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Citations for "Federal Deposit Insurance, Regulatory Policy, and Optimal Bank Capital" by Buser, Stephen A & Chen, Andrew H & Kane, Edward J
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Cited by (explanations , Please report citation or reference errors to , or , if you are the registered author of the cited work, log in to your RePEc Author Service profile , click on "citations" and make appropriate adjustments.): Ting-Fang Chiang & E-Ching Wu & Min-Teh Yu, 2007.
"Premium setting and bank behavior in a voluntary deposit insurance scheme ,"
Review of Quantitative Finance and Accounting ,
Springer, vol. 29(2), pages 205-222, August.
[Downloadable!] (restricted)
Linda M. Hooks & Kenneth J. Robinson, 1996.
"Moral hazard and Texas banking in the 1920s ,"
Financial Industry Studies Working Paper
96-1, Federal Reserve Bank of Dallas.
[Downloadable!]
Cull, Robert & Senbet, Lemma W. & Sorge, Marco, 2001.
"Deposit insurance and financial development ,"
Policy Research Working Paper Series
2682, The World Bank.
[Downloadable!]
Other versions:
Cull, Robert & Senbet, Lemma W & Sorge, Marco, 2005.
"Deposit Insurance and Financial Development ,"
Journal of Money, Credit and Banking ,
Blackwell Publishing, vol. 37(1), pages 43-82, February.
William P. Osterberg & James B. Thomson, 1990.
"The effect of subordinated debt and surety bonds on banks' cost of capital and on the value of federal deposit insurance ,"
Working Paper
9012, Federal Reserve Bank of Cleveland.
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Georges Dionne, 2003.
"The Foundationsof Banks' Risk Regulation: A Review of Literature ,"
THEMA Working Papers
2003-46, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
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Ramon P. DeGennaro, 2005.
"Market imperfections ,"
Working Paper
2005-12, Federal Reserve Bank of Atlanta.
[Downloadable!]
Other versions: Xavier Freixas & Emmanuelle Gabillon, 1996.
"Optimal Regulation of a Fully Insured Deposit Banking System ,"
Economics Working Papers
175, Department of Economics and Business, Universitat Pompeu Fabra.
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Anlong Li, 1991.
"Optimal bank portfolio choice under fixed-rate deposit insurance ,"
Working Paper
9111, Federal Reserve Bank of Cleveland.
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Robert A. Taggart, Jr., 1985.
"Effects of Regulation on Utility Financing: Theory and Evidence ,"
NBER Working Papers
0866, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
William P. Osterberg & James B. Thomson, 1990.
"Optimal financial structure and bank capital requirements: an empirical investigation ,"
Working Paper
9007, Federal Reserve Bank of Cleveland.
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Asli Demirgüç-Kunt, 1991.
"On the valuation of deposit institutions ,"
Working Paper
9104, Federal Reserve Bank of Cleveland.
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Ramon P. DeGennaro & Larry H. Lang & James B. Thomson, 1991.
"Troubled savings and loan institutions: voluntary restructuring under insolvency ,"
Working Paper
9112, Federal Reserve Bank of Cleveland.
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Luc Laeven & Ross Levine, 2008.
"Bank Governance, Regulation, and Risk Taking ,"
NBER Working Papers
14113, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
Other versions: Laeven, Luc, 2002.
"Pricing of deposit insurance ,"
Policy Research Working Paper Series
2871, The World Bank.
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William P. Osterberg & James B. Thomson, 1992.
"Forbearance, subordinated debt, and the cost of capital for insured depository institutions ,"
Economic Review ,
Federal Reserve Bank of Cleveland, issue Q III, pages 16-26.
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Anthony M. Santomero, 1997.
"Deposit Insurance: Do We Need It and Why? ,"
Center for Financial Institutions Working Papers
97-35, Wharton School Center for Financial Institutions, University of Pennsylvania.
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William P. Osterberg & James B. Thomson, 1999.
"Depositor-preference laws and the cost of debt capital ,"
Economic Review ,
Federal Reserve Bank of Cleveland, issue Q III, pages 10-20.
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Stéphanie Stolz, 2002.
