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Citations for "Deposit Insurance and Bank Regulation: A Partial-Equilibrium Exposition" by Kareken, John H & Wallace, Neil
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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.): Edward S. Prescott, 2001.
"Regulating bank capital structure to control risk ,"
Economic Quarterly ,
Federal Reserve Bank of Richmond, issue Sum, pages 35-52.
[Downloadable!]
Richard J. Herring & Anthony M. Santomero, 2000.
"What Is Optimal Financial Regulation? ,"
Center for Financial Institutions Working Papers
00-34, Wharton School Center for Financial Institutions, University of Pennsylvania.
[Downloadable!]
Antoine Martin, 2001.
"Liquidity provision vs. deposit insurance : preventing bank panics without moral hazard? ,"
Research Working Paper
RWP 01-05, Federal Reserve Bank of Kansas City.
[Downloadable!]
Other versions: 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.
[Downloadable!]
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.
[Downloadable!]
Michael C. Keeley & Frederick T. Furlong, 1991.
"A reexamination of mean-variance analysis of bank capital regulation ( reprinted from Journal of Banking and Finance) ,"
Economic Review ,
Federal Reserve Bank of San Francisco, issue Sum, pages 40-48.
[Downloadable!]
Francisco González, 2004.
"Do equity investments affect banks' profitability? Evidence from OECD countries ,"
Applied Financial Economics ,
Taylor and Francis Journals, vol. 14(15), pages 1111-1124, October.
[Downloadable!] (restricted)
Stephen D. Williamson, 1998.
"Discount Window Lending and Deposit Insurance ,"
Review of Economic Dynamics ,
Elsevier for the Society for Economic Dynamics, vol. 1(1), pages 246-275, January.
[Downloadable!] (restricted)
Other versions: Arthur J. Rolnick & Warren E. Weber, 1982.
"The Free Banking Era: new evidence on laissez-faire banking ,"
Staff Report
80, Federal Reserve Bank of Minneapolis.
[Downloadable!]
Spiegel, Mark M., 1989.
"Risk Aversion, Deposit Insurance, And Collective Action Problems Among Banks ,"
Working Papers
89-03, C.V. Starr Center for Applied Economics, New York University.
[Downloadable!]
M. Martin Boyer & Jörg Schiller, 2003.
"Merging Automobile Insurance Regulatory Bodies: The Case of Atlantic Canada ,"
CIRANO Working Papers
2003s-70, CIRANO.
[Downloadable!]
Spiegel, Mark M., 1989.
"Concerted Lending: Did Large Banks Bear The Burden? ,"
Working Papers
89-24, C.V. Starr Center for Applied Economics, New York University.
[Downloadable!]
Other versions: Diwan, Ishac & Spiegel, Mark M., 1991.
"Are Buybacks Back? Menu-Driven Debt-Reduction in Schemes with Heterogeneous Creditors ,"
Working Papers
91-05, C.V. Starr Center for Applied Economics, New York University.
[Downloadable!]
Frederick T. Furlong & Michael C. Keeley, 1987.
"Bank capital regulation and asset risk ,"
Economic Review ,
Federal Reserve Bank of San Francisco, issue Spr, pages 20-40.
[Downloadable!]
Michael Crouhy & Dan Galai, 1984.
"A New Look at the Theory of Financial Intermediation ,"
University of California at Los Angeles, Anderson Graduate School of Management
1220, Anderson Graduate School of Management, UCLA.
[Downloadable!]
Frederick T. Furlong & Michael C. Keeley, 1991.
"Capital regulation and bank risk-taking: a note (reprinted from Journal of Banking and Finance) ,"
Economic Review ,
Federal Reserve Bank of San Francisco, issue Sum, pages 34-39.
[Downloadable!]
Edward S. Prescott, 2002.
"Can risk-based deposit insurance premiums control moral hazard? ,"
Economic Quarterly ,
Federal Reserve Bank of Richmond, issue Spr, pages 87-100.
