Prof. Tonzer

Prof. Dr. Lena Tonzer

Fakultät für Wirtschaftswissenschaft (FWW)
Lehrstuhl VWL, insb. Makroökonomik
Universitätsplatz, 2, 39106 Magdeburg, G22C-113
Publikationen

2023

Begutachteter Zeitschriftenartikel

Cultural norms and corporate fraud - evidence from the Volkswagen scandal

Hasan, Iftekhar; Noth, Felix; Tonzer, Lena

In: Journal of corporate finance - [Amsterdam] : Elsevier Science, Bd. 82 (2023), Artikel 102443

2022

Begutachteter Zeitschriftenartikel

Understanding climate activism - who participates in climate marches such as “Fridays for Future” and what can we learn from it?

Noth, Felix; Tonzer, Lena

In: Energy research & social science - Amsterdam ˜[u.a.]œ : Elsevier, Bd. 84 (2022), Artikel 102360

Begutachteter Zeitschriftenartikel

Completing the European Banking Union: Capital cost consequences for credit providers and corporate borrowers

Krause, Thomas; Koetter, Michael; Sfrappini, Eleonora; Tonzer, Lena

In: European Economic Review

Begutachteter Zeitschriftenartikel

Financial Linkages and Sectoral Business Cycle Synchronization: Evidence from Europe

Böhm, Hannes; Schaumburg, Julia; Tonzer, Lena

In: IMF Economic Review, Springer Science and Business Media LLC, Bd. 70, Heft 4, S. 698-734, http://dx.doi.org/10.1057/s41308-022-00173-9

Begutachteter Zeitschriftenartikel

A Note of Caution on Quantifying Banks' Recapitalization Effects

SCHMIDT, KIRSTEN; NOTH, FELIX; TONZER, LENA

In: Journal of Money, Credit and Banking, Wiley, Bd. 54, Heft 4, S. 1123-1133, http://dx.doi.org/10.1111/jmcb.12893

Begutachteter Zeitschriftenartikel

Firm‐specific forecast errors and asymmetric investment propensity

Buchholz, Manuel; Tonzer, Lena; Berner, Julian

In: Economic Inquiry, Wiley, Bd. 60, Heft 2, S. 764-793, http://dx.doi.org/10.1111/ecin.13045

2021

Begutachteter Zeitschriftenartikel

Macroprudential policy and intra-group dynamics: The effects of reserve requirements in Brazil

Becker, Chris; Ossandon Busch, Matias; Tonzer, Lena

In: Journal of Corporate Finance, Elsevier BV, Bd. 71, S. 102096, http://dx.doi.org/10.1016/j.jcorpfin.2021.102096

Begutachteter Zeitschriftenartikel

Monetary policy through exchange rate pegs: The removal of the Swiss franc‐Euro floor and stock price reactions

von Schweinitz, Gregor; Tonzer, Lena; Buchholz, Manuel

In: International Review of Finance, Wiley, Bd. 21, Heft 4, S. 1382-1406, http://dx.doi.org/10.1111/irfi.12332

2020

Begutachteter Zeitschriftenartikel

Do conventional monetary policy instruments matter in unconventional times?

Buchholz, Manuel; Schmidt, Kirsten; Tonzer, Lena

In: Journal of Banking & Finance, Elsevier BV, Bd. 118, S. 105858, http://dx.doi.org/10.1016/j.jbankfin.2020.105858

Begutachteter Zeitschriftenartikel

Interactions between bank levies and corporate taxes: How is bank leverage affected?

Bremus, Franziska; Schmidt, Kirsten; Tonzer, Lena

In: Journal of Banking & Finance, Elsevier BV, Bd. 118, S. 105874, http://dx.doi.org/10.1016/j.jbankfin.2020.105874

2019

Begutachteter Zeitschriftenartikel

Elevated Uncertainty during the Financial Crisis: Do Effects on Subjective Well-Being Differ across European Countries?

