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Regulation and Deregulation of the U.S. Banking Industry: Causes, Consequences and Implications for the Future

In: Economic Regulation and Its Reform: What Have We Learned?

  • Randall S. Kroszner
  • Philip E. Strahan
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    File URL: http://www.nber.org/chapters/c12571.pdf
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    This chapter was published in:
  • Nancy L. Rose, 2014. "Economic Regulation and Its Reform: What Have We Learned?," NBER Books, National Bureau of Economic Research, Inc, number rose05-1, October.
  • This item is provided by National Bureau of Economic Research, Inc in its series NBER Chapters with number 12571.
    Handle: RePEc:nbr:nberch:12571
    Contact details of provider: Postal: National Bureau of Economic Research, 1050 Massachusetts Avenue Cambridge, MA 02138, U.S.A.
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    1. Simon Kwan & Robert A. Eisenbeis, 1999. "Mergers of publicly traded banking organizations revisited," Economic Review, Federal Reserve Bank of Atlanta, issue Q4, pages 26-37.
    2. W. Scott Frame & Lawrence J. White, 2004. "Fussing and fuming over Fannie and Freddie: how much smoke, how much fire?," Working Paper 2004-26, Federal Reserve Bank of Atlanta.
    3. Geert Bekaert & Campbell R. Harvey & Christian T. Lundblad, 2003. "Equity Market Liberalization in Emerging Markets," Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 26(3), pages 275-299.
    4. George J. Stigler, 1971. "The Theory of Economic Regulation," Bell Journal of Economics, The RAND Corporation, vol. 2(1), pages 3-21, Spring.
    5. Randall S. Kroszner & Philip E. Strahan, 2001. "Throwing Good Money After Bad? Board Connections and Conflicts in Bank Lending," NBER Working Papers 8694, National Bureau of Economic Research, Inc.
    6. repec:cup:cbooks:9780521566087 is not listed on IDEAS
    7. Huertas, Thomas F., 1983. "The Regulation and Reform of the American Banking System, 1900–1929. By Eugene Nelson White. Princeton: Princeton University Press, 1983. Pp. 251," The Journal of Economic History, Cambridge University Press, vol. 43(04), pages 1043-1044, December.
    8. Joseph P. Hughes & William W. Lang & Loretta J. Mester, 1998. "The dollars and sense of bank consolidation," Working Papers 98-10, Federal Reserve Bank of Philadelphia.
    9. Nicola Cetorelli, 2002. "Life-cycle dynamics in industrial sectors. The role of banking market structure," Working Paper Series WP-02-26, Federal Reserve Bank of Chicago.
    10. Simon H. Kwan & Elizabeth S. Laderman, 1999. "On the portfolio effects of financial convergence - a review of the literature," Economic Review, Federal Reserve Bank of San Francisco, pages 18-31.
    11. Goldberg, Lawrence G. & Hanweck, Gerald A. & Keenan, Michael & Young, Allan, 1991. "Economies of scale and scope in the securities industry," Journal of Banking & Finance, Elsevier, vol. 15(1), pages 91-107, February.
    12. Calomiris, Charles W & Kahn, Charles M, 1991. "The Role of Demandable Debt in Structuring Optimal Banking Arrangements," American Economic Review, American Economic Association, vol. 81(3), pages 497-513, June.
    13. White, Eugene, 1995. "Deposit insurance," Policy Research Working Paper Series 1541, The World Bank.
    14. Mark Flannery & Katherine Samolyk, 2005. "Payday lending: do the costs justify the price?," Proceedings 949, Federal Reserve Bank of Chicago.
    15. Kris James Mitchener, 2006. "Are Prudential Supervision and Regulation Pillars of Financial Stability? Evidence from the Great Depression," NBER Working Papers 12074, National Bureau of Economic Research, Inc.
    16. William F. Shughart II, 1988. "A Public Choice Perspective of the Banking Act of 1933," Cato Journal, Cato Journal, Cato Institute, vol. 7(3), pages 595-619, Winter.
    17. Raymond W. Goldsmith, 1958. "Financial Intermediaries in the American Economy Since 1900," NBER Books, National Bureau of Economic Research, Inc, number gold58-1, October.
    18. Fausto Hernández Trillo, 1997. "The Banking and Financial Structure in the NAFTA Countries and Chile, Kluwer Academic Publishers, 1997, XX + 266 p. Regulation and Supervision of Financial Institutions in the NAFTA Countries and Beyo," Economía Mexicana NUEVA ÉPOCA, , vol. 0(1), pages 163-166, January-J.
    19. Abrams, Burton A & Settle, Russell F, 1993. " Pressure-Group Influence and Institutional Change: Branch-Banking Legislation during the Great Depression," Public Choice, Springer, vol. 77(4), pages 687-705, December.
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