My bibliography
Save this item
How Much Do Banks Use Credit Derivatives to Reduce Risk?
Citations
Citations are extracted by the CitEc Project, subscribe to its RSS feed for this item.
Cited by:
- Nicolò, Antonio & Pelizzon, Loriana, 2008.
"Credit derivatives, capital requirements and opaque OTC markets,"
Journal of Financial Intermediation, Elsevier, vol. 17(4), pages 444-463, October.
- Antonio Nicolo� & Loriana Pelizzon, 2006. "Credit Derivatives, Capital Requirements and Opaque OTC Markets," Working Papers 2006_58, Department of Economics, University of Venice "Ca' Foscari".
- Goderis, B.V.G. & Marsh, I. & Vall Castello, J. & Wagner, W.B., 2006.
"Bank Behavior with Access to Credit Risk Transfer Markets,"
Other publications TiSEM
75d3b9f4-be84-499d-b1a3-8, Tilburg University, School of Economics and Management.
- Goderis, Benedikt & Marsh, Ian W. & Castello, Judit Vall & Wagner, Wolf, 2007. "Bank behaviour with access to credit risk transfer markets," Research Discussion Papers 4/2007, Bank of Finland.
- Goderis, B.V.G. & Marsh, I. & Vall Castello, J. & Wagner, W.B., 2006. "Bank Behavior with Access to Credit Risk Transfer Markets," Discussion Paper 2006-100, Tilburg University, Center for Economic Research.
- Christian Upper, 2007. "Using counterfactual simulations to assess the danger of contagion in interbank markets," BIS Working Papers 234, Bank for International Settlements.
- Marsh, Ian W., 2006. "The effect of lenders' credit risk transfer activities on borrowing firms' equity returns," Bank of Finland Research Discussion Papers 31/2006, Bank of Finland.
- Dawood Ashraf & Yener Altunbas & John Goddard, 2007. "Who Transfers Credit Risk? Determinants of the Use of Credit Derivatives by Large US Banks," The European Journal of Finance, Taylor & Francis Journals, vol. 13(5), pages 483-500.
- Chiesa, Gabriella, 2008.
"Optimal credit risk transfer, monitored finance, and banks,"
Journal of Financial Intermediation, Elsevier, vol. 17(4), pages 464-477, October.
- Gabriella Chiesa, 2008. "Optimal Credit Risk Transfer, Monitored Finance, and Banks," EIEF Working Papers Series 0811, Einaudi Institute for Economics and Finance (EIEF), revised Sep 2008.
- Roshanthi Dias, 2017. "The role of managerial risk-taking in the ‘rise and fall’ of the CDS market," Accounting and Finance, Accounting and Finance Association of Australia and New Zealand, vol. 57, pages 117-145, April.
- Luigi Infante & Bianca Sorvillo, 2017. "The derivatives through the lens of the financial accounts: measurement and analysis," Questioni di Economia e Finanza (Occasional Papers) 389, Bank of Italy, Economic Research and International Relations Area.
- Hirtle, Beverly, 2009.
"Credit derivatives and bank credit supply,"
Journal of Financial Intermediation, Elsevier, vol. 18(2), pages 125-150, April.
- Larry E. Jones & Rodolfo E. Manuelli, 2001. "Endogenous Policy Choice: The Case of Pollution and Growth," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, vol. 4(2), pages 369-405, July.
- Beverly Hirtle, 2008. "Credit derivatives and bank credit supply," Staff Reports 276, Federal Reserve Bank of New York.
- Faia, Ester, 2010.
"Credit risk transfers and the macroeconomy,"
Working Paper Series
1256, European Central Bank.
- Faia, Ester, 2010. "Credit risk transfers and the macroeconomy," CFS Working Paper Series 2010/26, Center for Financial Studies (CFS).
- Faia, Ester, 2011. "Credit risk transfers and the macroeconomy," Kiel Working Papers 1677, Kiel Institute for the World Economy (IfW Kiel).
