Michael Kogler, Ph.D.

Publications

Peer Reviewed Journals

Keuschnigg, C., L. Kirschner, M. Kogler and H. Winterberg (2023), Monetary union, asymmetric recession, and exit, Review of International Economics, forthcoming.

Kogler, M. (2023), Taxes, risk taking, and financial stability​​​​​​​, Journal of Public Economic Theory 25 (5), 1043–1068.

Keuschnigg, C. and M. Kogler (2022), Trade and credit reallocation: How banks help shape comparative advantage, Review of International Economics 30 (1), 282–305.

Kogler, M. (2020), Risk shifting and the allocation of capital: A Rationale for macroprudential regulation, Journal of Banking & Finance 118, 105890.

Keuschnigg, C. and M. Kogler (2020), The Schumpeterian role of banks: Credit reallocation and capital structure, European Economic Review 121, 103349.

Kogler, M. (2019), On the incidence of bank levies: Theory and evidence, International Tax and Public Finance 26 (4), 677–718.

Discussion Papers

Keuschnigg, C., M. Kogler and J. Matt (2022), Banks, credit reallocation, and creative destruction, CEPR Discussion Paper DP17701, Centre for Economic Policy Research, London.

Kogler, M. (2021), Profit taxation and bank risk taking, CESifo Working Paper 8830, CESifo Network, Munich.

Further Publications

Keuschnigg, C. and M. Kogler (eds.) (2021), Die Wirtschaft im Wandel: Innovation, soziale Sicherheit, und Wohlfahrt, Springer Fachmedien, Wiesbaden.

Keuschnigg, C. and M. Kogler (2018), Finanzplatz Österreich: Eine Finanzplatzstrategie für Wachstum und Stabilität, Langfassung, Wirtschaftspolitische Schriften des WPZ, vol. 1, LIT Verlag, Zurich.