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Citations for "Banks, the IMF, and the Asian Crisis"

by Bong-Chan Kho & Rene M. Stulz

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  1. Ali M. Kutan & Brasukra G. Sudjana, 2004. "Worsening of the Asian Financial Crisis: Who is to Blame?," William Davidson Institute Working Papers Series 2004-658, William Davidson Institute at the University of Michigan.
  2. Ali Kutan & Brasukra Sudjana, 2003. "Investor reaction to IMF actions in the indonesian financial crisis," Journal of Economic Policy Reform, Taylor & Francis Journals, Taylor & Francis Journals, vol. 6(3), pages 181-190.
  3. Evrensel, Ayse Y. & Kutan, Ali M., 2007. "IMF-related announcements and stock market returns: Evidence from financial and non-financial sectors in Indonesia, Korea, and Thailand," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 15(1), pages 80-104, January.
  4. Aysun, Uluc & Guldi, Melanie, 2011. "Exchange rate exposure: A nonparametric approach," Emerging Markets Review, Elsevier, Elsevier, vol. 12(4), pages 321-337.
  5. Chue, Timothy K. & Cook, David, 2008. "Sudden stops and liability dollarization: Evidence from Asia's financial intermediaries," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 16(4), pages 436-452, September.
  6. Lau, Sie Ting & McInish, Thomas H., 2003. "IMF bailouts, contagion effects, and bank security returns," International Review of Financial Analysis, Elsevier, Elsevier, vol. 12(1), pages 3-23.
  7. Djankov, Simeon & Jindra, Jan & Klapper, Leora F., 2005. "Corporate valuation and the resolution of bank insolvency in East Asia," Journal of Banking & Finance, Elsevier, Elsevier, vol. 29(8-9), pages 2095-2118, August.
  8. Bowman, Robert G. & Chan, Kam Fong & Comer, Matthew R., 2010. "Diversification, rationality and the Asian economic crisis," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 18(1), pages 1-23, January.
  9. Timothy Chue & David Cook, 2004. "Sudden Stops and Liability Dollarization: Evidence from East Asian Financial Intermediaries," Econometric Society 2004 Far Eastern Meetings, Econometric Society 646, Econometric Society.
  10. Chowdhry, Bhagwan & Goyal, Amit, 2000. "Understanding the financial crisis in Asia," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 8(2), pages 135-152, May.
  11. Uluc Aysun, 2006. "Testing for Balance Sheet Effects in Emerging Market Countries," Working papers, University of Connecticut, Department of Economics 2006-28, University of Connecticut, Department of Economics.
  12. Kim, Byungmo & Lee, Inmoo, 2003. "Agency problems and performance of Korean companies during the Asian financial crisis: Chaebol vs. non-chaebol firms," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 11(3), pages 327-348, July.
  13. Marcel Fratzscher & Julien Reynaud, 2010. "IMF Surveillance and Financial Markets - A Political Economy Analysis," CESifo Working Paper Series 3089, CESifo Group Munich.
  14. Uluc Aysun & Melanie Guldi, 2008. "Increasing Derivatives Market Activity in Emerging Markets and Exchange Rate Exposure," Working papers, University of Connecticut, Department of Economics 2008-06, University of Connecticut, Department of Economics, revised Oct 2008.
  15. Mora, Ricardo & Siotis, Georges, 2005. "External factors in emerging market recoveries: An empirical investigation," European Economic Review, Elsevier, Elsevier, vol. 49(3), pages 683-702, April.
  16. Céline Crouzille & Lætitia Lepetit & Amine Tarazi, 2006. "Reaction of European bank stock prices to events of the Asian and Russian financial crises," Revue d'économie politique, Dalloz, Dalloz, vol. 0(4), pages 457-469.
  17. Rene M. Stulz, 2000. "U.S. Banks, Crises, and Bailouts: From Mexico to LTCM," NBER Working Papers 7529, National Bureau of Economic Research, Inc.
  18. Brealey, R. A. & Kaplanis, E., 2004. "The impact of IMF programs on asset values," Journal of International Money and Finance, Elsevier, Elsevier, vol. 23(2), pages 253-270, March.
  19. Kristin Forbes, 2000. "The Asian Flu and Russian Virus: Firm-level Evidence on How Crises are Transmitted Internationally," NBER Working Papers 7807, National Bureau of Economic Research, Inc.
