Shin Dong Jeung
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First Name: | Shin Dong |
Middle Name: | |
Last Name: | Jeung |
Suffix: | |
RePEc Short-ID: | pje145 |
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Terminal Degree: | 2003 Economics Department; Michigan State University (from RePEc Genealogy) |
Affiliation
Financial Supervisory Service
Government of South Korea
Seoul, South Koreahttp://www.fss.or.kr/
RePEc:edi:fssgvkr (more details at EDIRC)
Research output
Jump to: ArticlesArticles
- Thomas D Jeitschko & Shin Dong Jeung, 2008. "The Effect of Capitalization on Bank Risk in the Presence of Regulatory and Managerial Moral Hazards," The IUP Journal of Bank Management, IUP Publications, vol. 0(2), pages 7-31, May.
- Jeitschko, Thomas D. & Jeung, Shin Dong, 2005. "Incentives for risk-taking in banking - A unified approach," Journal of Banking & Finance, Elsevier, vol. 29(3), pages 759-777, March.
Citations
Many of the citations below have been collected in an experimental project, CitEc, where a more detailed citation analysis can be found. These are citations from works listed in RePEc that could be analyzed mechanically. So far, only a minority of all works could be analyzed. See under "Corrections" how you can help improve the citation analysis.Articles
- Thomas D Jeitschko & Shin Dong Jeung, 2008.
"The Effect of Capitalization on Bank Risk in the Presence of Regulatory and Managerial Moral Hazards,"
The IUP Journal of Bank Management, IUP Publications, vol. 0(2), pages 7-31, May.
Cited by:
- Rubi Ahmad & Mohamed Albaity, 2019. "The Determinants of Bank Capital for East Asian Countries," Global Business Review, International Management Institute, vol. 20(6), pages 1311-1323, December.
- Jeitschko, Thomas D. & Jeung, Shin Dong, 2005.
"Incentives for risk-taking in banking - A unified approach,"
Journal of Banking & Finance, Elsevier, vol. 29(3), pages 759-777, March.
Cited by:
- David VanHoose, 2006. "Bank Behavior Under Capital Regulation: What Does The Academic Literature Tell Us?," NFI Working Papers 2006-WP-04, Indiana State University, Scott College of Business, Networks Financial Institute.
- Boubacar Camara & Laetitia Lepetit & Amine Tarazi, 2013.
"Ex ante capital position, changes in the different components of regulatory capital and bank risk,"
Post-Print
hal-00915157, HAL.
- Boubacar Camara & Laetitia Lepetit & Amine Tarazi, 2013. "Ex ante capital position, changes in the different components of regulatory capital and bank risk," Applied Economics, Taylor & Francis Journals, vol. 45(34), pages 4831-4856, December.
- Boubacar Camara & Laetitia Lepetit & Amine Tarazi, 2013. "Ex Ante Capital Position, Changes in the Different Components of Regulatory Capital and Bank Risk," Post-Print hal-00918521, HAL.
- B. Camara & L. Lepetit & A. Tarazi, 2013. "Ex Ante Capital Position, Changes in the Different Components of Regulatory Capital and Bank Risk," Débats économiques et financiers 7, Banque de France.
- Maria Teresa Medeiros Garcia & Ana Jin Ye, 2022.
"Risk-taking by banks: Evidence from European Union countries,"
Working Papers REM
2022/0225, ISEG - Lisbon School of Economics and Management, REM, Universidade de Lisboa.
- Maria Teresa Medeiros Garcia & Ana Jin Ye, 2023. "Risk-taking by banks: evidence from European Union countries," China Finance Review International, Emerald Group Publishing Limited, vol. 13(4), pages 537-567, August.
- Hans Gersbach, 2013. "Preventing Banking Crises--with Private Insurance?," CESifo Economic Studies, CESifo Group, vol. 59(4), pages 609-627, December.
- Wahyoe Soedarmono & Philippe Rous & Amine Tarazi, 2011. "Bank Capital and Self-Interested Managers: Evidence from Indonesia," Working Papers hal-00918584, HAL.
- Nicholas Addai Boamah & Emmanuel Opoku & Kingsley Opoku Appiah, 2022. "Efficiency, foreign banks presence, competition and risk exposure of banks in middle-income economies," SN Business & Economics, Springer, vol. 2(8), pages 1-21, August.
- King, Michael R., 2013. "The Basel III Net Stable Funding Ratio and bank net interest margins," Journal of Banking & Finance, Elsevier, vol. 37(11), pages 4144-4156.
- Emilios Avgouleas, 2015. "Bank Leverage Ratios and Financial Stability: A Micro- and Macroprudential Perspective," Economics Working Paper Archive wp_849, Levy Economics Institute.
- Hishamuddin Abdul Wahab & Buerhan Saiti & Saiful Azhar Rosly & Abul Mansur Mohammed Masih, 2017.
