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Risk and solvency regulation of depository institutions: past policies and current options
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- George G. Kaufman & Randall S. Kroszner, 1997. "¿Cómo se deberían estructurar las instituciones y los mercados financieros? Análisis y opciones de diseño de sistemas financieros," Research Department Publications 4055, Inter-American Development Bank, Research Department.
- George G. Kaufman, 2007. "A Program for Minimizing the Private and Public Costs of Bank Failures," NFI Policy Briefs 2007-PB-11, Indiana State University, Scott College of Business, Networks Financial Institute.
- George J. Benston & George G. Kaufman, 1997. "FDICIA after five years: a review and evaluation," Working Paper Series, Issues in Financial Regulation WP-97-01, Federal Reserve Bank of Chicago.
- Douglas Evanoff & Larry Wall, 2001.
"Sub-debt Yield Spreads as Bank Risk Measures,"
Journal of Financial Services Research, Springer;Western Finance Association, vol. 20(2), pages 121-145, October.
- Douglas D. Evanoff & Larry D. Wall, 2001. "Sub-debt yield spreads as bank risk measures," Working Paper Series WP-01-03, Federal Reserve Bank of Chicago.
- Douglas D. Evanoff & Larry D. Wall, 2001. "Sub-debt yield spreads as bank risk measures," FRB Atlanta Working Paper 2001-11, Federal Reserve Bank of Atlanta.
- George G. Kaufman, 1990. "Are Some Banks Too Large To Fail? Myth And Reality," Contemporary Economic Policy, Western Economic Association International, vol. 8(4), pages 1-14, October.
- Kenneth Patrick Vincent O'Sullivan & Stephen Kinsella, 2013.
"Financial and regulatory failure: The case of Ireland,"
Journal of Banking Regulation, Palgrave Macmillan, vol. 14(1), pages 1-15, January.
- Kenneth Patrick Vincent O'Sullivan & Stephen Kinsella, 2011. "Financial and Regulatory Failure: The Case of Ireland," Working Papers 201136, Geary Institute, University College Dublin.
- James R. Barth & Carl D. Hudson & Daniel E. Page, 1991. "The Need To Reform The Federal Deposit Insurance System," Contemporary Economic Policy, Western Economic Association International, vol. 9(1), pages 24-35, January.
- Flannery, Mark J. & Kwan, Simon H. & Nimalendran, M., 2004.
"Market evidence on the opaqueness of banking firms' assets,"
Journal of Financial Economics, Elsevier, vol. 71(3), pages 419-460, March.
- Mark J. Flannery & Simon H. Kwan & Mahendrarajah Nimalendran, 1997. "Market evidence on the opaqueness of banking firms' assets," Proceedings 560, Federal Reserve Bank of Chicago.
- Mark J. Flannery & Simon H. Kwan & Mahendrarajah Nimalendran, 1999. "Market evidence on the opaqueness of banking firms' assets," Working Papers in Applied Economic Theory 99-11, Federal Reserve Bank of San Francisco.
- Douglas D. Evanoff & Larry D. Wall, 2000.
"Subordinated debt and bank capital reform,"
FRB Atlanta Working Paper
2000-24, Federal Reserve Bank of Atlanta.
- Douglas D. Evanoff & Larry D. Wall, 2000. "Subordinated debt and bank capital reform," Working Paper Series WP-00-7, Federal Reserve Bank of Chicago.
- Arup Daripa & Simone Varotto, 2010.
"Ex-Ante Versus Ex-Post Regulation Of Bank Capital,"
World Scientific Book Chapters, in: Lloyd P Blenman & Harold A Black & Edward J Kane (ed.), Banking And Capital Markets New International Perspectives, chapter 2, pages 29-58,
World Scientific Publishing Co. Pte. Ltd..
- Dr Arup Daripa & Dr. Simone Varotto, 2004. "Ex Ante versus Ex Post Regulation of Bank Capital," ICMA Centre Discussion Papers in Finance icma-dp2004-12, Henley Business School, University of Reading.
