Claudia Maria Buch
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German economist
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Economics
Claudia Maria Buch's Degrees
- PhD Economics University of Tübingen
Why Is Claudia Maria Buch Influential?
(Suggest an Edit or Addition)According to Wikipedia, Claudia Maria Buch is a German economist who currently serves as Vice President of the Bundesbank. She previously worked as professor at the University of Tübingen and served as a member of the German Council of Economic Experts. Buch worked as scientific director at the Institut für Angewandte Wirtschaftsforschung in Tübingen and as chairperson of the economic council at the Federal Ministry of Economics and Technology. She still teaches at the Otto-von-Guericke-Universität Magdeburg. Her research focuses on regulation and supervision of banking.
Claudia Maria Buch's Published Works
Published Works
- Cross-Border Bank Mergers: What Lures the Rare Animal? (2002) (337)
- Information or Regulation: What Drives the International Activities of Commercial Banks? (2003) (265)
- Worker Remittances and Capital Flows to Developing Countries (2004) (222)
- Financial Openness and Business Cycle Volatility (2002) (213)
- Why Do Banks Go Abroad?—Evidence from German Data (2000) (207)
- Distance and International Banking (2001) (201)
- Determinants and Effects of Foreign Direct Investment: Evidence from German Firm-Level Data (2005) (190)
- Cross-Border Diversification in Bank Asset Portfolios (2004) (160)
- The distance puzzle: on the interpretation of the distance coefficient in gravity equations (2004) (157)
- In Search for Yield? Survey-Based Evidence on Bank Risk Taking (2014) (156)
- Do Banks Benefit from Internationalization? Revisiting the Market Power-Risk Nexus (2013) (153)
- Where enterprises lead, people follow? Links between migration and FDI in Germany (2006) (140)
- FDI versus exports: Evidence from German banks. (2007) (117)
- Exporting financial institutions management via foreign direct investment mergers and acquisitions (2004) (115)
- Worker Remittances and Capital Flows (2002) (112)
- Cross-Border Prudential Policy Spillovers: How Much? How Important? Evidence from the International Banking Research Network (2016) (104)
- Capital and Trade Flows in Europe and the Impact of Enlargement (2000) (103)
- Foreign direct investment in Europe: Is there redirection from the South to the East? (2003) (97)
- International Banking and Liquidity Risk Transmission: Lessons from Across Countries (2014) (92)
- Macroeconomic Factors and Micro-Level Bank Risk (2010) (91)
- Opening up for foreign banks: How Central and Eastern Europe can benefit (1997) (89)
- Do weak supervisory systems encourage bank risk-taking? (2008) (88)
- Macroeconomic Factors and Microlevel Bank Behavior (2014) (86)
- Is Europe Overbanked? (2014) (85)
- Regional origins of employment volatility: evidence from German states (2008) (82)
- Banks and Sovereign Risk: A Granular View (2015) (80)
- Size, productivity, and international banking (2011) (79)
- FDI Versus Cross-Border Financial Services: The Globalisation of German Banks (2004) (71)
- Does the East Get What Would Otherwise Flow to the South? FDI Diversion in Europe (2001) (70)
- Do Better Capitalized Banks Lend Less? Long-Run Panel Evidence from Germany (2012) (70)
- Margins of International Banking: Is There a Productivity Pecking Order in Banking, Too? (2009) (64)
- Does Export Openness Increase Firm-Level Output Volatility? (2009) (63)
- Taxing Banks: An Evaluation of the German Bank Levy (2014) (62)
- Information or Regulation: What is Driving the International Activities of Commercial Banks? (2000) (61)
- Financial Constraints and the Margins of FDI (2009) (61)
- Money demand in Hungary and Poland (2001) (56)
- Financial constraints and foreign direct investment: firm-level evidence (2014) (55)
- Exports Versus FDI Revisited: Does Finance Matter? (2010) (55)
- FDI and Domestic Investment: An Industry-Level View (2007) (53)
- Worker Remittances and Capital Flows to Developing Countries: Worker remittances (2010) (53)
