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Improving banking supervision

Citations

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Cited by:

  1. David G. Mayes, 2009. "Did Recent Experience of a Financial Crisis Help in Coping with the Current Financial Turmoil? The Case of the Nordic Countries," Journal of Common Market Studies, Wiley Blackwell, vol. 47(5), pages 997-1015, November.
  2. Hyytinen, Ari & Takalo, Tuomas, 2001. "Preventing Systemic Crises through Bank Transparency," Discussion Papers 776, The Research Institute of the Finnish Economy.
  3. repec:zbw:bofrdp:2004_010 is not listed on IDEAS
  4. Kadri Männasoo & David G. Mayes, 2006. "Investigating the Early Signals of Banking Sector Vulnerabilities in Central and East European Emerging Markets," Chapters, in: Klaus Liebscher & Josef Christl & Peter Mooslechner & Doris Ritzberger-Grünwald (ed.), Financial Development, Integration and Stability, chapter 21, Edward Elgar Publishing.
  5. repec:zbw:bofitp:2000_002 is not listed on IDEAS
  6. Ari Hyytinen & Tuomas Takalo, 2002. "Enhancing Bank Transparency: A Re-assessment," Review of Finance, European Finance Association, vol. 6(3), pages 429-445.
  7. repec:zbw:bofrdp:2004_009 is not listed on IDEAS
  8. Männasoo, Kadri & Mayes, David G., 2009. "Explaining bank distress in Eastern European transition economies," Journal of Banking & Finance, Elsevier, vol. 33(2), pages 244-253, February.
  9. David G. Mayes, 2012. "Moral Hazard, Bank Resolution and the Protection of Depositors," Chapters, in: James R. Barth & Chen Lin & Clas Wihlborg (ed.), Research Handbook on International Banking and Governance, chapter 14, Edward Elgar Publishing.
  10. Ari Hyytinen & Tuomas Takalo, 2002. "Enhancing Bank Transparency: A Re-assessment," Review of Finance, European Finance Association, vol. 6(3), pages 429-445.
  11. Emmanuel Mensah & Christopher Boachie, 2023. "Analysis of the determinants of corporate governance quality: evidence from sub-Saharan Africa," International Journal of Disclosure and Governance, Palgrave Macmillan, vol. 20(4), pages 431-450, December.
  12. Singh, Rupinder, 2000. "Bank regulation, compliance and enforcement," BOFIT Discussion Papers 2/2000, Bank of Finland, Institute for Economies in Transition.
  13. David G. Mayes, 2009. "The Role Of Central Banks In Financial Supervision And Regulation," Economic Affairs, Wiley Blackwell, vol. 29(3), pages 40-46, September.
  14. Krawczyk, Mariusz K., 2004. "Change and Crisis in the Japanese Banking Industry," Discussion Paper Series 26383, Hamburg Institute of International Economics.
  15. Glenn Hoggarth & Jack Reidhill & Peter Sinclair, 2004. "On the resolution of banking crises: theory and evidence," Bank of England working papers 229, Bank of England.
  16. Mayes, David G. & Nieto, María J. & Wall, Larry, 2008. "Multiple safety net regulators and agency problems in the EU: Is Prompt Corrective Action partly the solution?," Journal of Financial Stability, Elsevier, vol. 4(3), pages 232-257, September.
  17. Mayes, David & Virén, Matti, 2004. "Asymmetries in the Euro area economy," Bank of Finland Research Discussion Papers 9/2004, Bank of Finland.
  18. David Mayes, 2011. "The future of financial markets: financial crisis avoidance," Empirica, Springer;Austrian Institute for Economic Research;Austrian Economic Association, vol. 38(1), pages 77-101, February.
  19. David G. Mayes & Matti Virén, 2004. "Asymmetries in the Euro area economy," Macroeconomics 0404024, University Library of Munich, Germany.
  20. Lars Jonung & Ludger Schuknecht & Mika Tujula, 2005. "The boom-bust cycle in Finland and Sweden 1984-1995 in an international perspective," European Economy - Economic Papers 2008 - 2015 237, Directorate General Economic and Financial Affairs (DG ECFIN), European Commission.
  21. Llewellyn, David T. & Mayes, David G., 2003. "The role of market discipline in handling problem banks," Bank of Finland Research Discussion Papers 21/2003, Bank of Finland.
  22. David G. Mayes, 2011. "Early Intervention and Prompt Corrective Action in Europe," Chapters, in: Christopher J. Green & Eric J. Pentecost & Tom Weyman-Jones (ed.), The Financial Crisis and the Regulation of Finance, chapter 10, Edward Elgar Publishing.
  23. Mälkönen, Ville, 2004. "Capital adequacy regulation and financial conglomerates," Bank of Finland Research Discussion Papers 10/2004, Bank of Finland.
  24. Michael Amoh Asiedu & Emmanuel Mensah, 2023. "Re-examining the corporate governance – Firm performance nexus: Fresh evidence from a causal mediation analysis," Cogent Economics & Finance, Taylor & Francis Journals, vol. 11(1), pages 2223414-222, December.
  25. Krawczyk, Mariusz K., 2004. "Change and Crisis in the Japanese Banking Industry," HWWA Discussion Papers 277, Hamburg Institute of International Economics (HWWA).
  26. David G. Mayes, 2008. "Avoiding the Next Crisis," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, vol. 9(04), pages 44-50, December.
  27. Mayes, David G., 2004. "An approach to bank insolvency in transition and emerging economies," Bank of Finland Research Discussion Papers 4/2004, Bank of Finland.
  28. Eisenbeis, Robert A. & Kaufman, George G., 2008. "Cross-border banking and financial stability in the EU," Journal of Financial Stability, Elsevier, vol. 4(3), pages 168-204, September.
  29. David G. Mayes, 2011. "Early Intervention and Prompt Corrective Action in Europe," Chapters, in: Christopher J. Green & Eric J. Pentecost & Tom Weyman-Jones (ed.), The Financial Crisis and the Regulation of Finance, chapter 10, Edward Elgar Publishing.
  30. Singleton,John, 2010. "Central Banking in the Twentieth Century," Cambridge Books, Cambridge University Press, number 9780521899093.
  31. International Association of Deposit Insurers, 2011. "Cross Border Deposit Insurance Issues Raised by the Global Financial Crisis," IADI Research Papers 11-03, International Association of Deposit Insurers.
  32. repec:zbw:bofrdp:2003_025 is not listed on IDEAS
  33. repec:zbw:bofrdp:2000_010 is not listed on IDEAS
  34. Mayes, David G., 2005. "Who pays for bank insolvency in transition and emerging economies?," Journal of Banking & Finance, Elsevier, vol. 29(1), pages 161-181, January.
  35. repec:zbw:bofrdp:2009_017 is not listed on IDEAS
  36. Mälkönen, Ville, 2004. "Capital adequacy regulation and financial conglomerates," Research Discussion Papers 10/2004, Bank of Finland.
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