An analysis of risk-based deposit insurance for commercial banks
Citations
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Cited by:
- Elijah Brewer, 1987. "The current magnitude of the problem in the S&L industry," Proceedings 160, Federal Reserve Bank of Chicago.
- Tim S. Campbell, 1987. "The valuation cost approach to the theory of financial intermediation," Proceedings 169, Federal Reserve Bank of Chicago.
- Lawrence G. Goldberg & T. Harikumar, 1991. "Risk-Taking Incentives Of Banks And Risk-Adjusted Deposit Insurance," Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 14(3), pages 233-239, September.
- Francisco de Cossio & Kevin P. Scanlon & Jack W. Trifts, 1987. "Bank equity returns: the difference between intrastate and interstate bank mergers," Proceedings 180, Federal Reserve Bank of Chicago.
- William C. Dunkelberg & John D. Leeth & Jonathan A. Scott, 1987. "Branch banking, market concentration, and the competition for small firm business," Proceedings 178, Federal Reserve Bank of Chicago.
- Claudia Campbell & Hyman Minsky, 1987. "How to get off the back of a tiger, or, do initial conditions constrain deposit insurance reform?," Proceedings 158, Federal Reserve Bank of Chicago.
- Gillian Garcia & Michael Polakoff, 1987. "Does capital forbearance pay and if so for whom?," Proceedings 161, Federal Reserve Bank of Chicago.
- Richard W. Nelson, 1987. "Optimization and bank management comments on papers by Udell and Morgan- Smith," Proceedings 176, Federal Reserve Bank of Chicago.
- Constance R. Dunham, 1987. "Structure - performance relationships in regional banking markets," Proceedings 177, Federal Reserve Bank of Chicago.
- J. Huston McCulloch, 1987. "The Ohio S&L crisis in retrospect: implications for the current federal deposit insurance crisis," Proceedings 157, Federal Reserve Bank of Chicago.
- Martha R. Seger, 1987. "Introductory remarks on the merging of commercial and investment banking," Proceedings 138, Federal Reserve Bank of Chicago.
- Harold Olin, 1987. "The thrift institutions' experience with service corporations," Proceedings 149, Federal Reserve Bank of Chicago.
- Yuko Oana, 1987. "Expanding bank powers: international perspectives," Proceedings 146, Federal Reserve Bank of Chicago.
- Gary Gorton & Joseph G. Haubrich, 1987. "The paradox of loan sales," Proceedings 151, Federal Reserve Bank of Chicago.
- Clifford Smith & Charles W. Smithson, 1987. "Credit risk and the scope of regulation of swaps," Proceedings 153, Federal Reserve Bank of Chicago.
- Edward J. Kane, 1987.
"Who Should Learn What From the Failure and Delayed Bailout of the ODGF?,"
NBER Working Papers
2260, National Bureau of Economic Research, Inc.
- Edward J. Kane, 1987. "Who should learn what from the failure and delayed bailout of the ODGF?," Proceedings 162, Federal Reserve Bank of Chicago.
- P. Michael Laub, 1987. "Problems of community banks and their need for expanded powers," Proceedings 148, Federal Reserve Bank of Chicago.
- Gerald A. Hanweck, 1987. "Federal tax treatment for bank loan losses and bank capital adequacy," Proceedings 181, Federal Reserve Bank of Chicago.
- George G. Kaufman, 1987. "Public policy toward failing institutions: the lessons from the thrift industry," Proceedings 159, Federal Reserve Bank of Chicago.
- Hwang, Dar-Yeh & Lee, Cheng F. & Liaw, K. Thomas, 1997. "Forecasting bank failures and deposit insurance premium," International Review of Economics & Finance, Elsevier, vol. 6(3), pages 317-334.
- William J. McDonough, 1987. "Financial innovations and the merging of commercial and investment banking activities," Proceedings 139, Federal Reserve Bank of Chicago.
- Donald M. Brown & Steven C. Isberg, 1987. "The effect of new capital issues on the prices of holding company shares," Proceedings 179, Federal Reserve Bank of Chicago.
- O. Jay Tomson, 1987. "Benefits of expanded bank powers for community banks," Proceedings 150, Federal Reserve Bank of Chicago.
- C. W. Sealey, 1987. "Finance theory and financial intermediation," Proceedings 170, Federal Reserve Bank of Chicago.