- Volatile Multinationals? Evidence from the Labor Demand of German Firms (2010) (50)
- Bank-specific shocks and the real economy (2011) (49)
- Determinants of German FDI: New Evidence from Micro-Data (2003) (48)
- Uncertainty, Bank Lending, and Bank-Level Heterogeneity (2015) (46)
- Foreign versus domestic banks in Germany and the US: a tale of two markets? (2001) (46)
- Big Banks and Macroeconomic Outcomes: Theory and Cross-Country Evidence of Granularity (2013) (45)
- Low Skill but High Volatility? (2009) (45)
- Exchange Rates and FDI: Goods Versus Capital Market Frictions (2006) (45)
- The Great Risk Shift? Income Volatility in an International Perspective (2008) (44)
- Creating efficient banking systems: Theory and evidence from Eastern Europe (1996) (44)
- Labor Demand During the Crisis: What Happened in Germany? (2011) (44)
- Shocks at Large Banks and Banking Sector Distress: The Banking Granular Residual (2009) (41)
- The Euro and Cross-Border Banking: Evidence from Bilateral Data (2007) (40)
- Should I stay or should I go? Bank productivity and internationalization decisions (2014) (39)
- Openness and growth: The long shadow of the Berlin Wall (2009) (38)
- Business Cycle Volatility in Germany (2004) (37)
- Are Banks Different? Evidence from International Data (2002) (37)
- Where Enterprises Lead, People Follow? Links between Migration and German FDI (2003) (37)
- Macroeconomic Shocks and Banks' Foreign Assets (2010) (36)
- Clustering or Competition? The Foreign Investment Behaviour of German Banks (2004) (34)
- Great Moderation at the Firm Level? Unconditional vs. Conditional Output Volatility (2008) (33)
- Business Cycles and FDI: Evidence from German Sectoral Data (2005) (32)
- Towards deeper financial integration in Europe: What the Banking Union can contribute (2015) (31)
- The Integration of Imperfect Financial Markets: Implications for Business Cycle Volatility (2003) (31)
- Foreign Bank Ownership: A Bonus or Threat for Financial Stability? (2003) (31)
- The International Transmission of Monetary Policy (2018) (31)
- O¤shoring, Wages, and Employment: Evidence from data matching imports, rms, and workers (2008) (27)
- Russian Monetary Policy: Assessing the Track Record (1998) (27)
- Forbearance, Resolution and Deposit Insurance (2012) (25)
- Financial Integration in Europe and Banking Sector Performance (2003) (25)
- Granularity in Banking and Growth: Does Financial Openness Matter? (2013) (25)
- Capital mobility and EU enlargement (1999) (25)
- Banking globalization: international consolidation and mergers in banking (2008) (25)
- Drivers of Systemic Risk: Do National and European Perspectives Differ? (2019) (25)
- Crises, Rescues, and Policy Transmission Through International Banks (2011) (25)
- Financial Market Integration in the US: Lessons for Europe? (2002) (24)
- Twin crises and the intermediary role of banks (1999) (22)
- Disentangling Barriers to Internationalization (Démêler Les Barrières À L’Internationalisation) (2012) (20)
- Better banks for Eastern Europe (1992) (20)
- International Bank Portfolios: Short- and Long-Run Responses to Macroeconomic Conditions (2010) (20)
- Changing Forces of Gravity: How the Crisis Affected International Banking (2013) (19)
- Barriers to internationalization: Firm-level evidence from Germany (2009) (19)
- Capital Market Integration in Euroland: The Role of Banks (2000) (18)
- Data needs and statistics compilation for macroprudential analysis (2017) (18)
- Determinants of short-term debt: a note (2003) (17)
- Does Trade Openness Increase Firm-Level Volatility? (2006) (16)
- Business Cycle Volatility and Globalization: A Survey (2002) (16)
- Overcoming obstacles to successful reforms in economies in transition (1994) (16)
- Globalization of Financial Markets: Causes of Incomplete Integration and Consequences for Economic Policy (2004) (15)
- Consumption volatility and financial openness (2010) (14)
- Taxing short-term capital flows - An option for transition economies? (1998) (13)
- The Effectiveness of Capital Controls: The Case of Slovenia (2000) (13)
- LABOR MARKET VOLATILITY, SKILLS, AND FINANCIAL GLOBALIZATION (2013) (13)