Tonzer, Lena

In: The B.E. Journal of Economic Analysis & Policy, Walter de Gruyter GmbH, Bd. 19, Heft 2, http://dx.doi.org/10.1515/bejeap-2018-0099

Begutachteter Zeitschriftenartikel

Delay determinants of European Banking Union implementation

Koetter, Michael; Krause, Thomas; Tonzer, Lena

In: European journal of political economy - Amsterdam [u.a.] : Elsevier, Bd. 58 (2019), S. 1-20

Begutachteter Zeitschriftenartikel

Drivers of systemic risk: Do national and European perspectives differ?

Buch, Claudia M.; Krause, Thomas; Tonzer, Lena

In: Journal of International Money and Finance, Elsevier BV, Bd. 91, S. 160-176, http://dx.doi.org/10.1016/j.jimonfin.2018.11.005

2017

Begutachteter Zeitschriftenartikel

Complexity and bank risk during the financial crisis

Krause, Thomas; Sondershaus, Talina; Tonzer, Lena

In: Economics Letters, Elsevier BV, Bd. 150, S. 118-121, http://dx.doi.org/10.1016/j.econlet.2016.11.026

2016

Artikel in Zeitschrift

Taxing banks - an evaluation of the German Bank Levy

Buch, Claudia M.; Hilberg, Björn; Tonzer, Lena

In: Journal of banking and finance - Amsterdam : Elsevier North-Holland, Bd. 72 (2016), S. 52-66

Artikel in Zeitschrift

Bank risk proxies and the crisis of 2007/09 - a comparison

Noth, Felix; Tonzer, Lena

In: Applied economics letters - Abingdon : Routledge, Bd. 23 (2016), S. 1-4

Artikel in Zeitschrift

2nd IWH-FIN-FIRE Workshop on Challenges to Financial Stability ein Tagungsbericht

Tonzer, Lena

In: Wirtschaft im Wandel - Halle, S. : IWH - 22(2016)5, S. 107

Artikel in Zeitschrift

Aktuelle Trends - Turbulenzen an den Finanzmärkten vor und nach dem Brexit-Referendum

Tonzer, Lena

In: Wirtschaft im Wandel - Halle, S. : IWH - 22(2016)3, S. 48

Begutachteter Zeitschriftenartikel

Sovereign Credit Risk Co-Movements in the Eurozone: Simple Interdependence or Contagion? - Sovereign Credit Risk Co-Movements in the Eurozone

Buchholz, Manuel; Tonzer, Lena

In: International Finance, Wiley, Bd. 19, Heft 3, S. 246-268, http://dx.doi.org/10.1111/infi.12099

Monografie

Central bank transparency and cross-border banking

Eichler, Stefan; Littke, Helge; Tonzer, Lena

In: Halle (Saale), Germany: Halle Institute for Economic Research (IWH), 2016, 1 Online-Ressource (III, 55 Seiten, 1,28 MB), Diagramme, Karten - (IWH discussion papers; no. 16/2016)

Monografie

The role of complexity for bank risk during the financial crisis - evidence from a novel dataset

Krause, Thomas; Sondershaus, Talina; Tonzer, Lena

In: Halle (Saale), Germany: Halle Institute for Economic Research (IWH), 2016, 1 Online-Ressource (III, 31 Seiten, 0,82 MB), Diagramme - (IWH discussion papers; no. 17/2016)

Monografie

Brexit (probability) and effects on financial market stability

Krause, Thomas; Noth, Felix; Tonzer, Lena

In: Halle (Saale): Leibniz-Institut für Wirtschaftsforschung Halle (IWH), 2016, 1 Online-Ressource (9 Seiten, 8,57 MB), Illustrationen - (IWH online; 2016, 5)

Monografie

International banking and cross-border effects of regulation - lessons from Germany

Ohls, Jana; Pramor, Marcus; Tonzer, Lena

In: Frankfurt am Main: Deutsche Bundesbank, 2016, 1 Online-Ressource (circa 35 Seiten) - (Discussion paper; Deutsche Bundesbank; no 2016/27), ISBN: 978-3-95729-280-3

Monografie

Asymmetric investment responses to firm-specific uncertainty

Buchholz, Manuel; Tonzer, Lena; Berner, Julian

In: Halle (Saale), Germany: Halle Institute for Economic Research (IWH), 2016, 1 Online-Ressource (58 Seiten = 1,7 MB), Illustrationen - (IWH discussion papers; no. 7/2016)