"Risk-Taking Behavior and Capital Adequacy in a Mixed Banking System: New Evidence from Malaysia Using Dynamic OLS and Two-Step Dynamic System GMM Estimators,"
Emerging Markets Finance and Trade, Taylor & Francis Journals, vol. 53(1), pages 180-198, January.
- Abdul Wahab, Hishamuddin & Rosly, Saiful Azhar & Masih, Abul Mansur M., 2014. "Risk Taking Behavior and Capital Adequacy in a Mixed Banking System: New Evidence from Malaysia using Dynamic OLS and Two-step Dynamic System GMM Estimators," MPRA Paper 56975, University Library of Munich, Germany.
- Boutheina Bannour & Asma Sghaier & Mohammad Nurunnabi, 2020. "How to Choose a Nonparametric Frontier Model? Technical Efficiency of Turkish Banks Assessing Global," Global Business Review, International Management Institute, vol. 21(2), pages 348-364, April.
- Umara Noreen & Fizza Alamdar & Tabassum Tariq, 2016. "Capital Buffers and Bank Risk: Empirical Study of Adjustment of Pakistani Banks," International Journal of Economics and Financial Issues, Econjournals, vol. 6(4), pages 1798-1806.
- Tan, Yong & Floros, Christos, 2013. "Risk, capital and efficiency in Chinese banking," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 26(C), pages 378-393.
- Javier Delgado & Vicente Salas-Fumás & Jesús Saurina, 2006.
"The joint size and ownership specialization in banks' lending,"
Working Papers
0606, Banco de España.
- Delgado, J. & Salas, V. & Saurina, J., 2007. "Joint size and ownership specialization in bank lending," Journal of Banking & Finance, Elsevier, vol. 31(12), pages 3563-3583, December.
- Biswajit Patra & Puja Padhi, 2024. "Risk, Capital, And Inefficiency: A Study of Public Sector, Private, and Foreign Banks in India," Bulletin of Monetary Economics and Banking, Bank Indonesia, vol. 27(2), pages 327-350, May.
- Fegatelli, Paolo, 2010. "The misconception of the option value of deposit insurance and the efficacy of non-risk-based capital requirements in the literature on bank capital regulation," Journal of Financial Stability, Elsevier, vol. 6(2), pages 79-84, June.
- Acrey, James Cash & McCumber, William R. & Nguyen, Thu Hien T., 2011. "CEO incentives and bank risk," Journal of Economics and Business, Elsevier, vol. 63(5), pages 456-471, September.
- Van Dan Dang, 2019. "Should Vietnamese Banks Need More Equity? Evidence on Risk-Return Trade-Off in Dynamic Models of Banking," JRFM, MDPI, vol. 12(2), pages 1-13, May.
- Benoit d’Udekem, 2021. "Agency Conflicts and Dividend Persistence," Journal of Financial Services Research, Springer;Western Finance Association, vol. 60(2), pages 207-234, December.
- D.M. Nachane & Saibal Ghosh, 2007.
"An Empirical Analysis of the Off-Balance Sheet Activities of Indian Banks,"
Journal of Emerging Market Finance, Institute for Financial Management and Research, vol. 6(1), pages 39-59, January.
- Nachane, D M & Ghosh, Saibal, 2007. "An empirical analysis of the off-balance sheet activities of Indian banks," MPRA Paper 17304, University Library of Munich, Germany.
- Muhammad Saifuddin Khan, 2018. "The Role of Liquidity in Financial Intermediation," PhD Thesis, Finance Discipline Group, UTS Business School, University of Technology, Sydney, number 1-2018, January-A.
- Bruno de Menna, 2021. "The Joint Impact of Bank Capital and Funding Liquidity on the Monetary Policy's Risk-Taking Channel," Working Papers hal-03138724, HAL.
- Moses Nyangu & Nyankomo Marwa & Ashenafi Fanta, 2023. "What drives financial stability? the nexus between market power and bank efficiency within the East African Community," Journal of Chinese Economic and Business Studies, Taylor & Francis Journals, vol. 21(3), pages 403-428, July.
- Khan, Muhammad Saifuddin & Scheule, Harald & Wu, Eliza, 2017. "Funding liquidity and bank risk taking," Journal of Banking & Finance, Elsevier, vol. 82(C), pages 203-216.
- Olivier Bruno & Alexandra Girod, 2013.
"Procyclicality and Bank Portfolio Risk Level under a Constant Leverage Ratio,"
GREDEG Working Papers
2013-35, Groupe de REcherche en Droit, Economie, Gestion (GREDEG CNRS), Université Côte d'Azur, France.
- Olivier Bruno & Alexandra Girod, 2013. "Procyclicality and Bank Portfolio Risk Level Under A Constant Leverage Ratio," Working Papers halshs-01295573, HAL.
