. More information
Schäfer, D. (2017). 10 Jahre Große Finanzkrise: Weiterhin Krisenmodus oder nachhaltige Stabilität? , 489-503. More information
Meyland, D., Schäfer, D. (2017). Risk weighting for government bonds: Challenge for Italian banks , 283-290. More information
Oei, P., Brauers, H., Kemfert, C., von Hirschhausen, C., Schäfer, D., Schmalz, S. (2017). Climate protection and a new operator: the eastern German lignite industry is changing , 63-73. More information
Schäfer, D., Stephan, A. (2017). Innovation and investment funding in the post-crisis period: have financing patterns and financial constraints of German firms changed? Vierteljahrshefte zur Wirtschaftsforschung, 86(1), 129-142. More information
Schäfer, D. (2016). Niedrigzinsen – Ursachen, Wirkungen, Ausstiegsoptionen Vierteljahrshefte zur Wirtschaftsforschung, 85(1), 5-10. More information
Schäfer, D. (2016). Finanzmärkte: Kommt 2016 der nächste Crash? DIW Wochenbericht, 28 Berlin: DIW . More information
Baum, C., Schäfer, D., Stephan, A. (2016). Credit rating agency downgrades and the Eurozone sovereign debt crises Journal of Financial Stability, 24, 117-131. More information
Schäfer, D. (2016). Regulierung der EU-Finanzmärkte Wirtschaftsdienst, 96(8), 563-570. More information
Schäfer, D. (2016). Niedrigzinsen – Ursachen, Wirkungen, Ausstiegsoptionen , 85(1), 5-10. More information
Schäfer, D. (2015). Eine Europäische Einlagensicherung ist zurzeit nicht sinnvoll Sächsische Zeitung, 20-. More information
Schäfer, D. (2015). Schütt-aus-Hol-Zurück funktioniert nicht bei Sparkassen (und anderen Banken) DIW Wochenbericht, 800- Berlin: DIW . More information
Schäfer, D. (2015). TTIP und Finanzmarktregulierung: Organisiertes Wettrennen um den niedrigsten Standard? DIW Wochenbericht, 192- Berlin: DIW . More information
Schäfer, D. (2015). »New Capital Requirements for EU Government Bonds Would Lead to Problems for Greece« DIW Economic Bulletin, 280- Berlin: DIW . More information
Schäfer, D. (2015). Hoffnung Finanztransaktionssteuer DIW Wochenbericht, 884- Berlin: DIW . More information
Hirschhausen, C., Gerbaulet, C., Kemfert, C., Reitz, F., Schäfer, D., Ziehm, C. (2015). Rückbau und Entsorgung in der deutschen Atomwirtschaft: öffentlich-rechtlicher Atomfonds erforderlich DIW Wochenbericht, 1072-1082 Berlin: DIW . More information
Nauhaus, S., Schäfer, D. (2015). Nur beschränkt nachvollziehbar: Länderratings während der Krise im Euroraum Wirtschaftsdienst, 95(10), 678-683. More information
Schäfer, D. (2015). EU-Einlagensicherung: Vorhandene Elemente verbessern Wirtschaftsdienst, 95(12), 804-. More information
Kokert, M., Schäfer, D., Stephan, A. (2014). Niedriger Leitzins: eine Chance in der Euro-Schuldenkrise , 81(7), 115-126 Berlin . More information
Barasinska, N., Schäfer, D. (2014). Is Crowdfunding Different? Evidence on the Relation between Gender and Funding Success from a German Peer-to-Peer Lending Platform The German Economic Review, 15(4), 436-452. More information
Kokert, M., Schäfer, D., Stephan, A. (2014). Low Base Interest Rates: An Opportunity in the Euro Debt Crisis DIW Economic Bulletin, 4(5), 1-13. More information
Schäfer, D., Young, B. (2013). Globale Finanzmarktregulierung und Verbraucherschutz Vierteljahrshefte zur Wirtschaftsforschung, 82(4), 45-56. More information
Klaus, B., Schäfer, D. (2013). Implicit State Guarantees Exacerbate Problem: Separated Banking System Alone Not a Solution DIW Economic Bulletin, 6(3), 3-14. More information
Schäfer, D. (2013). Sustainable Financial Markets: Financial Transaction Tax and High Capital Buffers Indispensable DIW Economic Bulletin, 3(4), 3-9. More information
Schäfer, D. (2013). Banking Supervision in the Eurozone Intereconomics. Review of European Economic Policy, 48(1), 2-3. More information
Schäfer, D. (2013). EU-Finanztransaktionssteuer und ihre Auswirkung auf Einkommens- und Vermögensverteilung Vierteljahrshefte zur Wirtschaftsforschung, 82(1), 177-190. More information
Schäfer, D., Semmler, W., Young, B. (2013). Nachhaltige europäische Konsolidierungspolitik - Chancen und Herausforderungen Vierteljahrshefte zur Wirtschaftsforschung, 82(4), 5-13. More information
Kotz, H., Schäfer, D. (2013). Rating-Agenturen: Fehlbar und überfordert Vierteljahrshefte zur Wirtschaftsforschung, 82(4), 135-162. More information
Kemfert, C., Schäfer, D. (2012). Financing the Energy Transition in Times of Financial Market Instability DIW Economic Bulletin, 2(9), 3-13. More information
Schäfer, D., Schulmeister, S., Vella, J., Masciandaro, D., Passarelli, F., Buckley, R. (2012). The financial transaction tax: Boon or bane? Intereconomics. Review of European Economic Policy, 47(2), 76-103. More information
Barasinska, N., Schäfer, D., Stephan, A. (2012). Individual risk attitudes and the composition of financial portfolios: Evidence from German household portfolios Quarterly Review of Economics and Finance, 52(1), 1-14. More information
Schäfer, D., Talavera, O., Weir, C. (2011). Entrepreneurship, windfall gains and financial constraints: Evidence from Germany Economic Modelling, 28(5), 2174-2180. More information
Baum, C., Schäfer, D., Talavera, O. (2011). The impact of the financial system's structure on firms' financial constraints Journal of International Money and Finance, 30(4), 678-691. More information
Badunenko, O., Barasinska, N., Schäfer, D. (2010). Investments: women are more cautious than men because they have less financial resources at their disposal DIW Berlin, Weekly Report, 6(1), 1-4. More information
Schäfer, D. (2009). Eine öffentliche europäische Rating-Agentur - wir brauchen sie jetzt DIW Wochenbericht, 76(38), 654-. More information
Schäfer, D., Zimmermann, K. (2009). Bad Bank(s) and Recapitalization of the Banking Sector Intereconomics. Review of European Economic Policy, 44(4), 215-225. More information