[Downloadable!]
Haitao Yin & Howard Kunreuther & Matthew White, 2009.
"Risk-Based Pricing and Risk-Reducing Effort: Does the Private Insurance Market Reduce Environmental Accidents? ,"
NBER Working Papers
15100, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted)
João Cabral dos Santos, 1995.
"Bank capital and equity investment regulations ,"
Working Paper
9515, Federal Reserve Bank of Cleveland.
[Downloadable!]
Other versions: 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.
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Sule Ozler, 1988.
"Commercial Bank Lending to Developing Countries: The Question of Overlending ,"
UCLA Economics Working Papers
500, UCLA Department of Economics.
[Downloadable!]
Arthur J. Rolnick & Warren E. Weber, 1985.
"Inherent instability in banking: the free banking experience ,"
Working Papers
275, Federal Reserve Bank of Minneapolis.
[Downloadable!]
Arthur J. Rolnick & Warren E. Weber, 1982.
"Free banking, wildcat banking, and shinplasters ,"
Quarterly Review ,
Federal Reserve Bank of Minneapolis, issue Fall.
[Downloadable!]
João Santos, 1998.
"Commercial Banks in the Securities Business: A Review ,"
Journal of Financial Services Research ,
Springer, vol. 14(1), pages 35-60, July.
[Downloadable!] (restricted)
Other versions: Anthony M. Santomero & David L. Eckles, 2000.
"The determinants of success in the new financial services environment: now that firms can do everything, what should they do and why should regulators care? ,"
Economic Policy Review ,
Federal Reserve Bank of New York, issue Oct, pages 11-23.
[Downloadable!]
Greg Caldwell, 2005.
"An Analysis of Closure Policy under Alternative Regulatory Structures ,"
Working Papers
05-11, Bank of Canada.
[Downloadable!]
Kim, Kenneth A. & Rhee, S. Ghon, 2000.
"A Note on Shareholder Oversight and the Regulatory Environment: The Japanese Banking Experience ,"
CEI Working Paper Series
2000-2, Center for Economic Institutions, Institute of Economic Research, Hitotsubashi University.
[Downloadable!]
Carmine DiNoia, 1994.
"Structuring Deposit Insurance in Europe: Some Considerations and a Regulatory Game ,"
Center for Financial Institutions Working Papers
94-31, Wharton School Center for Financial Institutions, University of Pennsylvania.
[Downloadable!]
Gianni De Nicolo, 2001.
"Size, charter value, and risk in banking: an international perspective ,"
Proceedings ,
Federal Reserve Bank of Chicago, issue May, pages 197-215.
David A. Marshall & Edward S. Prescott, 2000.
"Bank capital regulation with and without state-contingent penalties ,"
Working Paper Series
WP-00-10, Federal Reserve Bank of Chicago.
[Downloadable!]
Other versions: Richard J. Herring & Anthony M. Santomero, 1991.
"The Role of the Financial Sector in Economic Performance ,"
Center for Financial Institutions Working Papers
95-08, Wharton School Center for Financial Institutions, University of Pennsylvania.
[Downloadable!]
Anthony M. Santomero, 1996.
"The Regulatory and Public Policy Agenda for Effective Intermediation in Post Socialist Economies ,"
Center for Financial Institutions Working Papers
96-34, Wharton School Center for Financial Institutions, University of Pennsylvania.
[Downloadable!]
Gianni De Nicolo, 2000.
"Size, charter value and risk in banking: an international perspective ,"
International Finance Discussion Papers
689, Board of Governors of the Federal Reserve System (U.S.).
[Downloadable!]
Asli Demirgüç-Kunt, 1991.
"Principal-agent problems in commercial-bank failure decisions ,"
Working Paper
9106, Federal Reserve Bank of Cleveland.
[Downloadable!]
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!]
V.V. Chari, 1989.