- James R. Thompson, 2007. "Credit Risk Transfer: To Sell Or To Insure," Working Paper 1131, Economics Department, Queen's University.
- Nijskens, Rob & Wagner, Wolf, 2011. "Credit risk transfer activities and systemic risk: How banks became less risky individually but posed greater risks to the financial system at the same time," Journal of Banking & Finance, Elsevier, vol. 35(6), pages 1391-1398, June.
- Til Schuermann & Kevin J. Stiroh, 2006. "Visible and hidden risk factors for banks," Staff Reports 252, Federal Reserve Bank of New York.
- Hänsel, Dennis N. & Bannier, Christina E., 2008. "Determinants of European banks' engagement in loan securitization," Discussion Paper Series 2: Banking and Financial Studies 2008,10, Deutsche Bundesbank.
- Marsh, Ian W., 2006. "The effect of lenders' credit risk transfer activities on borrowing firms' equity returns," Research Discussion Papers 31/2006, Bank of Finland.
- repec:zbw:bofrdp:2006_031 is not listed on IDEAS
- Sheri Markose & Simone Giansante & Mateusz Gatkowski & Ali Rais Shaghaghi, 2010.
"Too Interconnected To Fail: Financial Contagion and Systemic Risk In Network Model of CDS and Other Credit Enhancement Obligations of US Banks,"
Working Papers
033, COMISEF.
- Markose, Sheri M & Giansante, Simone & Gatkowski, Mateusz & Shaghaghi, Ali Rais, 2010. "Too Interconnected To Fail: Financial Contagion and Systemic Risk in Network Model of CDS and Other Credit Enhancement Obligations of US Banks," Economics Discussion Papers 3716, University of Essex, Department of Economics.
- Darrell Duffie, 2008. "Innovations in credit risk transfer: implications for financial stability," BIS Working Papers 255, Bank for International Settlements.
- Thorsten V. Koeppl & James MacGee, 2007. "Branching Out: The Urgent Need to Transform Canada’s Financial Landscape and How to Do It," C.D. Howe Institute Commentary, C.D. Howe Institute, issue 251, June.
- Franklin Allen & Douglas Gale, 2007. "Systemic Risk and Regulation," NBER Chapters, in: The Risks of Financial Institutions, pages 341-368, National Bureau of Economic Research, Inc.
- Hasan Cömert & Gerald Epstein, 2016. "Finansal Yenilik Yazinindaki Son Gelismeler," STPS Working Papers 1604, STPS - Science and Technology Policy Studies Center, Middle East Technical University, revised Jan 2016.
- Fecht, Falko & Wagner, Wolf, 2009. "The marketability of bank assets, managerial rents and banking stability," Journal of Financial Stability, Elsevier, vol. 5(3), pages 272-282, September.
- James R. Thompson, 2007. "Counterparty Risk In Insurance Contracts: Should The Insured Worry About The Insurer?," Working Paper 1136, Economics Department, Queen's University.
- Franke, Günter & Krahnen, Jan Pieter, 2008. "The future of securitization," CFS Working Paper Series 2008/31, Center for Financial Studies (CFS).
- zhang, zhichao & Xie, Li & lu, xiangyun & zhang, zhuang, 2014. "Determinants of financial distress in u.s. large bank holding companies," MPRA Paper 53545, University Library of Munich, Germany.
- Goderis, Benedikt & Marsh, Ian W. & Castello, Judit Vall & Wagner, Wolf, 2007. "Bank behaviour with access to credit risk transfer markets," Bank of Finland Research Discussion Papers 4/2007, Bank of Finland.
- repec:zbw:bofrdp:2007_004 is not listed on IDEAS
- Bannier, Christina E. & Hänsel, Dennis N., 2007. "Determinants of banks' engagement in loan securitization," Frankfurt School - Working Paper Series 85, Frankfurt School of Finance and Management.