Publikationen Prof. Martin Brown Publikationen in begutachteten akademischen Zeitschriften 2017 Credit Booms and Busts in Emerging Markets: The Role of Bank Governance and Risk Management. (with A. Andries), Economics of Transition. 2017 Regional Inflation, Financial Integration and Dollarization. (with R. De Haas & V. Sokolov), Review of Finance. 2016 The Threat of Exclusion and Implicit Contracting (with M. Serra-Garcia), Management Science. 2016 Understanding Bank-Run Contagion. (with S. T. Trautmann & R. Vlahu), Management Science. 2016 Relationship Banking in the Residential Mortgage Market? Evidence from Switzerland. (with M. Hoffmann), Swiss Journal of Economics and Statistics, 2016-I-2. 23-48. 2016 Microfinance Banks and Financial Inclusion. (with B. Guin & K. Kirschenmann), Review of Finance (2016) 20 (3). 907-946. 2015 Foreign Bank Ownership and Household Credit. (with T. Beck) Journal of Financial Intermediation. Vol. 24, (4), October 2015. 466–486. 2015 The Exposure of Mortgage Borrowers to Interest Rate Risk, Income Risk and House Price Risk – Evidence from Swiss Loan Application Data. (with B. Guin), Swiss Journal of Economics and Statistics, 2015, Vol. 151 (2), August 2015. 89-123. 2015 The Euroization of Bank Deposits in Eastern Europe. (with H. Stix), Economic Policy January 2015. 1-45. 2014 Bank Funding, Securitization and Loan Terms: Evidence from Foreign Currency Lending. (with K. Kirschenmann & S.Ongena), Journal of Money, Credit & Banking. Volume 46 (7), October 2014. 1501-1534. 2014 Information Asymmetry and Foreign Currency Borrowing by Small Firms. (with S. Ongena & P. Yesin), Comparative Economic Studies, 56(1), 2014. 110-131. 2013 Financial Literacy and Retirement Planning in Switzerland. (with R. Graf), Numeracy, Vol. 6 (2), Article 6, July 2013. 2012 Competition and Relational Contracts - The Role of Unemployment as a Disciplinary Device. (with A. Falk & E. Fehr), Journal of the European Economic Association. Volume 10 (4), August 2012. 887-907. 2012 Foreign banks and foreign currency lending in emerging Europe. (with R.D.Haas) Economic Policy. 69, January 2012. 57-98. 2011 Foreign Currency Borrowing by Small Firms in the Transition Economies. (with S. Ongena & A.P. Yesin), Journal of Financial Intermediation. Volume 20, Issue 3, July 2011. 285-302. 2011 Who Needs Credit and Who Gets Credit in Eastern Europe? (with S. Ongena, A. Popov, & A.P. Yesin), Economic Policy, 65. 93-130. 2010 The Emergence of Information Sharing in Credit Markets. (with C. Zehnder), Journal of Financial Intermediation, 19. 255-278. 2009 The Impact of Banking Sector Reform in a Transition Economy: Evidence from Kyrgyzstan. (with M. Maurer, T. Pak & N. Tynaev), Journal of Banking & Finance, 33. 1677-1687. 2009 On Reputation – A Microfoundation of Contract Enforcement and Price Rigidity. (with E. Fehr & C. Zehnder), Economic Journal, 119. 333-353. 2009 Information Sharing and Credit: Firm-Level Evidence from Transition Countries. (with T. Jappelli & M. Pagano), Journal of Financial Intermediation, 18. 151-172. 2007 Credit Reporting, Relationship Banking, and Loan Repayment. (with C. Zehnder), Journal of Money, Credit, & Banking, 39 (8). 1883-1918. 2004 Relational Contracts and the Nature of Market Interactions. (with A. Falk & E. Fehr), Econometrica, 72 (4). 747-780. 1999 Gender Differences in Financial Decision Making: Are Women really more Risk Averse? (with R. Schubert, M. Gysler & H. W. Brachinger), American Economic Review, Papers & Proceedings, 89 (2). 381-385.