"The Relationship between Bank Capital, Risk-Taking, and Capital Regulation: A Review of the Literature ,"
Kiel Working Papers
1105, Kiel Institute for the World Economy.
[Downloadable!]
Eric Van Tassel, 2009.
"Sharing credit information under endogenous costs ,"
Working Papers
09004, Department of Economics, College of Business, Florida Atlantic University.
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Edward J. Kane & Min-Teh Yu, 1994.
"How Much Did Capital Forbearance Add to the Cost of the S&L Insurance Mess ,"
NBER Working Papers
4701, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
John S. Jordan, 1997.
"Manager's opportunistic trading of their firms' shares: a case study of executives in the banking industry ,"
Working Papers
97-4, Federal Reserve Bank of Boston.
[Downloadable!]
Asli Demirgüç-Kunt, 1989.
"Deposit-institution failures: a review of empirical literature ,"
Economic Review ,
Federal Reserve Bank of Cleveland, issue Q IV, pages 2-18.
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Anlong Li & Peter Ritchken & L. Sankarasubramanian & James B. Thomson, 1993.
"Regulatory taxes, investment, and financing decision for insured banks ,"
Working Paper
9303, Federal Reserve Bank of Cleveland.
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Other versions: William P. Osterberg & James B. Thomson, 1994.
"Underlying determinants of closed-bank resolution costs ,"
Working Paper
9403, Federal Reserve Bank of Cleveland.
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Elijah Brewer, III & William Curt Hunter & William E. Jackson, III, 2004.
"Investment opportunity set, product mix, and the relationship between bank CEO compensation and risk-taking ,"
Working Paper
2004-36, Federal Reserve Bank of Atlanta.
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Richard W. Kopcke, 2000.
"Deposit insurance, capital requirements, and financial stability ,"
Working Papers
00-3, Federal Reserve Bank of Boston.
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Joseph G. Haubrich, 1995.
"Vagueness, credibility, and government policy ,"
Economic Review ,
Federal Reserve Bank of Cleveland, issue Q I, pages 13-19.
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Yair E. Orgler & Robert A. Taggart, Jr., 1983.
"Implications of Corporate Capital Structure Theory for Banking Institutions ,"
NBER Working Papers
0737, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
Peter Ritchken & James Thomson & Ivilina Popova, 1995.
"The changing role of banks and the changing value of deposit guarantees ,"
Working Paper
9502, Federal Reserve Bank of Cleveland.
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William P. Osterberg & James B. Thomson, 1997.
"Depositor preference legislation and failed banks' resolution costs ,"
Working Paper
9715, Federal Reserve Bank of Cleveland.
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Other versions: Gary Gorton & Andrew Winton, 1995.
"Bank Capital Regulation in General Equilibrium ,"
NBER Working Papers
5244, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
Larry D. Wall & Milind M. Shrikhande, 2000.
"Managing the risk of loans with basis risk: sell, hedge, or do nothing? ,"
Working Paper
2000-25, Federal Reserve Bank of Atlanta.
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Other versions: Donald Fraser & Hao Zhang, 1997.
"Package Bidding in Thrift Resolutions ,"
Journal of Financial Services Research ,
Springer, vol. 11(3), pages 283-294, June.
[Downloadable!] (restricted)
James B. Thomson, 1991.
"Predicting bank failures in the 1980s ,"
Economic Review ,
Federal Reserve Bank of Cleveland, issue Q I, pages 9-20.
[Downloadable!]
George Benston & Paul Irvine & Jim Rosenfeld & Joseph F. Sinkey, Jr., 2000.
"Bank capital structure, regulatory capital, and securities innovations ,"
Working Paper
2000-18, Federal Reserve Bank of Atlanta.
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Andrew Kuritzkes & Til Schuermann & Scott Weiner, 2002.
"Deposit Insurance and Risk Management of the U.S. Banking System: How Much? How Safe? Who Pays? ,"
Center for Financial Institutions Working Papers
02-02, Wharton School Center for Financial Institutions, University of Pennsylvania.
[Downloadable!]
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This page was last updated on 2010-1-3.
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