Steffen, Sascha,
Manju Puri
and
Jörg Rocholl
(2017),
What Do a Million Observations Have to Say About Loan Defaults? Opening the Black Box of Relationships,
Journal of Financial Intermediation.
Steffen, Sascha,
Tobias Berg,
Anthony Saunders
and
Daniel Streitz
(2017),
Mind the Gap: The Difference between U.S. and European Loan Rates,
Review of Financial Studies.
Steffen, Sascha
and
Viral V. Acharya
(2015),
The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks,
Journal of Financial Economics, 215-236.
Steffen, Sascha,
Julian A. Mattes
and
Mark Wahrenburg
(2013),
Do information rents in loan spreads persist over the business cycles?,
Journal of Financial Services Research, 175-195.
Steffen, Sascha,
Markus Fischer,
Christa Hainz
and
Jörg Rocholl
(2012),
Wie wirkt sich der Wegfall staatlicher Garantien auf die Risikoübernahme von Banken aus?,
ifo Schnelldienst 65 (18), 17-21.
Steffen, Sascha,
Manju Puri
and
Jörg Rocholl
(2011),
Global Retail Lending in the Aftermath of the US Financial Crisis: Distinguishing between Supply and Demand Effects,
Journal of Financial Economics, 556-578.
Steffen, Sascha,
Daniel Schmidt
and
Franziska Szabo
(2010),
Exit Strategies of Buyout Investments - An Empirical Analysis,
The Journal of Alternative Investments 12 (4), 58-84.
Steffen, Sascha
and
Oliver Bosch
(2010),
On syndicate composition, corporate structure and the certification effect of credit ratings,
Journal of Banking & Finance, 290-299.
Steffen, Sascha,
Dirk Schoenmaker,
Nicolas Véron,
Thomas Gehrig,
Marcello Messori,
Antonio Nogueira Leite,
André Sapir,
Philippe Tibi,
David Vegara,
Casper G. de Vrie
and
Miranda Xafa
(2016),
European banking supervision: the first eighteen months,
in: Nicolas Véron
BRUEGEL BLUEPRINT SERIES,
Vol.
Volume 25
,
Bruegel
,
Brüssel, Belgium,
Steffen, Sascha
and
Martin Weber
(2011),
Thesen zur Reform des Einlagensicherungssystems. In: Handbuch Corporate Governance von Banken,
Vol.
K. Hopt / G. Wohlmannstetter,
Verlag C.H. Beck
,
München.
Steffen, Sascha
and
Ulrich Schüwer
(2008),
Funktionen und Einsatz von Finanzderivaten in: Außerbörsliche (OTC) Finanzderivate,
Nomos Verlagsgesellschaft
,
München.
Steffen, Sascha,
Jens Hagendorff,
Anthony Saunders
and
Francesco Vallascas
(2016),
The Wolves of Wall Street: Managerial Attributes and Bank Business Models,
Steffen, Sascha,
Manju Puri
and
Jörg Rocholl
(2016),
What Do a Million Observations Have to Say About Loan Defaults? Opening the Black Box of Relationships,
Steffen, Sascha,
Viral V. Acharya,
Björn Imbierowicz
and
Daniel Teichmann
(2015),
Does the Lack of Financial Stability Impair the Transmission of Monetary Policy?,
Steffen, Sascha,
Björn Imbierowicz,
Felix Freudenberg
and
Anthony Saunders
(2015),
Covenant Violations, Loan Contracting, and Default Risk of Bank Borrowers,
Steffen, Sascha
and
Viral V. Acharya
(2014),
Benchmarking the European Central Bank's Asset Quality Review and Stress Test - A Tale of Two Leverage Ratios. Center of European Policy Studies Working Paper Series.,