- Arup Daripa & Simone Varotto, 2005. "Ex Ante Versus Ex Post Regulation of Bank Capital," Finance 0511009, University Library of Munich, Germany.
- Arup Daripa & Simone Varotto, 2005. "Ex Ante Versus Ex Post Regulation of Bank Capital," Birkbeck Working Papers in Economics and Finance 0518, Birkbeck, Department of Economics, Mathematics & Statistics.
- Marvin Goodfriend, 1991.
"Money, credit, banking, and payments system policy,"
Economic Review, Federal Reserve Bank of Richmond, vol. 77(Jan), pages 7-23.
- Marvin Goodfriend, 1988. "Money, credit, banking, and payment system policy," Proceedings, Federal Reserve Bank of Richmond, pages 247-284.
- Marvin Goodfriend, 1989. "Money, credit, banking and payments system policy," Working Paper 89-03, Federal Reserve Bank of Richmond.
- Ronnie J. Phillips, "undated". "Narrow Banking Reconsidered, The Functional Approach to Financial Reform," Economics Public Policy Brief Archive ppb_17, Levy Economics Institute.
- George G. Kaufman & Randall S. Kroszner, 1997. "How Should Financial Institutions and Markets be Structured? Analysis and Options for Financial System Design," Research Department Publications 4054, Inter-American Development Bank, Research Department.
- George J. Benston & George G. Kaufman, 1997. "FDICIA after Five Years," Journal of Economic Perspectives, American Economic Association, vol. 11(3), pages 139-158, Summer.
- Richard J. Herring & Anthony M. Santomero, 1991. "The Role of the Financial Sector in Economic Performance," Center for Financial Institutions Working Papers 95-08, Wharton School Center for Financial Institutions, University of Pennsylvania.
- George J. Benston, 2004. "What's Special About Banks?," The Financial Review, Eastern Finance Association, vol. 39(1), pages 13-33, February.
- Mayes, David G. & Nieto, María J. & Wall, Larry, 2008.
"Multiple safety net regulators and agency problems in the EU: Is Prompt Corrective Action partly the solution?,"
Journal of Financial Stability, Elsevier, vol. 4(3), pages 232-257, September.
- David G. Mayes & María J. Nieto & Larry Wall, 2008. "Multiple safety net regulators and agency problems in the EU: Is Prompt Corrective Action partly the solution?," Working Papers 0819, Banco de España.
- Franklin R. Edwards & Frederic S. Mishkin, 1995.
"The decline of traditional banking: implications for financial stability and regulatory policy,"
Economic Policy Review, Federal Reserve Bank of New York, vol. 1(Jul), pages 27-45.
- Franklin R. Edwards & Frederic S. Mishkin, 1995. "The Decline of Traditional Banking: Implications for Financial Stabilityand Regulatory Policy," NBER Working Papers 4993, National Bureau of Economic Research, Inc.
- James Barth & Philip Bartholomew & Peter Elmer, 1997. "The value of tax benefits and the cost of liquidating versus selling failed thrift institutions," Journal of Economics and Finance, Springer;Academy of Economics and Finance, vol. 21(2), pages 3-11, June.
- Dominique Lacoue-Labarthe, 2003. "L'évolution de la supervision bancaire et de la réglementation prudentielle (1945-1996)," Revue d'Économie Financière, Programme National Persée, vol. 73(4), pages 39-63.
- repec:zbw:bofrdp:2004_004 is not listed on IDEAS
- Donato Masciandaro & Marc Quintyn, 2013. "The Evolution of Financial Supervision: the Continuing Search for the Holy Grail," SUERF 50th Anniversary Volume Chapters, in: Morten Balling & Ernest Gnan (ed.), 50 Years of Money and Finance: Lessons and Challenges, chapter 8, pages 263-318, SUERF - The European Money and Finance Forum.