- Banking Market Structure and Macroeconomic Stability: Are Low‐Income Countries Special? (2015) (12)
- Determinants of Short-Term Debt (2000) (12)
- Real and Financial Integration in Europe - Evidence for the Accession States and for the Pre-Ins (1999) (12)
- Heterogeneity in lending and sectoral growth: evidence from German bank-level data (2006) (12)
- Governance and Restructuring of Commercial Banks (2002) (11)
- International Diversification in Bank Asset Portfolios (2002) (11)
- Domestic and Foreign Banks in Germany: Do They Differ? (2000) (10)
- What Determines Maturity? An analysis of German Commercial Banks' foreign Assets (2003) (10)
- Macroeconomic Shocks and Foreign Bank Assets (2005) (10)
- Introduction by the Guest Editors (1999) (10)
- Handling Banking Crises - The Case of Russia (1999) (9)
- Economic Integration and FDI in Transition Economies: What Can We Learn from German Data? (2003) (9)
- Trade's Impact on the Labor Share: Evidence from German and Italian Regions (2008) (8)
- Foreign competition and disintermediation: no threat to the German banking system? (2000) (8)
- Who Goes East? The Impact of Enlargement on the Patterns of German Fdi (2006) (8)
- Openness and income disparities: does trade explain the “Mezzogiorno effect”? (2010) (8)
- From the internal market to a banking union: A proposal by the German Council of Economic Experts (2012) (8)
- Growth, volatility, and credit market imperfections: evidence from German firms (2008) (8)
- The Value of Waiting: Russia's Integration into the International Capital Markets (1999) (8)
- Cross-Border Banking and Transmission Mechanisms: The Case of Europe (2001) (8)
- Banking and balance of payments crises: On possible causes of the twin crises (1998) (7)
- An institutional approach to banking reform in Eastern Europe (1993) (7)
- International Banking and the Allocation of Risk (2007) (7)
- Southern enlargement of the European Union and capital account liberalization: Lessons for Central and Eastern Europe (1998) (7)
- Russia's Debt Crisis and the Unofficial Economy (2000) (7)
- Crises and Rescues: Liquidity Transmission Through International Banks (2016) (7)
- Real versus Financial Barriers to Multinational Activity (2008) (7)
- Towards Universal Banking - Risks and Benefits for Transition Economies (1997) (7)
- Dealing with bad debt: Lessons from Eastern Europe (1994) (7)
- Under-Regulated and Over-Guaranteed? International Bank Mergers and Bank Risk-Taking (2004) (7)
- Evaluating Macroprudential Policies (2018) (6)
- Are post-crisis statistical initiatives completed? (2019) (6)
- Foreign Capital and Economic Transformation: Risks and Benefits of Free Capital Flows (1999) (6)
- Short-Term Capital, Economic Transformation, and EU Accession (2002) (6)
- The end of the Czech miracle? Currency crisis reveals need for institutional reforms (1997) (6)
- The role of banks: Evidence from Germany and the US (1997) (6)
- Do we need new modelling approaches in macroeconomics (2014) (5)
- Macroprudential policy in a currency union (2018) (5)
- Global Banking: Toward an Assessment of Benefits and Costs (2020) (5)
- Financial Market Integration in a Monetary Union (2001) (5)
- Crises and Rescues: Liquidity Transmission through Global Banks (2018) (5)
- In Search for Yield? New Survey-Based Evidence on Bank Risk Taking (2011) (5)
- Effort and Redistribution: Better Cousins Than One Might Have Thought (2014) (5)
- Banking deregulation, macroeconomic dynamics and monetary policy (2022) (4)
- Uncertainty and International Banking (2015) (4)
- Insolvency costs and incomplete information in commercial banks: Implications for financial reform in Eastern Europe (1994) (4)
- The emerging financial systems of the Eastern European economics: A progress report (1995) (4)
- Bank Portfolios in Euroland (2001) (4)
- Chilean-type capital controls: A building block of the new international financial architecture? (1999) (4)
- Complexity and riskiness of banking organizations: Evidence from the International Banking Research Network (2021) (4)
- Capital flows to transition economies: how risky is financial integration? (2001) (4)