- Thomas S. Johnson, 1987. "Risks and profitability in the banking system: assessment and prescription," Proceedings 147, Federal Reserve Bank of Chicago.
- Jack Guttentag, 1987. "Financial innovations and the merging of commercial and investment banking activities," Proceedings 142, Federal Reserve Bank of Chicago.
- Linda T. Rudnick, 1987. "Discussion of practical aspects of interest rate swaps vs. "the market for interest rate swaps" -- Alternative explanations of interest rate swaps," Proceedings 155, Federal Reserve Bank of Chicago.
- Mark Muffett, 1987. "Modelling credit exposure on swaps," Proceedings 173, Federal Reserve Bank of Chicago.
- George Pennacchi, 1987. "Market discipline, information disclosure, and uninsured deposits," Proceedings 172, Federal Reserve Bank of Chicago.
- William S. Ogden, 1987. "An introduction to expanding bank powers: international perspectives," Proceedings 143, Federal Reserve Bank of Chicago.
- Lawrence Connell, 1987. "Managing the troubled thrift," Proceedings 163, Federal Reserve Bank of Chicago.
- Edward J. Kane & Haluk Unal, 1987. "Off-balance-sheet items and the changing market and interest-rate sensitivity of deposit-institution equity returns," Proceedings 171, Federal Reserve Bank of Chicago.
- Hans H. Angermueller, 1987. "The customer is always right: the case for functional regulation of financial services," Proceedings 137, Federal Reserve Bank of Chicago.
- John J. Pringle & Larry D. Wall, 1987. "Alternate explanations of interest rate swaps," Proceedings 154, Federal Reserve Bank of Chicago.
- Christine A. Pavel & David Phillis, 1987. "Why commercial banks sell loans: an empirical analysis," Proceedings 152, Federal Reserve Bank of Chicago.
- William E. Gibson, 1987. "A practical perspective on thrift difficulties," Proceedings 164, Federal Reserve Bank of Chicago.
- John G. Heimann, 1987. "Financial innovation: opportunities, risk, and regulation," Proceedings 140, Federal Reserve Bank of Chicago.
- Daniel Huyser, 1987. "Problem banks: the Phoenix factors," Proceedings 167, Federal Reserve Bank of Chicago.
- Gregory F. Udell, 1987. "Designing the optimal loan review policy," Proceedings 175, Federal Reserve Bank of Chicago.
- Paul M. Horvitz, 1987. "Assessing the management consignment program," Proceedings 165, Federal Reserve Bank of Chicago.
- Jones, David S. & King, Kathleen Kuester, 1995. "The implementation of prompt corrective action: An assessment," Journal of Banking & Finance, Elsevier, vol. 19(3-4), pages 491-510, June.
- William Peter Cooke, 1987. "Comments on expanding bank powers: an international perspective," Proceedings 145, Federal Reserve Bank of Chicago.
- Alex J. Pollock, 1987. "Clubs, markets, and variations on a theme by Senator Glass," Proceedings 141, Federal Reserve Bank of Chicago.
- Douglas Evanoff & Philip Bartholomew & Robert DeYoung & Cosmin Lucaci & Ronnie Phillips, 2008. "Bank Structure Conference Impact Study," Journal of Financial Services Research, Springer;Western Finance Association, vol. 34(2), pages 99-121, December.
- Donald R. Fraser & James Kolari, 1987. "Determinants of small bank acquisition premiums," Proceedings 168, Federal Reserve Bank of Chicago.
- Robert Darin & John R. Walter, 1994. "Were bank examiners too strict with New England and California banks?," Economic Quarterly, Federal Reserve Bank of Richmond, issue Fall, pages 25-47.
- George E. Morgan, 1987. "The relationship between returns to risky lending and Gap management," Proceedings 174, Federal Reserve Bank of Chicago.
- William R. Lane & Stephen W. Looney & James W. Wansley, 1987. "An examination of bank failure misclassifications using the Cox model," Proceedings 156, Federal Reserve Bank of Chicago.
- Allan Popoff, 1987. "Expanding bank powers: a Canadian perspective," Proceedings 144, Federal Reserve Bank of Chicago.
- R. Alton Gilbert, 1987. "Local economic effects of bank failures," Proceedings 166, Federal Reserve Bank of Chicago.
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