  20. Ilan Noy, 2004. "Do IMF Bailouts Result in Moral Hazard? An Events-Study Approach," Working Papers, University of Hawaii at Manoa, Department of Economics 200402, University of Hawaii at Manoa, Department of Economics.
  21. Esho, Neil & Sharpe, Ian G. & Webster, Kristian H., 2007. "Hedging and choice of currency denomination in international syndicated loan markets," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 15(2), pages 195-212, April.
  22. ALAM Nafis & TAN Ee Chain, 2012. "Impact Of Financial Crisis On Stock Returns: Evidence From Singapore," Studies in Business and Economics, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, vol. 7(2), pages 5-19, August.
  23. Klingebiel, Daniela & Kroszner, Randy & Laeven, Luc & van Oijen, Pieter, 2001. "Stock market responses to bank restructuring policies during the East Asian crisis," Policy Research Working Paper Series 2571, The World Bank.
  24. Inoguchi, Masahiro, 2013. "Interbank market, stock market, and bank performance in East Asia," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 25(C), pages 136-156.
  25. Choe, Kwang-il & Choi, Pilsun & Nam, Kiseok & Vahid, Farshid, 2012. "Testing financial contagion on heteroskedastic asset returns in time-varying conditional correlation," Pacific-Basin Finance Journal, Elsevier, Elsevier, vol. 20(2), pages 271-291.
  26. Kutan, Ali M. & Muradoglu, Gulnur & Sudjana, Brasukra G., 2012. "IMF programs, financial and real sector performance, and the Asian crisis," Journal of Banking & Finance, Elsevier, Elsevier, vol. 36(1), pages 164-182.
  27. Chakrabarti, Rajesh & Roll, Richard, 2002. "East Asia and Europe during the 1997 Asian collapse: a clinical study of a financial crisis," Journal of Financial Markets, Elsevier, Elsevier, vol. 5(1), pages 1-30, January.
  28. Bernd Hayo & Ali Kutan, 2001. "Investor Panic, IMF Actions, and Emerging Stock Market Returns and Volatility," International Finance, EconWPA 0112001, EconWPA.
  29. Murphy, Austin, 2008. "An empirical investigation of investor expectations in the currency market," International Review of Financial Analysis, Elsevier, Elsevier, vol. 17(1), pages 108-133.
  30. Fratianni, Michele & Marchionne, Francesco, 2013. "The fading stock market response to announcements of bank bailouts," Journal of Financial Stability, Elsevier, Elsevier, vol. 9(1), pages 69-89.
  31. Bartram, Söhnke M. & Brown, Gregory W. & Hund, John E., 2005. "Estimating Systemic Risk in the International Financial System," MPRA Paper 6658, University Library of Munich, Germany.
  32. Boorman, Jack & Lane, Timothy & Schulze-Ghattas, Marianne & Bulir, Ales & Ghosh, Atish R. & Hamann, Javier & Mourmouras, Alex & Phillips, Steven, 2000. "Managing financial crises: the experience in East Asia," Carnegie-Rochester Conference Series on Public Policy, Elsevier, Elsevier, vol. 53(1), pages 1-67, December.
  33. Hayo, Bernd & Kutan, Ali M., 2001. "Investor panic, IMF actions, and emerging stock market returns and volatility: A panel investigation," ZEI Working Papers B 27-2001, ZEI - Center for European Integration Studies, University of Bonn.
  34. Weiß, Gregor N.F. & Bostandzic, Denefa & Neumann, Sascha, 2014. "What factors drive systemic risk during international financial crises?," Journal of Banking & Finance, Elsevier, Elsevier, vol. 41(C), pages 78-96.
  35. Chue, Timothy K. & Cook, David, 2008. "Emerging market exchange rate exposure," Journal of Banking & Finance, Elsevier, Elsevier, vol. 32(7), pages 1349-1362, July.
  36. George G. Kaufman, 2000. "Banking and currency crisis and systemic risk: lessons from recent events," Economic Perspectives, Federal Reserve Bank of Chicago, Federal Reserve Bank of Chicago, issue Q III, pages 9-28.
  37. Crouzille, Celine & Lepetit, Laetitia & Tarazi, Amine, 2004. "Bank stock volatility, news and asymmetric information in banking: an empirical investigation," Journal of Multinational Financial Management, Elsevier, Elsevier, vol. 14(4-5), pages 443-461.