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Citations for " The Losses Realized in Bank Failures" by James, Christopher
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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.): 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, vol. 21(2), pages 3-11, June.
[Downloadable!] (restricted)
Mark M. Spiegel, 2001.
"The disposition of failed bank assets: put guarantees or loss-sharing arrangements? ,"
Working Papers in Applied Economic Theory
2001-12, Federal Reserve Bank of San Francisco.
[Downloadable!]
Carol Ann Northcott, 2002.
"Estimating Settlement Risk and the Potential for Contagion in Canada's Automated Clearing Settlement System ,"
Working Papers
02-41, Bank of Canada.
[Downloadable!]
Robert A. Eisenbeis & Larry D. Wall, 2002.
"Reforming deposit insurance and FDICIA ,"
Economic Review ,
Federal Reserve Bank of Atlanta, issue Q1, pages 1-16.
[Downloadable!]
James Bohn & Brian J. Hall, 1995.
"Property and Casualty Solvency Funds as a Tax and Social Insurance System ,"
NBER Working Papers
5206, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
Philippe Aghion & Oliver Hart & John Moore, 1992.
"The Economics of Bankruptcy Reform ,"
NBER Working Papers
4097, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
Other versions:
Aghion, P. & Hart, O. & Moore, J., 1992.
"The Economics of Bankruptcy Reform ,"
Working papers
92-11, Massachusetts Institute of Technology (MIT), Department of Economics.
P Aghion & O Hart & J Moore, 1992.
"The Economics of Bankruptcy Reform ,"
CEP Discussion Papers
093, Centre for Economic Performance, LSE.
Aghion, Philippe & Hart, Oliver & Moore, John, 1992.
"The Economics of Bankruptcy Reform ,"
Journal of Law, Economics and Organization ,
Oxford University Press, vol. 8(3), pages 523-46, October.
Dusan Stojanovic & Mark D. Vaughn & Timothy J. Yeager, 2001.
"Do Federal Home Loan Bank membership and advances lead to bank risk-taking? ,"
Proceedings ,
Federal Reserve Bank of Chicago, issue May, pages 165-196.
Martin ČIHÁK, 2007.
"Systemic Loss: A Measure of Financial Stability (in English) ,"
Czech Journal of Economics and Finance (Finance a uver) ,
Charles University Prague, Faculty of Social Sciences, vol. 57(1-2), pages 5-26, March.
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Christian Upper & Andreas Worms, 2001.
"Do institutional safeguards limit the danger of contagion in the German interbank market? ,"
Proceedings ,
Federal Reserve Bank of Chicago, issue May, pages 577-591.
Acharya, Viral V & Yorulmazer, Tanju, 2005.
"Cash-in-the-Market Pricing and Optimal Bank Bailout Policy ,"
CEPR Discussion Papers
5154, C.E.P.R. Discussion Papers.
[Downloadable!] (restricted)
Rosalind L. Bennett & Mark D. Vaughan & Timothy J. Yeager, 2005.
"Should the FDIC worry about the FHLB? The impact of Federal Home Loan Bank advances on the Bank Insurance Fund ,"
Working Paper
05-05, Federal Reserve Bank of Richmond.
[Downloadable!]
Dmitri V. Vinogradov, 2006.
"Bank Insolvencies, Regulatory Forbearance and Ambiguity ,"
Working Papers
0431, University of Heidelberg, Department of Economics, revised Sep 2006.
[Downloadable!]
Peter Galos & Kimmo Soramäki, 2005.
"Systemic risk in alternative payment system designs ,"
Working Paper Series
508, European Central Bank.
[Downloadable!]
Lelyveld, Iman van & Liedorp, Franka, 2004.
"Interbank Contagion in the Dutch Banking Sector ,"
MPRA Paper
651, University Library of Munich, Germany, revised 11 Jul 2005.
[Downloadable!]
Other versions: 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)
Paul H. Kupiec & James M. O'Brien, 1997.
"Deposit insurance, bank incentives, and the design of regulatory policy ,"
Finance and Economics Discussion Series
1998-10, Board of Governors of the Federal Reserve System (U.S.).
[Downloadable!]
James G. Bohn & Brian J. Hall, 1997.
"The Moral Hazard of Insuring the Insurers ,"
NBER Working Papers
5911, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
R. Alton Gilbert, 1993.
"Implications of annual examinations for the Bank Insurance Fund ,"
Review ,
Federal Reserve Bank of St. Louis, issue Jan, pages 35-52.
[Downloadable!]
Ralf Elsas, 2004.
"Preemptive Distress Resolution through Bank Mergers ,"
Working Paper Series: Finance and Accounting
139, Department of Finance, Goethe University Frankfurt am Main.
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Martin Summer & Helmut Elsinger & Alfred Lehar, 2002.
"Risk Assessment for Banking Systems ,"
Working Papers
79, Oesterreichische Nationalbank (Austrian Central Bank).
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William P. Osterberg & James B. Thomson, 1994.
"Underlying determinants of closed-bank resolution costs ,"
Working Paper
9403, Federal Reserve Bank of Cleveland.
[Downloadable!]
Lelyveld, Iman van & Liedorp, Franka, 2006.
"Interbank Contagion in the Dutch Banking Sector: A Sensitivity Analysis ,"
MPRA Paper
806, University Library of Munich, Germany.
[Downloadable!]
Other versions: Degryse, H.A. & Nguyen, G., 2004.
"Interbank exposures : an empirical examination of systemic risk in the Belgian banking system ,"
Discussion Paper
4, Tilburg University, Center for Economic Research.
[Downloadable!]
Other versions: R. Alton Gilbert & Andrew P. Meyer & Mark D. Vaughan, 2003.
"Can feedback from the jumbo-CD market improve bank surveillance? ,"
Working Papers
2003-041, Federal Reserve Bank of St. Louis.
[Downloadable!]
Seung-Hyun Lee & Yasuhiro Yamakawa & Mike W. Peng, 2008.
"Entrepreneurship and the Barrier to Exit: How Does an Entrepreneur-Friendly Bankruptcy Law Affect Entrepreneurship Development at a Societal Level? ,"
The Office of Advocacy Small Business Working Papers
08slyymp, U.S. Small Business Administration, Office of Advocacy.
[Downloadable!]
R. Alton Gilbert & Andrew P. Meyer & Mark D. Vaughan, 2002.
"Can feedback from the jumbo-CD market improve off-site surveillance of community banks? ,"
Supervisory Policy Analysis Working Papers
2002-08, Federal Reserve Bank of St. Louis.
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Paul H. Kupiec & James M. O'Brien, 1998.
"Deposit insurance, bank incentives, and the design of regulatory policy ,"
Economic Policy Review ,
Federal Reserve Bank of New York, issue Oct, pages 201-211.
[Downloadable!]
Acharya, Viral V & Shin, Hyun Song & Yorulmazer, Tanju, 2007.
"Fire Sales, Foreign Entry and Bank Liquidity ,"
CEPR Discussion Papers
6309, C.E.P.R. Discussion Papers.
[Downloadable!] (restricted)
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 2008-11-26.
This information is provided to you by IDEAS at the Department of Economics , College of Liberal Arts and Sciences , University of Connecticut using RePEc data on a server sponsored by the Society for Economic Dynamics .