Ouvrages publiés en collaboration (1)

  1. 1. Ayadi, R., Nieto, M., & Schmit, M. (2008). Basel II implementation in the midst of turbulence? Center for European Studies.
  2.   Parties d'ouvrages collectifs (4)

  3. 1. Schmit, M. (2008). The capital requirement directive and the lease industry in Romania. In About non banking financial services in Romania (pp. 214-261). Associatia societatilor financiare.
  4. 2. Schmit, M. (2008). Moving from the capital requirement directive to a risk governance directive. In European Parliament (Ed.), The financial crisis (pp. 39-47). DG Internal Policies of the Union, Policy Department Economic and Scientific Policy.
  5. 3. Laurent, M.-P., & Schmit, M. (2005). Estimating distressed LGD on defaulted exposures: a portfolio model applied to leasing contracts. In E. I. Altman, A. Resti, & A. Sironi (Eds.), Recovery risk: the next challenge in credit risk management. London: Risk Books.
  6. 4. Schmit, M. (2004). Recognition of physical collaterals under Basel II: the case of lease contracts. In A. Resti (Ed.), The new Basel capital accord and the future of the European financial system (pp. 47-50). Centre for European Policy Studies.(Report of a CEPS task force).
  7.   Articles dans des revues avec comité de lecture (5)

  8. 1. Schmit, M., & Marrez, H. (2010). Credit risk in microcredit: How does gender matter? Savings and development, 34(3), 369-388.
  9. 2. Laurent, M.-P., Van Belle, S., & Schmit, M. (2009). An empirical approach to residual value risk estimation in automotive leases. Managerial Finance, 35(10). doi:10.1108/03074350910984737
  10. 3. Schmit, M. (2005). Is automotive leasing a risky business? Finance, 2(26), 35-66.
  11. 4. Schmit, M. (2004). Credit risk in the leasing industry. Journal of banking & finance, 28(4), 811-833. doi:10.1016/j.jbankfin.2003.10.008
  12. 5. Hespel, E., Kestens, P., Schmit, M., & Vander Stricht, V. (1993). Le baromètre économique bruxellois. Cahiers Economiques de Bruxelles, 139, 401-418.
  13.   Rapports de recherche, comptes rendus, lettres à l'éditeur, working papers (7)

  14. 1. Dumont, G., & Schmit, M. (2013). Tier 1 MFIs Financial Performance: Cash-flow statement analysis. (Working Papers CEB No 13-054).
  15. 2. Schmit, M., & Chao, L.-S. (2010). Managing Growth Risk: Lessons from the Current Crisis. (Working Papers CEB No 10-027).

  16. << Précédent 1 2 Suivant >>