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Bank spread with uncertain deposit level and risk aversion

Citations

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Cited by:

  1. Carbo Valverde, Santiago & Rodriguez Fernandez, Francisco, 2007. "The determinants of bank margins in European banking," Journal of Banking & Finance, Elsevier, vol. 31(7), pages 2043-2063, July.
  2. Paula Cruz-García & Juan Fernández de Guevara & Joaquín Maudos, 2019. "Determinants of bank’s interest margin in the aftermath of the crisis: the effect of interest rates and the yield curve slope," Empirical Economics, Springer, vol. 56(1), pages 341-365, January.
  3. Javier Gómez, 1998. "The Banking Spread and the Resource Cost of Capital," Borradores de Economia 092, Banco de la Republica de Colombia.
  4. Putkuri, Hanna, 2010. "Housing loan rate margins in Finland," Bank of Finland Research Discussion Papers 10/2010, Bank of Finland.
  5. Weth, Mark A., 2002. "The pass-through from market interest rates to bank lending rates in Germany," Discussion Paper Series 1: Economic Studies 2002,11, Deutsche Bundesbank.
  6. Fung, K. C., 2002. "International Trade and Bank Groups: Welfare Enhancing or Welfare Reducing?," Journal of the Japanese and International Economies, Elsevier, vol. 16(2), pages 212-226, June.
  7. Lin, Jyh-Horng & Hung, Wei-Ming, 2013. "A barrier option framework for bank interest margin management under anticipatory regret aversion," Economic Modelling, Elsevier, vol. 33(C), pages 794-801.
  8. Jugnu Ansari & Ashima Goyal, 2014. "Bank Competition, Managerial Efficiency and the Interest Rate Pass-Through in India," Contemporary Studies in Economic and Financial Analysis, in: Risk Management Post Financial Crisis: A Period of Monetary Easing, volume 96, pages 317-339, Emerald Group Publishing Limited.
  9. S.M. Susanthi Medha Kumari, 2014. "Determinants of Interest Margins of Banks in Sri Lanka," South Asia Economic Journal, Institute of Policy Studies of Sri Lanka, vol. 15(2), pages 265-280, September.
  10. Gabriele Angori & David Aristei & Manuela Gallo, 2019. "Determinants of Banks’ Net Interest Margin: Evidence from the Euro Area during the Crisis and Post-Crisis Period," Sustainability, MDPI, vol. 11(14), pages 1-20, July.
  11. Marrouch, Walid & Turk-Ariss, Rima, 2012. "Bank pricing under oligopsony-oligopoly: Evidence from 103 developing countries," BOFIT Discussion Papers 1/2012, Bank of Finland Institute for Emerging Economies (BOFIT).
  12. Putkuri, Hanna, 2010. "Housing loan rate margins in Finland," Research Discussion Papers 10/2010, Bank of Finland.
  13. Albert DePrince & Pamela Morris, 2007. "A longitudinal study of net interest margin by bank asset size: 1992–2005," Journal of Economics and Finance, Springer;Academy of Economics and Finance, vol. 31(1), pages 20-32, March.
  14. Tom Valentine, 1992. "Bank Interest Rate Margins," Working Paper Series 22, Finance Discipline Group, UTS Business School, University of Technology, Sydney.
  15. Karmann, Alexander & Bühn, Andreas & Pedrotti, Marco, 2013. "What determines the interest margin? An analysis of the German banking system," VfS Annual Conference 2013 (Duesseldorf): Competition Policy and Regulation in a Global Economic Order 80029, Verein für Socialpolitik / German Economic Association.
  16. Marrouch, Walid & Turk-Ariss, Rima, 2012. "Bank pricing under oligopsony-oligopoly: Evidence from 103 developing countries," BOFIT Discussion Papers 1/2012, Bank of Finland Institute for Emerging Economies (BOFIT).
  17. Fuentes, J. Rodrigo & Basch, Miguel, 1998. "Determinantes de los spreads bancarios: El caso de Chile," IDB Publications (Working Papers) 6112, Inter-American Development Bank.
  18. Kit, Pong Wong, 1997. "On the determinants of bank interest margins under credit and interest rate risks," Journal of Banking & Finance, Elsevier, vol. 21(2), pages 251-271, February.
  19. Stanhouse, Bryan & Stock, Duane, 2004. "The impact of loan prepayment risk and deposit withdrawal risk on the optimal intermediation margin," Journal of Banking & Finance, Elsevier, vol. 28(8), pages 1825-1843, August.
  20. Almeida, Fernanda Dantas & Divino, José Angelo, 2015. "Determinants of the banking spread in the Brazilian economy: The role of micro and macroeconomic factors," International Review of Economics & Finance, Elsevier, vol. 40(C), pages 29-39.
  21. Wong, Kit Pong, 2011. "Regret theory and the banking firm: The optimal bank interest margin," Economic Modelling, Elsevier, vol. 28(6), pages 2483-2487.
  22. Yasuo Nishiyama, 2006. "The Asian Financial Crisis and Investors’ Risk Aversion," Asia-Pacific Financial Markets, Springer;Japanese Association of Financial Economics and Engineering, vol. 13(3), pages 181-205, September.
  23. Anastasiou, Dimitrios, 2017. "Macroeconomic Determinants of MIR Rate: Evidence from the Euro area," MPRA Paper 80972, University Library of Munich, Germany.
  24. Dairo Estrada & Esteban Gómez & Inés Orozco, 2006. "Determinants of Interest Margins in Colombia," Borradores de Economia 2335, Banco de la Republica.
  25. M. Cary Collins & Van Son Lai & James E. McNulty, 1997. "Thrifty Viability and Traditional Mortgage Lending: A Simultaneous Equations Analysis of the Risk-Return Trade-Off," Journal of Real Estate Research, American Real Estate Society, vol. 13(2), pages 155-176.
  26. Pantelous, Athanasios A., 2008. "Dynamic risk management of the lending rate policy of an interacted portfolio of loans via an investment strategy into a discrete stochastic framework," Economic Modelling, Elsevier, vol. 25(4), pages 658-675, July.
  27. Ferdinand Niyimbanira & Rachel Nishimwe-Niyimbanira & Sanderson Sabie Kuyeli & Koleka Rangaza, 2015. "The Determinants of Interest Rate Spreads in South Africa: A Cointegration Approach," Journal of Economics and Behavioral Studies, AMH International, vol. 7(2), pages 101-108.
  28. Tsai, Jeng-Yan, 2013. "Bank interest margin management based on a path-dependent Cobb–Douglas utility framework," Economic Modelling, Elsevier, vol. 35(C), pages 751-762.
  29. repec:zbw:bofrdp:2010_010 is not listed on IDEAS
  30. Homolle, Susanne, 2004. "Bank capital regulation, asset risk, and subordinated uninsured debt," Journal of Economics and Business, Elsevier, vol. 56(6), pages 443-468.
  31. repec:zbw:bofitp:2012_001 is not listed on IDEAS
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