- Moch Doddy Ariefianto & Soenartomo Soepomo, 2013. "Risk Taking Behavior of Indonesian Banks: Analysis on the Impact of Deposit Insurance Corporation Establishment," Bulletin of Monetary Economics and Banking, Bank Indonesia, vol. 15(3), pages 3-22, January.
- Rubi Ahmad & Mohamed Albaity, 2019. "The Determinants of Bank Capital for East Asian Countries," Global Business Review, International Management Institute, vol. 20(6), pages 1311-1323, December.
- Mamatzakis, Emmanuel & Zhang, Xiaoxiang & Wang, Chaoke, 2016. "Invisible hand discipline from informed trading: Does market discipline from trading affect bank capital structure?," MPRA Paper 76215, University Library of Munich, Germany.
- Koziol, Christian & Lawrenz, Jochen, 2012. "Contingent convertibles. Solving or seeding the next banking crisis?," Journal of Banking & Finance, Elsevier, vol. 36(1), pages 90-104.
- Alina MANTA & Roxana BADÎRCEA, 2015. "Empirical Study on the Relationship between Efficiency, Capital and Risk into the Banking System of Romania," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, vol. 1(17), pages 58-67, December.
- Ariff, Mohamed & Fah, Cheng Fan & Ni, Soh Wei, 2013. "Earnings response coefficients of OECD banks: Tests extended to include bank risk factors," Advances in accounting, Elsevier, vol. 29(1), pages 97-107.
- Thomas Conlon & John Cotter & Philip Molyneux, 2018.
"Beyond Common Equity - The Influence of Secondary Capital on Bank Insolvency Risk,"
Working Papers
201806, Geary Institute, University College Dublin.
- Conlon, Thomas & Cotter, John & Molyneux, Philip, 2020. "Beyond common equity: The influence of secondary capital on bank insolvency risk," Journal of Financial Stability, Elsevier, vol. 47(C).
- Minhat, Marizah & Abdullah, Mazni, 2016. "Bankers’ stock options, risk-taking and the financial crisis," Journal of Financial Stability, Elsevier, vol. 22(C), pages 121-128.
- Muhammad Sobarsyah & Wahyoe Soedarmono & Wahdi Salasi Apri Yudhi & Irwan Trinugroho & Ari Warokka, 2020.
"Loan growth, capitalization, and credit risk in Islamic banking,"
International Economics, CEPII research center, issue 163, pages 155-162.
- Sobarsyah, Muhammad & Soedarmono, Wahyoe & Yudhi, Wahdi Salasi Apri & Trinugroho, Irwan & Warokka, Ari & Pramono, Sigid Eko, 2020. "Loan growth, capitalization, and credit risk in Islamic banking," International Economics, Elsevier, vol. 163(C), pages 155-162.
- Takino, Kazuhiro & Ishinagi, Yoshikazu, 2023. "Are banks risk-averse or risk-neutral investors?," Journal of Behavioral and Experimental Finance, Elsevier, vol. 37(C).
- McMillan, David G. & McMillan, Fiona J., 2017. "The interaction between risk, return-risk trade-off and complexity: Evidence and policy implications for US bank holding companies," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 47(C), pages 103-113.
- Janda, Karel & Kravtsov, Oleg, 2017. "Micro-Level Evidences of Moral Hazard in the European Financial Institutions," MPRA Paper 77233, University Library of Munich, Germany.
- Faisal Abbas & Shoaib Ali & Imran Yousaf & Wing-Keung Wong, 2021. "Dynamics of Funding Liquidity and Risk-Taking: Evidence from Commercial Banks," JRFM, MDPI, vol. 14(6), pages 1-16, June.
- Koziol, Christian & Lawrenz, Jochen, 2009. "What makes a bank risky? Insights from the optimal capital structure of banks," Journal of Banking & Finance, Elsevier, vol. 33(5), pages 861-873, May.
- Fiordelisi, Franco & Marques-Ibanez, David & Molyneux, Phil, 2011.
"Efficiency and risk in European banking,"
Journal of Banking & Finance, Elsevier, vol. 35(5), pages 1315-1326, May.
- Marqués-Ibáñez, David & Fiordelisi, Franco & Molyneux, Phil, 2010. "Efficiency and risk in european banking," Working Paper Series 1211, European Central Bank.
- Li-Hua Lai & Li-Chin Hung & Chau-Jung Kuo, 2016. "Do Well-Financial Holding Company Organized Banks in Taiwan Take More Risk?," Review of Pacific Basin Financial Markets and Policies (RPBFMP), World Scientific Publishing Co. Pte. Ltd., vol. 19(04), pages 1-30, December.
- Riccardo De Bonis & Matteo Piazza & Roberto Tedeschi, 2012. "The perverse effect of government credit subsidies on banking risk," Mo.Fi.R. Working Papers 68, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences.