Övrigt

Mutarindwa, S., Schäfer, D., Stephan, A. . The impact of institutions and supervisory guidance on bank governance and stability: Evidence from African countries. More information

Rapport

Petreski, A., Schäfer, D., Stephan, A. (2022). Green bonds’ reputation effect and its impact on the financing costs of the real estate sector. More information
Mutarindwa, S., Schäfer, D., Stephan, A. (2020). Legal History, Institutions and Banking System Development in Africa. Essen: Global Labor Organization (GLO) More information
Wulandari, F., Schäfer, D., Stephan, A., Sun, C. (2018). Liquidity risk and yield spreads of green bonds. Berlin: DIW Berlin, German Institute for Economic Research More information
Mutarindwa, S., Schäfer, D., Stephan, A. (2018). The Impact of Institutions on Bank Governance and Stability: Evidence from African Countries. Berlin: DIW More information
Schäfer, D., Stephan, A., Khanh, T. (2017). The cost channel effect of monetary transmission: How effective is the ECB's low interest rate policy for increasing inflation?. Berlin: DIW Berlin, German Institute for Economic Research More information
Bernoth, K., Gebauer, S., Schäfer, D. (2017). Monetary policy implications of financial innovation: In-depth analysis. Berlin: DIW Berlin More information
Schäfer, D. (2016). Distributional Effects of Taxing Financial Transactions and the Low Interest Rate Environment. Berlin: DIW Berlin More information
Reifner, U. Neuberger, D. Clerc-Renaud, S. Zakaria, I. Schwizer, P. Nastansky, A. , ... Rissi R. (2016). Study on the remuneration provisions applicable to credit institutions and investment firms: Final Report. Hamburg: Institut für Finanzdienstleistungen More information
Schäfer, D., Stephan, A., Solórzano Mosquera, J. (2015). Innovation Capabilities and Financing Constraints of Family Firms. Berlin: DIW More information
Schäfer, D. (2015). Fiscal and economic impacts of a limited financial transaction tax: Final report. Berlin: DIW Berlin More information
Schäfer, D., Steiner, S. (2014). Financial Development and Employment: Evidence from Transition Countries. Berlin: DIW More information
Baum, C., Karpava, M., Schäfer, D., Stephan, A. (2014). Credit Rating Agency Downgrades and the Eurozone Sovereign Debt Crises. Berlin: DIW More information
Baum, C., Karpava, M., Schäfer, D., Stephan, A. (2014). Credit rating agency downgrades and the Eurozone sovereign debt crises. Warsaw: Economic Institute More information
Barasinska, N., Schäfer, D. (2013). Is the Willingness to Take Financial Risk a Sex-Linked Trait?: Evidence from National Surveys of Household Finance. Berlin: DIW More information
Baum, C., Karpava, M., Schäfer, D., Stephan, A. (2013). Credit rating agency announcements and the Eurozone sovereign debt crisis. Berlin: DIW Berlin More information
Schäfer, D. (2012). Nachhaltige Finanzmärkte - eine Bestandsaufnahme nach fünf Jahren Finanzkrise: Begleitpapier zur internen Anhörung der Projektgruppe Nachhaltig gestaltende Ordnungspolitik der Enquete-Kommission Wachstum Wohlsstand Lebensqualität. Berlin: DIW Berlin More information

Samlingsverk

(2009). Finanzmärkte im Umbruch – Krise und Neugestaltung. Berlin: Duncker Humblodt More information