- David G. Mayes, 2011.
"Early Intervention and Prompt Corrective Action in Europe,"
Chapters, in: Christopher J. Green & Eric J. Pentecost & Tom Weyman-Jones (ed.), The Financial Crisis and the Regulation of Finance, chapter 10,
Edward Elgar Publishing.
- Mayes, David G., 2009. "Early intervention and prompt corrective action in Europe," Bank of Finland Research Discussion Papers 17/2009, Bank of Finland.
- George Benston, 2007. "Basel II and Bankers’ Propensity to Take or Avoid Excessive Risk," Atlantic Economic Journal, Springer;International Atlantic Economic Society, vol. 35(4), pages 373-382, December.
- George Benston, 2000. "Is Government Regulation of Banks Necessary?," Journal of Financial Services Research, Springer;Western Finance Association, vol. 18(2), pages 185-202, December.
- RICHARD W. Nelson, 1993. "Regulatory Structure, Regulatory Failure, And The S& L Debacle," Contemporary Economic Policy, Western Economic Association International, vol. 11(1), pages 108-115, January.
- Ojo, Marianne, 2010. "The need for government and central bank intervention in financial regulation: Free banking and the challenges of information uncertainty," MPRA Paper 23298, University Library of Munich, Germany.
- Daoud Barkat Daoud, 2003. "Quelle réglementation du capital bancaire pour les pays en développement ?," Revue d'Économie Financière, Programme National Persée, vol. 73(4), pages 311-323.
- Lawrence J. White, 1992. "What Should Banks Really Do?," Contemporary Economic Policy, Western Economic Association International, vol. 10(3), pages 104-112, July.
- George J. Benston & Paul Irvine & Jim Rosenfeld & Joseph F. Sinkey, 2000. "Bank capital structure, regulatory capital, and securities innovations," FRB Atlanta Working Paper 2000-18, Federal Reserve Bank of Atlanta.
- Richard J. Herring & Anthony M. Santomero, 2000. "What Is Optimal Financial Regulation?," Center for Financial Institutions Working Papers 00-34, Wharton School Center for Financial Institutions, University of Pennsylvania.
- George Benston, 2000. "Consumer Protection as Justification for Regulating Financial-Services Firms and Products," Journal of Financial Services Research, Springer;Western Finance Association, vol. 17(3), pages 277-301, September.
- Angelo R. Mascaro, 1990. "Aftermath Of The Thrift Crisis: Balancing The Economy'S Books," Contemporary Economic Policy, Western Economic Association International, vol. 8(2), pages 95-106, April.
- George G. Kaufman, 1999. "Banking and currency crises and systemic risk: a taxonomy and review," Working Paper Series WP-99-12, Federal Reserve Bank of Chicago.
- Lawrence J. White, 1990. "Problems Of The Fslic: A Former Policy Maker'S View," Contemporary Economic Policy, Western Economic Association International, vol. 8(2), pages 62-81, April.
- Frederic S. Mishkin, 1992. "An Evaluation of the Treasury Plan for Banking Reform," Journal of Economic Perspectives, American Economic Association, vol. 6(1), pages 133-153, Winter.
- Beatty, Anne & Liao, Scott, 2014. "Financial accounting in the banking industry: A review of the empirical literature," Journal of Accounting and Economics, Elsevier, vol. 58(2), pages 339-383.
- David G. Mayes, 2004.
"An approach to bank insolvency in transition and emerging economies,"
Finance
0404015, University Library of Munich, Germany.
- Mayes, David G., 2004. "An approach to bank insolvency in transition and emerging economies," Research Discussion Papers 4/2004, Bank of Finland.
- Elijah Brewer & Thomas H. Mondschean, 1992. "Ex ante risk and ex post collapse of S&Ls in the 1980s," Economic Perspectives, Federal Reserve Bank of Chicago, vol. 16(Jul), pages 2-12.