- Dong, Yan & Wang, Cong, 2021. "The effect of stimulus policy on lending behavior and bank risk: Evidence from the Chinese banking sector," Emerging Markets Review, Elsevier, vol. 49(C).
- Nguyen, Vu Hong Thai & Boateng, Agyenim, 2015. "An analysis of involuntary excess reserves, monetary policy and risk-taking behaviour of Chinese Banks," International Review of Financial Analysis, Elsevier, vol. 37(C), pages 63-72.
- Cheng, Maoyong & Qu, Yang, 2020. "Does bank FinTech reduce credit risk? Evidence from China," Pacific-Basin Finance Journal, Elsevier, vol. 63(C).
- Laxmi Koju & Ram Koju & Shouyang Wang, 2018. "Does Banking Management Affect Credit Risk? Evidence from the Indian Banking System," IJFS, MDPI, vol. 6(3), pages 1-11, July.
- Tan, Yong & Floros, Christos, 2018. "Risk, competition and efficiency in banking: Evidence from China," Global Finance Journal, Elsevier, vol. 35(C), pages 223-236.
- Théo Nicolas & Stefano Ungaro & Éric Vansteenberghe, 2023. "Public-Guaranteed Loans, Bank Risk-Taking and Regulatory Capital Windfall [Prêts garantis par l'État, prise de risque bancaire et effet d'aubaine sur le capital réglementaire]," Débats économiques et financiers 41, Banque de France.
- Le, Phuong Thanh & Harvie, Charles & Arjomandi, Amir & Borthwick, James, 2019. "Financial liberalisation, bank ownership type and performance in a transition economy: The case of Vietnam," Pacific-Basin Finance Journal, Elsevier, vol. 57(C).
- Huang, Yin-Siang & Lee, Cheng-Few & Lin, Chih-Yung, 2023. "Applications of fixed effect models to managerial risk-taking incentives," The Quarterly Review of Economics and Finance, Elsevier, vol. 92(C), pages 249-261.
- Kraft, Evan & Galac, Tomislav, 2007. "Deposit interest rates, asset risk and bank failure in Croatia," Journal of Financial Stability, Elsevier, vol. 2(4), pages 312-336, March.
- VanHoose, David, 2007. "Theories of bank behavior under capital regulation," Journal of Banking & Finance, Elsevier, vol. 31(12), pages 3680-3697, December.
- Ali Awartany & Khaled Alzubi, 2020. "The Determinants of Bank Risk Taking: Evidence From Jordan," International Journal of Financial Research, International Journal of Financial Research, Sciedu Press, vol. 11(6), pages 100-115, December.
- Dang, Van Dan & Dang, Van Cuong, 2020. "The conditioning role of performance on the bank risk-taking channel of monetary policy: Evidence from a multiple-tool regime," Research in International Business and Finance, Elsevier, vol. 54(C).
- Rose Neng Lai & Robert Order, 2014. "Securitization, Risk-Taking and the Option to Change Strategy," Real Estate Economics, American Real Estate and Urban Economics Association, vol. 42(2), pages 343-362, June.
- Figini, Silvia & Maggi, Mario & Uberti, Pierpaolo, 2020. "The market rank indicator to detect financial distress," Econometrics and Statistics, Elsevier, vol. 14(C), pages 63-73.
- Niinimäki, J.-P., 2009. "Does collateral fuel moral hazard in banking?," Journal of Banking & Finance, Elsevier, vol. 33(3), pages 514-521, March.
- Paolo Fegatelli, 2010. "The misconception of the option value of deposit insurance and the efficacy of non-risk-based capital requirements in the literature on bank capital regulation," BCL working papers 46, Central Bank of Luxembourg.
- Christophe Godlewski, 2004. "Capital Regulation and Credit Risk Taking : Empirical Evidence from Banks in Emerging Market Economies," Finance 0409030, University Library of Munich, Germany.
- Karel Janda & Oleg Kravtsov, 2018. "Micro-level Evidences of Moral Hazard in the European Financial Institutions," Springer Proceedings in Business and Economics, in: David Procházka (ed.), The Impact of Globalization on International Finance and Accounting, pages 89-98, Springer.
- Mengting Fan & Zan Mo & Huijian Fu & Tsung-Hsien Wu & Zili Chen & Yue He, 2024. "Does climate policy uncertainty matter for bank value?," Economic Change and Restructuring, Springer, vol. 57(2), pages 1-28, April.
- Rui-Xiang Zhai & Po-Hsin Ho & Chih-Yung Lin & Tran Thi Thuy Linh, 2023. "Bank CEO risk-taking incentives and bank lending quality," Review of Quantitative Finance and Accounting, Springer, vol. 60(3), pages 949-981, April.
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