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Changes in bank risk-taking


  • Frederick T. Furlong


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Suggested Citation

  • Frederick T. Furlong, 1988. "Changes in bank risk-taking," Economic Review, Federal Reserve Bank of San Francisco, issue Spr, pages 45-56.
  • Handle: RePEc:fip:fedfer:y:1988:i:spr:p:45-56

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    References listed on IDEAS

    1. Engle, Robert & Granger, Clive, 2015. "Co-integration and error correction: Representation, estimation, and testing," Applied Econometrics, Publishing House "SINERGIA PRESS", vol. 39(3), pages 106-135.
    2. Engle, Robert F. & Yoo, Byung Sam, 1987. "Forecasting and testing in co-integrated systems," Journal of Econometrics, Elsevier, vol. 35(1), pages 143-159, May.
    3. John P. Judd & Bharat Trehan, 1987. "Portfolio substitution and the reliability of M1, M2 and M3 as monetary policy indicators," Economic Review, Federal Reserve Bank of San Francisco, issue Sum, pages 5-29.
    4. Brian Motley, 1988. "Should M2 be redefined?," Economic Review, Federal Reserve Bank of San Francisco, issue Win, pages 33-51.
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    Citations are extracted by the CitEc Project, subscribe to its RSS feed for this item.

    Cited by:

    1. Gorton, Gary & Rosen, Richard, 1995. " Corporate Control, Portfolio Choice, and the Decline of Banking," Journal of Finance, American Finance Association, vol. 50(5), pages 1377-1420, December.
    2. repec:eee:spacre:v:17:y:2014:i:1:p:78-87 is not listed on IDEAS
    3. Vihriälä, Vesa, 1997. "Banks and the Finnish credit cycle 1986-1995," Scientific Monographs, Bank of Finland, number 1997_007, November.
    4. Alessandria, George & Qian, Jun, 2005. "Endogenous financial intermediation and real effects of capital account liberalization," Journal of International Economics, Elsevier, vol. 67(1), pages 97-128, September.
    5. Frederick T. Furlong & Robard Williams, 2006. "Financial market signals and banking supervision: are current practices consistent with research findings?," Economic Review, Federal Reserve Bank of San Francisco, pages 17-29.


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