- Securing Financial Stability: Problems and Prospects for New EU Members (2003) (4)
- International Bank Portfolios: Short- and Long-Run Responses to the Business Cycle (2007) (3)
- Banking reform in Eastern Europe: An institutional approach (1993) (3)
- International Prudential Policy Spillovers: Evidence from the International Banking Research Network (2017) (3)
- Diversification of banks' International portfolios: evidence and policy lessons (2009) (3)
- The Tradeoff between Redistribution and Effort: Evidence from the Field and from the Lab (2012) (3)
- Monetary policy and the transformation of the banking system in Eastern Europe (1995) (3)
- Barriers to exporting: Firm-Level Evidence from Germany (2008) (3)
- Crises and Rescues: Monetary Policy Transmission Through International B nks (2013) (2)
- Mini-Symposium on International Banking (2015) (2)
- From the Stability Pact to ESM - What next? (2012) (2)
- Financing the transition: Risks and benefits of integrating into the international capital market (1997) (2)
- Claudia Buch: Finance and growth - guidelines for financial sector reform (2015) (2)
- Determinants of Cross-Border Bank Mergers: Is Europe Different? (2003) (2)
- Macroeconomic factors and microeconomic bank risk (2012) (2)
- Claudia Buch: Can technology and innovation help? New data generating possibilities (2018) (2)
- The ESRB at 1 (2012) (2)
- Theory and Cross-Country Evidence of Granularity (2013) (2)
- From the Stability Pact to ESM - What Next?: Illusion or Feasible Concept? (2013) (2)
- The Consequences of the Single Supervisory Mechanism for Europe's Macro-Prudential Policy Framework (2013) (2)
- Energy Solutions in the 21st Century (2000) (2)
- What Determines Maturity? An Analysis for Foreign Assets of German Commercial Banks (2000) (2)
- Claudia Buch: The banking union - setting the course for better integrated and more stable financial markets in Europe? (2014) (2)
- Financial Flows to Transitional Economies in an Integrated Europe (1999) (2)
- Cross-border banking and transmission mechanisms in Europe: evidence from German data (2004) (2)
- European financial integration and corporate governance (2002) (2)
- Claudia Buch: Evaluating financial sector reforms - a joint task for academia and policymakers (2017) (1)
- Bank behavior and bad loans: Implications for reforms in Eastern Europe (1995) (1)
- EXTERNAL AND INTERNAL FINANCIAL STRUCTURES IN EUROPE: A CORPORATE FINANCE PERSPECTIVE (2003) (1)
- Banking Market Structure and Macroeconomic Stability: Are Low-Income Countries Special? (2014) (1)
- Too-big-to-fail and funding costs: A repository of research studies (2020) (1)
- The Political Economy of Banking Reform and Foreign Debt (2002) (1)
- Firm-Specific Factor Market Constraints and FDI: Evidence from Germany (2009) (1)
- Claudia Buch: Completing the Banking and Capital Markets Union - where do we stand? (2016) (1)
- International spillovers of monetary policy through global banks: introduction to the special issue (2019) (1)
- Has Labor Income Become More Volatile? Evidence from International Industry-Level Data (2013) (1)
- Banking Reform in Central Europe : Entering the Second Stage (1996) (0)
- Version Russian monetary policy : Assessing the track record (2009) (0)
- Claudia Buch: Policy evaluation - assessing the effects of post-crisis financial sector reforms (2019) (0)
- Mario I. Blejer and Marko Skreb, Financial Sector Transformation--Lessons from Economies in Transition (2000) (0)
- Make Your Capital Mobility and EU Enlargement (0)
- International Banking and Liquidity Risk Transmission: Lessons from Across Countries (2015) (0)
- Heterogeneity and FDI : Evidence from German Firm-Level Data * (2003) (0)
- John Bonin, Kalman Mizsei, Istvan Szekely, and Paul Wachtel, Banking in Transition Economies: Developing Market Oriented Banking Sectors in Eastern Europe (1999) (0)
- Claudia Buch: Evidence-based policy - progress and next steps (2019) (0)
- Claudia Buch: Welcoming remarks - Macroprudential Conference 2019 (2019) (0)
- Multinational Firms and New Protectionisms (2007) (0)
- Claudia Buch: Economic challenges facing Europe and the world - policy priorities of the Italian G7 presidency and German G20 presidency in 2017 (2017) (0)