"Banking without deposit insurance or bank panics: lessons from a model of the U.S. national banking system ,"
Quarterly Review ,
Federal Reserve Bank of Minneapolis, issue Sum, pages 3-19.
[Downloadable!]
John H. Boyd & Chun Chang & Bruce D. Smith, 1998.
"Deposit insurance: a reconsideration ,"
Working Papers
593, Federal Reserve Bank of Minneapolis.
[Downloadable!]
Other versions: Craig Burnside & Martin Eichenbaum & Sergio Rebelo, 1999.
"Hedging and financial fragility in fixed exchange rate regimes ,"
Working Paper Series
WP-99-11, Federal Reserve Bank of Chicago.
[Downloadable!]
Other versions:
Craig Burnside & Martin Eichenbaum & Sergio Rebelo, 1999.
"Hedging and Financial Fragility in Fixed Exchange Rate Regimes ,"
NBER Working Papers
7143, National Bureau of Economic Research, Inc.
[Downloadable!] (restricted) Burnside, A Craig & Eichenbaum, Martin & Rebelo, Sérgio, 1999.
"Hedging and Financial Fragility in Fixed Exchange Rate Regimes ,"
CEPR Discussion Papers
2171, C.E.P.R. Discussion Papers.
[Downloadable!] (restricted) Burnside, Craig & Eichenbaum, Martin & Rebelo, Sergio, 2001.
"Hedging and financial fragility in fixed exchange rate regimes ,"
European Economic Review ,
Elsevier, vol. 45(7), pages 1151-1193.
[Downloadable!] (restricted) Arthur J. Rolnick, 1987.
"The benefits of bank deposit rate ceilings: new evidence on bank rates and risk in the 1920's ,"
Quarterly Review ,
Federal Reserve Bank of Minneapolis, issue Sum, pages 2-18.
[Downloadable!]
John Bryant & Neil Wallace, 1978.
"Open-market operations in a model of regulated, insured intermediaries ,"
Staff Report
34, Federal Reserve Bank of Minneapolis.
[Downloadable!]
John H. Boyd & Stanley L. Graham, 1988.
"The profitability and risk effects of allowing bank holding companies to merge with other financial firms: a simulation study ,"
Quarterly Review ,
Federal Reserve Bank of Minneapolis, issue Spr, pages 3-20.
[Downloadable!]
Sule Ozler, 1988.
"Evolution of Commerical Bank Lending to Developing Countries ,"
UCLA Economics Working Papers
497, UCLA Department of Economics.
[Downloadable!]
Salvador Valdés & Alejandra Lomakin, 1988.
"Percepción sobre la Garantía Estatal a los Depósitos Durante 1987 en Chile ,"
Cuadernos de Economía (Latin American Journal of Economics) ,
Instituto de Economía. Pontificia Universidad Católica de Chile., vol. 25(75), pages 229-246.
[Downloadable!]
David C. Wheelock & Paul W. Wilson, 1993.
"Explaining bank failures: deposit insurance, regulation, and efficiency ,"
Working Papers
1993-002, Federal Reserve Bank of St. Louis.
[Downloadable!]
Other versions:
Wheelock, David C & Wilson, Paul W, 1995.
"Explaining Bank Failures: Deposit Insurance, Regulation, and Efficiency ,"
The Review of Economics and Statistics ,
MIT Press, vol. 77(4), pages 689-700, November.
[Downloadable!] (restricted) Demirguc-Kunt, Asli, 1992.
"Creditor country regulations and commercial bank lending to developing countries ,"
Policy Research Working Paper Series
917, The World Bank.
[Downloadable!]
Robert B. Litterman, 1982.
"Optimal control of the money supply ,"
Quarterly Review ,
Federal Reserve Bank of Minneapolis, issue Fall.
[Downloadable!]
Other versions: Anthony M Santomero & David L. Eckles, 2000.
"The Determinants Of Success In the New Financial Services Environment: Now That Firms Can Do Everything, What Should They Do And Why Should Regulators Care? ,"
Center for Financial Institutions Working Papers
00-32, Wharton School Center for Financial Institutions, University of Pennsylvania.
