This file is part of IDEAS , which uses RePEc data
[ Papers |
Articles |
Software |
Books |
Chapters |
Authors |
Institutions |
JEL Classification |
NEP reports |
Search |
New papers by email |
Author registration |
Rankings |
Volunteers |
FAQ |
Blog |
Help! ]
Wharton School Center for Financial Institutions, University of Pennsylvania Center for Financial Institutions Working Papers Contact information of
Wharton School Center for Financial Institutions, University of Pennsylvania: Postal: 3301 Steinberg Hall-Dietrich Hall, 3620 Locust Walk, Philadelphia, PA 19104.6367 Phone: 215.898.1279 Fax: 215.573.8757 Email: Web page: http://fic.wharton.upenn.edu/fic/ More information through EDIRC
For technical questions regarding this series, please contact
(Thomas Krichel) Series handle: repec:wop:pennin
More pages of listings: 0 |1 2003
2002 99-02 Checking Accounts and Bank Monitoring by Loretta J. Mester & Leonard I. Nakamura & Micheline Renault [Downloadable!]
03-05 Venture Capital and Corporate Governance by Franklin Allen & Wei-ling Song [Downloadable!]
03-02 Risk Measurement, Risk Management and Capital Adequacy in Financial Conglomerates by Andrew Kuritzkes & Til Schuermann & Scott M. Weiner [Downloadable!]
02-44 Law, Finance, and Economic Growth in China by Franklin Allen & Jun Qian & Meijun Qian [Downloadable!]
02-43 Commonality in Liquidity: Transmission of Liquidity Shocks across Investors and Securities by Chitru S. Fernando [Downloadable!]
02-42 Weather Forecasting for Weather Derivatives by Sean D. Campbell & Francis X. Diebold [Downloadable!]
02-40 Catastrophic Events, Parameter Uncertainty and the Breakdown of Implicit Long-term Contracting in the Insurance Market: The Case of Terrorism Insurance by J. David Cummins & Christopher M. Lewis [Downloadable!]
02-39 The Real Effects of U.S. Banking Deregulation by Philip E. Strahan [Downloadable!]
02-38 Financial Integration, Dis-integration and Emerging Re-Integration in the Eastern Mediterranean, c.1850 to the Present by Adrian E. Tschoegl [Downloadable!]
02-37 An Evolutionary View of Internationalization: Chase Manhattan Bank, 1917 to 1996 by Gino Cattani & Adrian E. Tschoegl [Downloadable!]
02-36 Banks and the World's Major Banking Centers, 2000 by Sang Rim Choi & Daekeun Park & Adrian E. Tschoegl [Downloadable!]
02-35 Bank Asset Liquidation and the Propagation of the U.S. Great Depression by Ali Anari & James Kolari & Joseph Mason [Downloadable!]
02-34 Forecasting the Term Structure of Government Bond Yields by Francis X. Diebold & Canlin Li [Downloadable!]
02-33 Liquidity, Efficiency and Bank Bailouts by Gary Gorton & Lixin Huang [Downloadable!]
02-32 Corporate Governance and Equity Prices by Paul A. Gompers & Joy L. Ishii & Andrew Metrick [Downloadable!]
02-30 The Scarcity of Effective Monitors and Its Implications For Corporate Takeovers and Ownership Structures by Gary Gorton & Matthias Kahl [Downloadable!]
02-29 Bank Panics and the Endogeneity of Central Banking by Gary Gorton & Lixin Huang [Downloadable!]
02-28 Financial Intermediation by Gary Gorton & Andrew Winton [Downloadable!]
02-27 Parametric and Nonparametric Volatility Measurement by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold [Downloadable!]
02-26 Extracting Probabilistic Information from the Prices of Interest Rate Options: Tests of Distributional Assumptions by Kabir K. Dutta & David F. Babbel [Downloadable!]
02-25 On Measuring Skewness and Kurtosis in Short Rate Distributions: The Case of the US Dollar London Inter Bank Offer Rates by Kabir K. Dutta & David F. Babbel [Downloadable!]
02-23 Micro Effects of Macro Announcements: Real-Time Price Discovery in Foreign Exchange? by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega [Downloadable!]