- Claudia Buch: Keynote address "Are post-crisis statistical initiatives completed?" (2018) (0)
- Claudia Buch: Experience and evidence (2018) (0)
- International Capital Flows , Economic Growth and Financial Market Efficiency Lusine Lusinyan (2002) (0)
- Implications of the too-big-to-fail reforms (2020) (0)
- Book reviews (1997) (0)
- Claudia Buch: Have the main advanced economies become more resilient to real and financial shocks? (2018) (0)
- Claudia Buch: Evidence-based policy - potentials, infrastructures and the role of international organizations (2019) (0)
- Claudia Buch: A changing economy - should policymakers act? (2020) (0)
- Project funded under the Socio-economic Sciences and Humanities (2010) (0)
- Russian monetary policy : Assessing the track record Kiel (2009) (0)
- Claudia Buch: Macroprudential policy in Europe - the German Countercyclical Capital Buffer (CCyB) (2019) (0)
- Claudia Buch: Financial literacy and financial stability (2018) (0)
- Claudia Buch: Financial stability and credit markets in Europe - opportunities and risks in the current setting (2018) (0)
- Consumption Volatility and Financial Markets (2005) (0)
- Regional origins of employment volatility: evidence from German states (2011) (0)
- Claudia Buch: Presentation of the 2014 Financial Stability Review (2014) (0)
- Financial constraints and foreign direct investment: firm-level evidence (2014) (0)
- Why macroprudential policy matters in a monetary union (2021) (0)
- Claudia Buch: European banks in challenging times (2017) (0)
- Claudia Buch: How can we protect economies from financial crises? (2017) (0)
- Claudia Buch: Public hearing on the Review of the EU Macro-Prudential Framework - panel discussion (2016) (0)
- Claudia Buch: Digitalization, competition, and financial stability (2019) (0)
- Claudia Buch: Macroprudential policy in a monetary union (2019) (0)
- Book Reviews (1994) (0)
- Macroeconomic Factors and Bank Risk (2010) (0)
- 2 Domestic and Foreign Banks in Germany : Do They Differ ? (2000) (0)
- Claudia Buch: The Deutsche Bundesbank's 2017 Financial Stability Review (2016) (0)
- Commentary: Competition, Stability and Efficiency in Financial Markets (2019) (0)
- Uncertainty, Bank Lending, and Bank-Level Heterogeneity (2015) (0)
- Mini-Symposium on International Banking (2015) (0)
- Employment and Income Eff ects of Improved Cook Stove and Pico-Solar Interventions An Impact Evaluation of the EnDev Kenya Programme Endbericht – April 2016 (2016) (0)
- The Euro, the European Financial Industry and its Supervisors (2005) (0)
- Gerard Roland, Transition and Economics: Politics, Markets, and Firms (2001) (0)
- Capital Mobility in Euroland ; The Role of Banks (1999) (0)
- Book reviews (1996) (0)
- Claudia Buch: The Deutsche Bundesbank's Financial Stability Review 2015 (2015) (0)
- Micro data: making better use through data sharing (2017) (0)
- Banking Globalization (2019) (0)
- Macroprudential policy in a currency union (2018) (0)
- European Banks in Challenging Times (2017) (0)
- The Interaction of Productivity and Financial Constraints: Firm-Level Evidence on Barriers to International Activity (2008) (0)
- Claudia Buch: Risks and resilience in the financial system - a German perspective (2020) (0)
- Claudia Buch: Evaluation and macroprudential policy (2015) (0)
- Preliminary version – please do not quote ! Comments are welcome ! “ Great Moderation ” at the Firm-Level ? Unconditional vs . Conditional Volatility (2008) (0)
- Consumer preferences and the reliability of Euler equation tests of capital mobility: some simulation-based evidence (2002) (0)
- Claudia Buch: Capital Markets Union - a central banking perspective on the way forward (2019) (0)
- Claudia Buch: Welcome speech at the G20 Workshop on Data Sharing (2017) (0)
- IAW-Diskussionspapiere Discussion Paper 33 Multinational Firms and New Protectionisms (2007) (0)
- Claudia Buch: Opening speech - 15th Meeting of the Ottawa Group (2017) (0)
- Claudia Buch: The future of the euro area - the perspective of central banks (2018) (0)
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