[Downloadable!]
Edda Zoli & Reza Vaez-Zadeh & Danyang Xie, 2002.
"MODIS: A Market-Oriented Deposit Insurance Scheme ,"
IMF Working Papers
02/207, International Monetary Fund.
[Downloadable!]
Other versions: 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!]
Gianni De Nicoló & John H. Boyd, 2003.
"Bank Risk-Taking and Competition Revisited ,"
IMF Working Papers
03/114, International Monetary Fund.
[Downloadable!]
Weber, Martin & Kleff, Volker, 2003.
"How Do Banks Determine Capital? : Empirical Evidence for Germany ,"
ZEW Discussion Papers
03-66, ZEW - Zentrum für Europäische Wirtschaftsforschung / Center for European Economic Research.
[Downloadable!]
G. Chiesa, 2001.
"Competition and Regulation in Banking ,"
Working Papers
397, Dipartimento Scienze Economiche, Universita' di Bologna.
[Downloadable!]
João dos Santos, 1997.
"Securities activities in banking conglomerates: should their location be regulated? ,"
Working Paper
9704, Federal Reserve Bank of Cleveland.
[Downloadable!]
Douglas W. Diamond & Philip H. Dybvig, 2000.
"Bank runs, deposit insurance, and liquidity ,"
Quarterly Review ,
Federal Reserve Bank of Minneapolis, issue Win, pages 14-23.
[Downloadable!]
Other versions:
Diamond, Douglas W & Dybvig, Philip H, 1983.
"Bank Runs, Deposit Insurance, and Liquidity ,"
Journal of Political Economy ,
University of Chicago Press, vol. 91(3), pages 401-19, June.
[Downloadable!] (restricted) Diwan, Ishac & Demirguc-Kunt, Asli, 1990.
"The menu approach to developing country external debt : an analysis of commercial banks'choice behavior ,"
Policy Research Working Paper Series
530, The World Bank.
[Downloadable!]
Xiaozhong Liang, 2005.
"The Behavior of Banks under the Deposit Insurance and Capital Requirements ,"
Computing in Economics and Finance 2005
407, Society for Computational Economics.
[Downloadable!]
Delis, Manthos D & Tran , Kien & Tsionas, Efthymios, 2009.
"Quantifying and explaining parameter heterogeneity in the capital regulation-bank risk nexus ,"
MPRA Paper
18526, University Library of Munich, Germany.
[Downloadable!]
Christian Broda & Eduardo Levy Yeyati, 2003.
"Endogenous deposit dollarization ,"
Staff Reports
160, Federal Reserve Bank of New York.
[Downloadable!]
Other versions:
Christian Broda & Eduardo Levy Yeyati, 2003.
"Endogenous Deposit Dollarization ,"
Business School Working Papers
dieciseis, Universidad Torcuato Di Tella.
[Downloadable!] Broda, Christian & Yeyati, Eduardo Levy, 2006.
"Endogenous Deposit Dollarization ,"
Journal of Money, Credit and Banking ,
Blackwell Publishing, vol. 38(4), pages 963-988, June.
[Downloadable!] (restricted) Ben Craig, 1996.
"Competing currencies: back to the future? ,"
Economic Commentary ,
Federal Reserve Bank of Cleveland, issue Oct 15.
[Downloadable!]
David C. Wheelock & Subal C. Kumbhaker, 1992.
"The slack banker dances: deposit insurance and risk-taking in the banking collapse of the 1920s ,"
Working Papers
1992-002, Federal Reserve Bank of St. Louis.
[Downloadable!]
Other versions: David C. Wheelock, 1991.
"Regulation and bank failures: new evidence from the agricultural collapse of the 1920's ,"
Working Papers
1991-006, Federal Reserve Bank of St. Louis.
[Downloadable!]
Other versions:
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This page was last updated on 2009-12-2.
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