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Citations for "Bank capital and equity investment regulations"

by João Cabral dos Santos

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  1. Haubrich, Joseph G. & Santos, Joao A. C., 2005. "Banking and commerce: A liquidity approach," Journal of Banking & Finance, Elsevier, Elsevier, vol. 29(2), pages 271-294, February.
  2. Rabah Amir & Michael Troege, 2011. "On the effects of banks’ equity ownership on credit markets," Annals of Finance, Springer, Springer, vol. 7(1), pages 31-52, February.
  3. Fegatelli, Paolo, 2010. "The misconception of the option value of deposit insurance and the efficacy of non-risk-based capital requirements in the literature on bank capital regulation," Journal of Financial Stability, Elsevier, Elsevier, vol. 6(2), pages 79-84, June.
  4. Hyytinen, Ari & Takalo, Tuomas, 2003. "Preventing systemic crises through bank transparency," Research Discussion Papers, Bank of Finland 25/2003, Bank of Finland.
  5. John H. Boyd & Chun Chang & Bruce D. Smith, 1998. "Moral hazard under commercial and universal banking," Proceedings, Federal Reserve Bank of Cleveland, Federal Reserve Bank of Cleveland, issue Aug, pages 426-471.
  6. Santos, Joao A.C. & Rumble, Adrienne S., 2006. "The American keiretsu and universal banks: Investing, voting and sitting on nonfinancials' corporate boards," Journal of Financial Economics, Elsevier, Elsevier, vol. 80(2), pages 419-454, May.
  7. Amel Belanes & Afef Ben Hajiba, 2012. "Regulation and risk taking in the banking industry: evidence from Tunisia," Afro-Asian Journal of Finance and Accounting, Inderscience Enterprises Ltd, Inderscience Enterprises Ltd, vol. 3(1), pages 89-104.
  8. Delis, Manthos D. & Tran, Kien C. & Tsionas, Efthymios G., 2012. "Quantifying and explaining parameter heterogeneity in the capital regulation-bank risk nexus," Journal of Financial Stability, Elsevier, Elsevier, vol. 8(2), pages 57-68.
  9. Paolo Fegatelli, 2010. "The misconception of the option value of deposit insurance and the efficacy of non-risk-based capital requirements in the literature on bank capital regulation," BCL working papers, Central Bank of Luxembourg 46, Central Bank of Luxembourg.
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  11. David VanHoose, 2006. "Bank Behavior Under Capital Regulation: What Does The Academic Literature Tell Us?," NFI Working Papers 2006-WP-04, Indiana State University, Scott College of Business, Networks Financial Institute.
  12. Yehning Chen & Iftekhar Hasan, 2011. "Subordinated Debt, Market Discipline, and Bank Risk," Journal of Money, Credit and Banking, Blackwell Publishing, Blackwell Publishing, vol. 43(6), pages 1043-1072, 09.
  13. Mahrt-Smith, Jan, 2006. "Should banks own equity stakes in their borrowers? A contractual solution to hold-up problems," Journal of Banking & Finance, Elsevier, Elsevier, vol. 30(10), pages 2911-2929, October.
  14. Chrysovalantis Gaganis & Fotios Pasiouras & Charalambos Spathis, 2013. "Regulations and Audit Opinions: Evidence from EU Banking Institutions," Computational Economics, Society for Computational Economics, Society for Computational Economics, vol. 41(3), pages 387-405, March.
  15. Vauhkonen , Jukka, 2003. "Banks' equity stakes in borrowing firms: corporate finance approach," Research Discussion Papers, Bank of Finland 13/2003, Bank of Finland.
  16. Delis, Manthos D & Molyneux, Philip & Pasiouras, Fotios, 2009. "Regulations and productivity growth in banking," MPRA Paper 13891, University Library of Munich, Germany.
  17. 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.
  18. AMIR, Rabah & TROGE, Michael, 2004. "On the effects of banks’ equity ownership on credit markets : an antitrust perspective on the Glass-Steagall act," CORE Discussion Papers, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE) 2004038, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE).
  19. John H. Boyd & Chun Chang & Bruce D. Smith, 1998. "Deposit insurance: a reconsideration," Working Papers, Federal Reserve Bank of Minneapolis 593, Federal Reserve Bank of Minneapolis.
  20. Saadaoui, Zied, 2008. "Capital standards and banking stability in emerging countries: an empirical approach," MPRA Paper 25464, University Library of Munich, Germany.
  21. Ralph Chami & Thomas F. Cosimano, 2001. "Monetary Policy with a touch of Basel," IMF Working Papers 01/151, International Monetary Fund.
  22. David VanHoose, 2006. "Capital Regulation and Loan Monitoring in a Diverse Banking System," NFI Policy Briefs 2006-PB-13, Indiana State University, Scott College of Business, Networks Financial Institute.
  23. Homolle, Susanne, 2004. "Bank capital regulation, asset risk, and subordinated uninsured debt," Journal of Economics and Business, Elsevier, Elsevier, vol. 56(6), pages 443-468.
  24. Laetitia Lepetit & Frank Strobel, 2012. "Bank equity Involvement in Industrial Firms and Bank Risk," Working Papers hal-00916709, HAL.
  25. Margarita Samartín, 2004. "Algunos Temas Relevantes En La Teoría Bancaria," Documentos de Trabajo de Economía de la Empresa, Universidad Carlos III, Departamento de Economía de la Empresa db040403, Universidad Carlos III, Departamento de Economía de la Empresa.
  26. Bertrand Rime, 2003. "The New Basel Accord: Implications of the Co-existence between the Standardized Approach and the Internal Ratings-based Approach," Working Papers 03.05, Swiss National Bank, Study Center Gerzensee.
  27. María J. Nieto & Gregorio Serna, 2002. "On The Relationship Between A Banks Equity Holdings And Bank Performance," Business Economics Working Papers, Universidad Carlos III, Departamento de Economía de la Empresa wb026322, Universidad Carlos III, Departamento de Economía de la Empresa.
  28. VanHoose, David, 2007. "Theories of bank behavior under capital regulation," Journal of Banking & Finance, Elsevier, Elsevier, vol. 31(12), pages 3680-3697, December.