Matthias Köhlerمشاهده پروفایل
استاد پژوهش
- Banking
- Retail Banking
- Financial Integration
- +۳ مورد دیگر
Matthias Köhler is a Research Professor at the Deutsche Bundesbank's Research Centre, located in Frankfurt am Main, Germany. He holds a position within the Directorate General Financial Stability, focusing on banking sector analysis and financial stability research. His research interests center on business models in banking, retail banking strategies, financial integration dynamics, and mergers & acquisitions (M&A) in the banking sector. Key themes include bank profitability, risk assessment, cross-border lending, and post-crisis regulatory adaptation. His work frequently examines German banking institutions, including savings and cooperative banks, addressing challenges posed by low interest rate environments and evolving regulatory frameworks. Dr. Köhler has published extensively in peer-reviewed journals such as Journal of Financial Stability , Credit and Capital Markets , and International Review of Economics and Finance . His research explores topics ranging from non-traditional banking revenue streams to systemic risk assessment, with a particular emphasis on how institutional structures and regulatory policies shape banking behavior. His academic contributions include analyzing the impact of ownership structures on bank risk-taking, cross-border merger barriers in the EU, and the evolving role of non-interest income in banking profitability. He has also authored working papers on topics like provision income strategies and future trends in retail banking. No scientific awards are explicitly listed, though his prolific publication record reflects sustained academic engagement. His professional activities include advising on financial stability matters and contributing to policy-relevant research at the Bundesbank.