2015

Artikel in Zeitschrift

Cross-border interbank networks, banking risk and contagion

Tonzer, Lena

In: Journal of financial stability - Amsterdam [u.a.] : Elsevier, Bd. 18.2015, S. 19-32

Artikel in Zeitschrift

1st IWH-FIN-FIRE Workshop on challenges to financial stability

Bacher, Annika; Tonzer, Lena

In: Wirtschaft im Wandel - Halle, S. : IWH - 21(2015)5, S. 90

Artikel in Zeitschrift

Welche Risikomaße bilden das Ausfallrisiko für Geschäftsbanken adäquat ab? - Eine Analyse am Beispiel US-amerikanischer Banken

Noth, Felix; Tonzer, Lena

In: Wirtschaft im Wandel - Halle, S. : IWH - 21(2015)2, S. 25-28

Begutachteter Zeitschriftenartikel

Uncertainty, Bank Lending, and Bank-Level Heterogeneity

Buch, Claudia M; Buchholz, Manuel; Tonzer, Lena

In: IMF Economic Review, Springer Science and Business Media LLC, Bd. 63, Heft 4, S. 919-954, http://dx.doi.org/10.1057/imfer.2015.35

Monografie

Bank risk proxies and the crisis of 2007/09 : a comparison

Noth, Felix; Tonzer, Lena

In: Halle (Saale): Leibniz-Inst. für Wirtschaftsforschung - IWH, 2015, Online-Ressource (PDF-Datei: III, 7 S., 0,3 MB), graph. Darst. - (IWH-Diskussionspapiere; 2015,13)

Projekte

Aktuelle Projekte

Banks' Foreign Homes
Laufzeit: 01.01.2023 bis 30.06.2025

This project analyses the drivers of banks' lending behaviour backed by real estate during the low interest rate environment. Typical drivers of cross-border activities of banks are distance, cultural similarities or institutional factors. Also profit opportunities play an important role. Especially during the low interest rate environment recently experienced in the euro area, banks might actively search for yield by investing abroad. Our study tests whether such motives can be observed in the data.

Projekt im Forschungsportal ansehen

International Banking and Global Supply Chain Disruptions
Laufzeit: 01.01.2022 bis 31.12.2024

Trade and financial flows are globally intertwined, and trade exposures might drive banks' cross-border lending decisions. In this study, we investigate how global supply chain exposures affect international lending activities of banks. For identification, we exploit the unexpected disruptions in international trade due to the Covid-19 pandemic in a panel of Austrian banks for the period from 2017 to 2021. Our analysis provides relevant insights into how trade exposures affect internationally active banks' cross border activities.

Projekt im Forschungsportal ansehen

Distributional effects of macroprudential policies in Europe
Laufzeit: 01.07.2021 bis 30.06.2024

The sustainability of economic unions like the European Union (EU) or currency unions like the euro area depend amongst others on similar economic growth paths, non-excessive debt levels or dispersions in income distributions across countries. Financial crises pose a threat in that respect, as they tend to result in deep and prolonged recessions. The re-regulation of the financial system over the last decade intends to decrease systemic vulnerability and thus negative effects of financial crises on the real sector and individuals. To reach the objective of a more stable financial system, a key element is the introduction of macroprudential policies. An increasing range of studies looks at the first order effects of macroprudential regulation on banking system stability or lending sensitivities finding that credit and house price growth declines given tighter regulation (e.g., Aiyar et al. 2014, Akinci and Olmstead-Rumsey 2018, Cerutti et al. 2017, Danisewicz et al. 2017). However, less evidence exists on indirect spillovers to individuals via distributional effects. In this paper, we aim to fill this gap and ask whether the introduction of macroprudential policies targeting financial system stability affect individuals’ income situation heterogeneously along the income distribution, which might have implications for income inequality in Europe. The analysis is based on EU-SILC microdata and covers households and individuals across countries being part of the European Union for the period from 2010 to 2018.

Projekt im Forschungsportal ansehen

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Letzte Änderung: 31.07.2023 - Ansprechpartner: Webmaster