02-22 Asset Price Bubbles and Stock Market Interlinkages by Franklin Allen & Douglas Gale [Downloadable!]
02-20 A Real Options Approach to Bankruptcy Costs: Evidence from Failed Commercial Banks During the 1990s by Joseph R. Mason [Downloadable!]
02-19 Implications of Auction Theory for New Issues Markets by Lawrence M. Ausubel [Downloadable!]
02-18 Do Bankers Sacrifice Value to Build Empires? Managerial Incentives, Industry Consolidation and Financial Performance by Joseph P. Hughes & William W. Lang & Loretta J. Mester & Choon-Geol Moon & Michael S. Pagano [Downloadable!]
02-11 The Immediacy Implications of Exchange Orgzanization by James T. Moser [Downloadable!]
02-06 The Demand for Homeowners Insurance with Bundled Catastrophe Coverage by Martin F. Grace & Robert W. Klein & Paul R. Kleindorfer [Downloadable!]
02-05 The Future of the New Issues Market by Jay R. Ritter [Downloadable!]
02-04 Wall Street’s Credibility Problem: Misaligned Incentives and Dubious Fixes? by Leslie Boni & Kent L. Womack [Downloadable!]
02-03 The Future of Stock Exchanges in Emerging Economies: Evolution and Prosepcts by Stijn Claessens & Daniela Klingebiel & Sergio L. Schmukler [Downloadable!]
02-02 Deposit Insurance and Risk Management of the U.S. Banking System: How Much? How Safe? Who Pays? by Andrew Kuritzkes & Til Schuermann & Scott Weiner [Downloadable!]
01-38 Modeling Regional Interdependencies Using a Global Error-Correcting Macroeconometric Model by M. Hashem Pesaran & Til Schuermann & Scott M. Weiner [Downloadable!]
01-33 Is the Offer Price in IPOs Informative? Underpricing, Ownership Structure, and Performance by Chitru S. Fernando & Srinivasan Krishnamurthy & Paul A. Spindt [Downloadable!]
01-21 Payout Policy by Franklin Allen & Roni Michaely [Downloadable!]
2001 2000 99-33 Optimal Financial Contracts for Large Investors: The Role of Lender Liability by Mitchell Berlin & Loretta J. Mester [Downloadable!]
99-29 Conglomeration Versus Strategic Focus: Evidence from the Insurance Industry by Allen N. Berger & J. David Cummins & Mary A. Weiss & Hongmin Zi [Downloadable!]
97-47 Recovering Risky Technologies Using the Almost Ideal Demand System: An Application to U.S. Banking by Joseph P. Hughes & William Lang & Loretta J. Mester & Choon-Geol Moon [Downloadable!]
97-46 Fee Waivers in Money Market Mutual Funds by Susan E.K. Christoffersen [Downloadable!]
01-26 Asset Price Bubbles and Monetary Policy by Franklin Allen & Douglas Gale [Downloadable!]
01-18 Risk Management in an Age of Change by Daniel M.G. Raff [Downloadable!]
01-08 The Case of the Missing Market: The Bond Market and Why It Matters for Financial Development by Richard J. Herring & Nathporn Chatusripitak [Downloadable!]
00-43 The Interdependence between Mutual Fund Managers and Investors in Setting Fees by Susan E. K. Christoffersen [Downloadable!]
00-42 Foreign Banks in the United States Since World War II: A Useful Fringe by Adrian E. Tschoegl [Downloadable!]
00-40 Risk Factor Analysis and Portfolio Immunization in the Corporate Bond Market by Marida Bertocchi & Rosella Giacometti & Stavros A. Zenios [Downloadable!]
00-39 Searching for the Value of Quality in Financial Services by Andreas C. Soteriou & Stavros A. Zenios [Downloadable!]
00-38 Optimal Bank Regulation and Monetary Policy by John J. Seater [Downloadable!]
00-37 On the Perils of Security Pricing by Financial Intermediaries: The Case of Open-End Mutual Funds by John M.R. Chalmers & Roger M. Edelen & Gregory B. Kadlec [Downloadable!]
