Prudential Regulation of Bank Ownership and Control
A somewhat controversial aspect of prudential policy in Australia has been the supervision of bank ownership and control. This paper initially surveys the historical development of this supervision and then provides an economic analysis of ownership controls. Empirical evidence is explored for its implications.
(This abstract was borrowed from another version of this item.)
|Date of creation:||Jan 1989|
|Contact details of provider:|| Postal: Sydney, NSW 2006|
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