@incollection{Schulte-MattlerSchulte-Mattler2020, author = {Schulte-Mattler, Hermann and Schulte-Mattler, Marius M.}, title = {Antizyklische und systemische Eigenmittelpuffer}, series = {Europ{\"a}isches Bankaufsichtsrecht}, publisher = {Frankfurt School Verlag}, address = {Frankfurt am Main}, pages = {483 -- 520}, year = {2020}, language = {de} } @article{Schulte-MattlerSchulte-Mattler2021, author = {Schulte-Mattler, Marius M. and Schulte-Mattler, Hermann}, title = {Konsultation der MaRisk 7.0}, series = {Die Bank}, volume = {2021}, number = {1}, issn = {0342-3182}, pages = {24 -- 30}, year = {2021}, language = {de} } @article{GaumertSchulte-Mattler2009, author = {Gaumert, Uwe and Schulte-Mattler, Hermann}, title = {H{\"o}here Kapitalanforderungen im Handelsbuch}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {12}, issn = {0342-3182}, pages = {7}, year = {2009}, language = {de} } @article{D{\"u}rselenSchulte-Mattler2009, author = {D{\"u}rselen, Karl and Schulte-Mattler, Hermann}, title = {Stabilisierung des Finanzsystems}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {10}, issn = {0342-3182}, pages = {8}, year = {2009}, language = {de} } @article{HahneiserSchulte-Mattler2010, author = {Hahneiser, Olaf and Schulte-Mattler, Hermann}, title = {MaRisk und interne Steuerung}, series = {Risiko Manager}, number = {15}, issn = {1861-9363}, year = {2010}, language = {de} } @article{MannsSchulte-Mattler2010, author = {Manns, Thorsten and Schulte-Mattler, Hermann}, title = {Aufsichtsfeuerwerk Basel III und CRD IV}, series = {Wertpapier-Mitteilungen}, volume = {64 (2010)}, number = {34}, issn = {0342-6971}, pages = {8}, year = {2010}, language = {de} } @article{D{\"u}rselenSchulte-Mattler2011, author = {D{\"u}rselen, Karl and Schulte-Mattler, Hermann}, title = {Dritte Novellierung der MaRisk}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {4}, issn = {0342-3182}, pages = {6}, year = {2011}, language = {de} } @article{Schulte-MattlerManns2011, author = {Schulte-Mattler, Hermann and Manns, Thorsten}, title = {CRD-IV-Regulierungspaket zur St{\"a}rkung der Widerstandsf{\"a}higkeit des Bankensektors}, series = {Wertpapier-Mitteilungen}, volume = {65 (2011)}, number = {44}, issn = {0342-6971}, pages = {1}, year = {2011}, language = {de} } @article{Schulte-Mattler2012, author = {Schulte-Mattler, Hermann}, title = {Harry Markowitz}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {3}, issn = {0342-3182}, pages = {5}, year = {2012}, language = {de} } @article{MannsSchulte-Mattler2013, author = {Manns, Thorsten and Schulte-Mattler, Hermann}, title = {Strengere Verbriefungsregeln erh{\"o}hen Kapitalanforderung}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {5}, issn = {0342-3182}, pages = {6}, year = {2013}, language = {de} } @article{Schulte-Mattler2014, author = {Schulte-Mattler, Hermann}, title = {Antizyklische und systemische Eigenmittelpuffer}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {11}, issn = {0342-3182}, pages = {8}, year = {2014}, language = {de} } @article{Schulte-MattlerNiermeier2015, author = {Schulte-Mattler, Hermann and Niermeier, Michael}, title = {CRR-Risikobereiche}, series = {Risiko Manager}, number = {20}, issn = {1861-9363}, pages = {15}, year = {2015}, language = {de} } @article{Schulte-Mattler2015, author = {Schulte-Mattler, Hermann}, title = {CRR-Risikobereiche}, series = {Risiko Manager}, number = {4}, issn = {1861-9363}, pages = {12}, year = {2015}, language = {de} } @article{Schulte-MattlerMattai2015, author = {Schulte-Mattler, Hermann and Mattai, Benjamin}, title = {CRR-Risikobereiche}, series = {Risiko Manager}, number = {16}, issn = {1861-9363}, pages = {6}, year = {2015}, language = {de} } @article{Schulte-Mattler2014, author = {Schulte-Mattler, Hermann}, title = {Zins- und Aktienpositionsrisiken}, series = {Risiko Manager}, number = {20}, issn = {1861-9363}, pages = {8}, year = {2014}, language = {de} } @article{Schulte-Mattler2014, author = {Schulte-Mattler, Hermann}, title = {Fremdw{\"a}hrungs- und Warenpositionsrisiken}, series = {Risiko Manager}, number = {15}, issn = {1861-9363}, year = {2014}, language = {de} } @article{Schulte-Mattler2015, author = {Schulte-Mattler, Hermann}, title = {CRR-Risikobereiche}, series = {Risiko Manager}, number = {21}, issn = {1861-9363}, pages = {9}, year = {2015}, language = {de} } @article{Schulte-Mattler2013, author = {Schulte-Mattler, Hermann}, title = {Risiko-Controlling und Compliance im Mittelpunkt}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {3}, issn = {0342-3182}, pages = {5}, year = {2013}, language = {de} } @article{Schulte-Mattler2009, author = {Schulte-Mattler, Hermann}, title = {Parabel zur Finanzkrise}, series = {Wirtschaftswissenschaftliches Studium}, volume = {38 (2009)}, number = {9}, issn = {0340-1650}, pages = {2}, year = {2009}, language = {de} } @article{Schulte-Mattler2009, author = {Schulte-Mattler, Hermann}, title = {{\"O}konomisches Kapital}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {4}, issn = {0342-3182}, pages = {4}, year = {2009}, language = {de} } @article{Schulte-MattlerD{\"u}rselen2009, author = {Schulte-Mattler, Hermann and D{\"u}rselen, Karl}, title = {Weiterentwicklung der europ{\"a}ischen Bankenaufsicht}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {9}, issn = {0342-3182}, pages = {5}, year = {2009}, language = {de} } @incollection{Schulte-MattlerManns2012, author = {Schulte-Mattler, Hermann and Manns, Thorsten}, title = {Das Br{\"u}sseler CRD-IV-Paket zur Umsetzung von Basel III und der Anlegerschutz}, series = {Trends im Private Banking}, publisher = {Bank-Verlag}, address = {K{\"o}ln}, pages = {20}, year = {2012}, language = {de} } @incollection{Schulte-Mattler2013, author = {Schulte-Mattler, Hermann}, title = {Aktuelle regulatorische Anforderungen an die Gesch{\"a}ftsf{\"u}hrung von Banken}, series = {Bankenregulierung : gesch{\"a}ftspolitische Herausforderung der Kreditwirtschaft}, publisher = {Frankfurt-School-Verlag}, address = {Frankfurt am Main}, pages = {28}, year = {2013}, language = {de} } @incollection{Schulte-MattlerManns2010, author = {Schulte-Mattler, Hermann and Manns, Thorsten}, title = {Bedeutung des regulatorischen und {\"o}konomischen Eigenkapitals f{\"u}r das Risikomanagement der Banken}, series = {Risikomanagement und Fr{\"u}hwarnverfahren in Kreditinstituten : aktuelle Anforderungen, Instrumente, Pr{\"u}fung}, publisher = {E. Schmidt}, address = {Berlin}, pages = {44}, year = {2010}, language = {de} } @incollection{Schulte-MattlerMeyer-Ramloch2015, author = {Schulte-Mattler, Hermann and Meyer-Ramloch, Dorothea}, title = {Bankaufsichtliche Behandlung von Kreditderivaten}, series = {Kreditderivate : Handbuch f{\"u}r die Bank- und Anlagepraxis}, publisher = {Sch{\"a}ffer-Poeschel}, address = {Stuttgart}, pages = {34}, year = {2015}, language = {de} } @incollection{Schulte-Mattler2011, author = {Schulte-Mattler, Hermann}, title = {Sieben Thesen zur Finanzkrise und erste aufsichtliche Reaktionen}, series = {Fr{\"u}hwarnindikatoren und Risikomessung : 2. Forschungssymposium an der Leuphana Universit{\"a}t L{\"u}neburg, November 2010}, publisher = {Leuphana Universit{\"a}t}, address = {L{\"u}neburg}, pages = {23}, year = {2011}, language = {de} } @incollection{Schulte-Mattler2011, author = {Schulte-Mattler, Hermann}, title = {Basel III}, series = {Fr{\"u}hwarnindikatoren und Risikomessung : 2. Forschungssymposium an der Leuphana Universit{\"a}t L{\"u}neburg, November 2010}, publisher = {Leuphana Universit{\"a}t}, address = {L{\"u}neburg}, pages = {12}, year = {2011}, language = {de} } @incollection{Schulte-MattlerD{\"u}rselen2012, author = {Schulte-Mattler, Hermann and D{\"u}rselen, Karl}, title = {Dritte Novelle der Mindestanforderungen an das Risikomanagement der Banken (MaRisk BA)}, series = {Finanzkrise 2.0 und Risikomanagement von Banken : regulatorische Entwicklungen - Konzepte f{\"u}r die Umsetzung}, publisher = {Erich Schmidt}, address = {Berlin}, pages = {26}, year = {2012}, language = {de} } @incollection{Schulte-MattlerManns2012, author = {Schulte-Mattler, Hermann and Manns, Thorsten}, title = {Basel-III-Neuerungen zur St{\"a}rkung der Widerstandskraft der Banken bei k{\"u}nftigen Finanzkrisen}, series = {Fr{\"u}hwarnindikatoren und Krisenfr{\"u}haufkl{\"a}rung : Konzepte zum pr{\"a}ventiven Risikomanagement}, publisher = {Springer Gabler}, address = {Wiesbaden}, pages = {30}, year = {2012}, language = {de} } @incollection{Schulte-Mattler2012, author = {Schulte-Mattler, Hermann}, title = {Verordnung {\"u}ber die angemessene Eigenmittelausstattung von Instituten, Institutsgruppen und Finanzholding-Gruppen (Solvabilit{\"a}tsverordnung - SolvV)}, series = {Kreditwesengesetz : Kommentar zu KWG und Ausf{\"u}hrungsvorschriften}, publisher = {Beck}, address = {M{\"u}nchen}, pages = {25}, year = {2012}, language = {de} } @incollection{Schulte-Mattler2012, author = {Schulte-Mattler, Hermann}, title = {Verordnung {\"u}ber die angemessene Eigenmittelausstattung von Instituten, Institutsgruppen und Finanzholding-Gruppen (Solvabilit{\"a}tsverordnung - SolvV)}, series = {Kreditwesengesetz : Kommentar zu KWG und Ausf{\"u}hrungsvorschriften}, publisher = {Beck}, address = {M{\"u}nchen}, pages = {66}, year = {2012}, language = {de} } @incollection{Schulte-Mattler2012, author = {Schulte-Mattler, Hermann}, title = {Verordnung {\"u}ber die angemessene Eigenmittelausstattung von Instituten, Institutsgruppen und Finanzholding-Gruppen (Solvabilit{\"a}tsverordnung - SolvV)}, series = {Kreditwesengesetz : Kommentar zu KWG und Ausf{\"u}hrungsvorschriften}, publisher = {Beck}, address = {M{\"u}nchen}, pages = {71}, year = {2012}, language = {de} } @incollection{Schulte-Mattler2010, author = {Schulte-Mattler, Hermann}, title = {Das Basel-II-Puzzle}, series = {Bankaufsichtsrecht : Entwicklungen und Perspektiven}, publisher = {Frankfurt-School-Verlag}, address = {Frankfurt am Main}, pages = {32}, year = {2010}, language = {de} } @incollection{HahneiserSchulte-Mattler2012, author = {Hahneiser, Olaf and Schulte-Mattler, Hermann}, title = {MaRisk und interne Steuerung}, series = {Risiko-Manager Jahrbuch 2012/2013}, publisher = {Bank-Verlag}, address = {K{\"o}ln}, pages = {8}, year = {2012}, language = {de} } @book{BoosFischerSchulte-Mattler2012, author = {Boos, Karl-Heinz and Fischer, Reinfrid and Schulte-Mattler, Hermann}, title = {Kreditwesengesetz}, editor = {Boos, Karl-Heinz and Fischer, Reinfrid and Schulte-Mattler, Hermann}, publisher = {Beck}, address = {M{\"u}nchen}, isbn = {978-3406624841}, pages = {L, 2916}, year = {2012}, language = {de} } @book{WeinrichSchulte-MattlerDieckh{\"o}ner2011, author = {Weinrich, G{\"u}nter and Schulte-Mattler, Hermann and Dieckh{\"o}ner, Bruno}, title = {Fr{\"u}hwarnindikatoren und Risikomessung}, editor = {Jacobs, J{\"u}rgen and Schulte-Mattler, Hermann and Weinrich, G{\"u}nter}, publisher = {Leuphana Universit{\"a}t}, address = {L{\"u}neburg}, pages = {IV, 125}, year = {2011}, language = {de} } @book{BeckerKramerSchulte-Mattler2012, author = {Becker, Axel and Kramer, Helge and Schulte-Mattler, Hermann}, title = {Finanzkrise 2.0 und Risikomanagement von Banken}, editor = {Becker, Axel and Schulte-Mattler, Hermann}, publisher = {Erich Schmidt}, address = {Berlin}, isbn = {978-3-503-13688-9}, pages = {488}, year = {2012}, language = {de} } @book{JacobsRieglerSchulte-Mattler2012, author = {Jacobs, J{\"u}rgen and Riegler, Johannes-J{\"o}rg and Schulte-Mattler, Hermann}, title = {Fr{\"u}hwarnindikatoren und Krisenfr{\"u}haufkl{\"a}rung}, editor = {Jacobs, J{\"u}rgen and Riegler, Johannes-J{\"o}rg and Schulte-Mattler, Hermann}, publisher = {Springer Gabler}, address = {Wiesbaden}, isbn = {978-3834929693}, pages = {532}, year = {2012}, language = {de} } @article{NeisenSchulte-Mattler2016, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {Neuer Baseler Standard f{\"u}r Marktrisiken}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, number = {5}, issn = {0342-3182}, pages = {5}, year = {2016}, language = {de} } @article{Schulte-MattlerD{\"u}rselen2016, author = {Schulte-Mattler, Hermann and D{\"u}rselen, Karl}, title = {Konsultation der MaRisk 6.0}, series = {Risiko Manager}, number = {4}, issn = {1861-9363}, pages = {7}, year = {2016}, language = {de} } @book{BoosFischerSchulte-Mattler2016, author = {Boos, Karl-Heinz and Fischer, Reinfrid and Schulte-Mattler, Hermann}, title = {KWG, CRR-VO}, publisher = {C. H. Beck}, address = {M{\"u}nchen}, isbn = {978-3-406-67863-9}, pages = {2088}, year = {2016}, language = {de} } @book{BoosFischerSchulte-Mattler2016, author = {Boos, Karl-Heinz and Fischer, Reinfrid and Schulte-Mattler, Hermann}, title = {KWG, CRR-VO}, publisher = {C. H. Beck}, address = {M{\"u}nchen}, isbn = {978-3-406-67863-9}, pages = {1861}, year = {2016}, language = {de} } @article{NeisenSchulte-Mattler2017, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {Keine weiteren {\"U}berraschungen: auf dem Weg von Basel III nach Basel IV (Teil 1)}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, volume = {2017}, number = {2}, issn = {0342-3182}, pages = {32 -- 39}, year = {2017}, language = {de} } @article{NeisenSchulte-Mattler2017, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {Die Risikosensitivit{\"a}t wird wachsen}, series = {Die Bank : Zeitschrift f{\"u}r Bankpolitik und Praxis}, volume = {2017}, number = {3}, issn = {0342-3182}, pages = {36 -- 41}, year = {2017}, language = {de} } @article{D{\"u}rselenSchulte-Mattler2018, author = {D{\"u}rselen, Karl and Schulte-Mattler, Hermann}, title = {Die 5. MaRisk-Novelle im {\"U}berblick, (Teil 1)}, series = {Wertpapier-Mitteilungen}, volume = {2018}, number = {27}, issn = {0342-6971}, pages = {1237 -- 1247}, year = {2018}, language = {de} } @article{D{\"u}rselenSchulte-Mattler2018, author = {D{\"u}rselen, Karl and Schulte-Mattler, Hermann}, title = {Die 5. MaRisk-Novelle im {\"U}berblick, (Teil 2)}, series = {Wertpapier-Mitteilungen}, volume = {2018}, number = {28}, issn = {0342-6971}, pages = {1289 -- 1294}, year = {2018}, language = {de} } @article{D{\"u}rselenSchulte-Mattler2018, author = {D{\"u}rselen, Karl and Schulte-Mattler, Hermann}, title = {IT-Risiko: Sch{\"a}rfung des Risikobewusstseins der Banken}, series = {Risiko-Manager}, volume = {2018}, number = {4}, issn = {1861-9363}, pages = {18 -- 26}, year = {2018}, language = {de} } @article{NeisenSchulte-Mattler2018, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {BCBS 424 als Basel-III-Endgame}, series = {Die Bank}, volume = {2018}, number = {3}, issn = {0342-3182}, pages = {42 -- 48}, year = {2018}, language = {de} } @article{Schulte-Mattler2018, author = {Schulte-Mattler, Hermann}, title = {Neuer Baseler Standardansatz f{\"u}r operationelle Risiken}, series = {Risiko-Manager}, volume = {2018}, number = {3}, issn = {1861-9363}, year = {2018}, language = {de} } @article{Schulte-MattlerAffeld2018, author = {Schulte-Mattler, Hermann and Affeld, J{\"u}rgen}, title = {Neuer Baseler Kreditrisiko-Standardansatz}, series = {Risiko-Manager}, volume = {2018}, number = {2}, issn = {1861-9363}, year = {2018}, language = {de} } @article{Schulte-MattlerD{\"u}rselen2018, author = {Schulte-Mattler, Hermann and D{\"u}rselen, Karl}, title = {Die f{\"u}nfte MaRisk-Novelle}, series = {Die Bank}, volume = {2018}, number = {2}, issn = {0342-3182}, pages = {30 -- 34}, year = {2018}, language = {de} } @article{Schulte-MattlerNeisen2018, author = {Schulte-Mattler, Hermann and Neisen, Martin}, title = {Umfangreichste {\"A}nderungen aller Zeiten}, series = {Die Bank}, volume = {2018}, number = {4}, issn = {0342-3182}, pages = {46 -- 51}, year = {2018}, language = {de} } @article{NeisenSchulte-Mattler2020, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {CRD V/CRR II: a comprehensive synopsis of the first European step towards implementing Basel IV (part I)}, series = {Journal of risk management in financial institutions}, volume = {13 (2020)}, number = {2}, issn = {1752-8887}, pages = {114 -- 125}, year = {2020}, language = {en} } @article{NeisenSchulte-Mattler2020, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {CRD V/CRR II: a comprehensive synopsis of the first European step towards implementing Basel IV (part II)}, series = {Journal of risk management in financial institutions}, volume = {13 (2020)}, number = {3}, issn = {1752-8887}, pages = {224 -- 241}, year = {2020}, language = {en} } @article{NeisenSchulte-Mattler2020, author = {Neisen, Martin and Schulte-Mattler, Hermann}, title = {Maßnahmen zur Beschr{\"a}nkung der Covid-19-Folgen f{\"u}r Institute}, series = {Die Bank}, volume = {2020}, number = {7}, issn = {0342-3182}, pages = {34 -- 41}, year = {2020}, language = {de} }