00-36 Class Struggle Inside the Firm: A Study of German Codetermination by Gary Gorton & Frank Schmid [Downloadable!]
00-35 The Internet and the Future of Financial Services: Transparency, Differential Pricing and Disintermediation by Eric K. Clemons & Lorin M. Hitt [Downloadable!]
00-34 What Is Optimal Financial Regulation? by Richard J. Herring & Anthony M. Santomero [Downloadable!]
00-33 Are All Scale Economies in Banking Elusive or Illusive: Evidence Obtained by Incorporating Capital Structure and Risk Taking into Models of Bank Production by Joseph P. Hughes & Loretta J. Mester & Choon-Geol Moon [Downloadable!]
00-32 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? by Anthony M Santomero & David L. Eckles [Downloadable!]
00-31 It's Not Just the ATMs: Technology, Firm Strategies, Jobs, and Earnings in Retail Banking by Larry W. Hunter & Annette Bernhardt & Katherine L. Hughes & Eva Skuratowicz [Downloadable!]
00-27 The Distribution of Stock Return Volatility by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Heiko Ebens [Downloadable!]
00-26 Ratings Migration and the Business Cycle, With Application to Credit Portfolio Stress Testing by Anil Bangia & Francis X. Diebold & Til Schuermann [Downloadable!]
00-24 Financial Market Regulation: The Case of Italy and a Proposal for the Euro Area by Giorgio Di Giorgio & Carmine Di Noia & Laura Piatti [Downloadable!]
00-23 Optimal Currency Crises by Franklin Allen & Douglas Gale [Downloadable!]
00-22 The Basis Risk of Catastrophic-Loss Index Securities by J. David Cummins & David Lalonde & Richard D. Phillips [Downloadable!]
00-21 Loanable Funds, Monitoring and Banking by Huberto M. Ennis [Downloadable!]
00-20 Bank Competition and Firm Creation by Emilia Bonaccorsi di Patti & Giovanni Dell & Ariccia#x2019 [Downloadable!]
00-18 Competition, Growth, and Performance in the Banking Industry by Bert Scholtens [Downloadable!]
00-17 A Comparative Study of Efficiency in European Banking by Barbara Casu & Philip Molyneux [Downloadable!]
00-14 Banking Relations, Competition and Research Incentives by Thomas Gehrig [Downloadable!]
00-13 Relationship Banking and Competition under Differentiated Asymmetric Information by Robert Hauswald & Robert Marquez [Downloadable!]
00-12 The Dynamics of Market Entry: The Effects of Mergers and Acquisitions on De Novo Entry and Small Business Lending in the Banking Industry by Allen N. Berger & Seth D. Bonime & Lawrence G. Goldberg & Lawrence J. White [Downloadable!]
00-10 Learning by Lending, Competition, and Screening Incentives in the Banking Industry by Giovanni Dell & Ariccia#x2019 [Downloadable!]
00-09 Screening, Bidding, and the Loan Market Tightness by Melanie Cao & Shouyong Shi [Downloadable!]
00-08 Holders of the Purse Strings: Governance and Performance of Public Retirement Systems by Michael Useem & Olivia S. Mitchell [Downloadable!]
00-07 Developments in Retirement Provision: Global Trends and Lessons from Australia and the US by Olivia S. Mitchell & John Piggott [Downloadable!]
00-06 New Trends in Pension Benefit and Retirement Provisions by Olivia S. Mitchell [Downloadable!]
00-05 The Visible Hand, The Invisible Hand and Efficiency by Eitan Goldman & Gary Gorton [Downloadable!]
00-04 Consumer Response to Changes in Credit Supply: Evidence from Credit Card Data by David B. Gross & Nicholas S. Souleles [Downloadable!]
00-01 Can Firms Learn to Acquire? Do Markets Notice? by Maurizio Zollo & Dima Leshchinkskii [Downloadable!]
1999 1998 More pages of listings: 0 |1 Access
and download statistics
Did you know? About 1000 journals are listed on RePEc .
This page was last updated on 2009-11-10.
This information is provided to you by IDEAS at the Department of Economics , College of Liberal Arts and Sciences , University of Connecticut using RePEc data on a server sponsored by the Society for Economic Dynamics .