Risks and failures in banking: overview, history, and evaluation
Citations
Citations are extracted by the CitEc Project, subscribe to its RSS feed for this item.
Cited by:
- John H. Boyd & Stanley L. Graham, 1988. "The profitability and risk effects of allowing bank holding companies to merge with other financial firms: a simulation study," Proceedings 213, Federal Reserve Bank of Chicago.
- George E. French & Eric Hirschhorn, 1988. "Insulation of banking from nonbanking: an empirical investigation," Proceedings 205, Federal Reserve Bank of Chicago.
- Donald J. Crawford, 1988. "Is securities brokerage the future of banking?," Proceedings 218, Federal Reserve Bank of Chicago.
- Gillian Garcia, 1988. "Lessons from the crash of '87: systemic issues," Proceedings 188, Federal Reserve Bank of Chicago.
- Thomas G. Labrecque, 1988. "The bank by any other name," Proceedings 184, Federal Reserve Bank of Chicago.
- Gary Gorton & Anthony M. Santomero, 1988. "The market's evaluation of bank risk: a methodological approach," Proceedings 198, Federal Reserve Bank of Chicago.
- Roger D. Rutz, 1988. "Corporate separateness," Proceedings 203, Federal Reserve Bank of Chicago.
- Walker F. Todd, 1988. "Lessons of the past and prospects for the future in lender of last resort theory," Proceedings 215, Federal Reserve Bank of Chicago.
- Christopher M. James, 1988. "Off-balance sheet activities and the underinvestment problem in banking," Proceedings 200, Federal Reserve Bank of Chicago.
- Carolyn Currie, 2003.
"Towards a General Theory of Financial Regulation: Predicting, Measuring and Preventing Financial Crises,"
Working Paper Series
132, Finance Discipline Group, UTS Business School, University of Technology, Sydney.
- Carolyn Currie, 2005. "Towards a General Theory of Financial Regulation: Predicting, Measuring and Preventing Financial Crises," Working Paper Series 142, Finance Discipline Group, UTS Business School, University of Technology, Sydney.
- Gary D. Koppenhaver, 1988. "An analysis of bank hedging in futures markets," Proceedings 201, Federal Reserve Bank of Chicago.
- Lawrence G. Goldberg & Gerald A. Hanweck & Michael Kennan & Allan Young, 1988. "Economies of scale and scope in the securities industry: a model using survey data from New York securities firms," Proceedings 208, Federal Reserve Bank of Chicago.
- Michael C. Keeley, 1988. "Bank capital regulation in the 1980s: effective or ineffective?," Proceedings 193, Federal Reserve Bank of Chicago.
- Ehud I. Ronn & Avinash K. Verma, 1988. "Risk-based capital adequacy standards for a sample of 43 major banks," Proceedings 192, Federal Reserve Bank of Chicago.
- Martha R. Seger, 1988. "Remarks for the panel "Lessons from October 19, 1987"," Proceedings 187, Federal Reserve Bank of Chicago.
- Robert E. Litan, 1988. "The future of banking: are "narrow" banks the answer?," Proceedings 219, Federal Reserve Bank of Chicago.
- S. Waite Rawls, 1988. "Will firewalls reduce risk?," Proceedings 220, Federal Reserve Bank of Chicago.
- Fred C. Graham & James E. Horner, 1988. "Bank failure: an evaluation of the factors contributing to the failure of national banks," Proceedings 210, Federal Reserve Bank of Chicago.
- R. Alton Gilbert, 1988. "A re-examination of the history of bank failures, contagion, and banking panics," Proceedings 195, Federal Reserve Bank of Chicago.
- Robert J. Lawrence & Samuel H. Talley, 1988. "Implementing a fail-proof banking system," Proceedings 206, Federal Reserve Bank of Chicago.
- William Taylor, 1988. "Systemic risk and financial restructuring," Proceedings 186, Federal Reserve Bank of Chicago.
- Jack Guttentag & Richard J. Herring, 1988. "Prudential supervision to manage systemic vulnerability," Proceedings 217, Federal Reserve Bank of Chicago.
- Robert R. Glauber, 1988. "Lessons from October 19th," Proceedings 189, Federal Reserve Bank of Chicago.
- Robert B. Avery & Allen N. Berger, 1988.
"Risk-based capital and off-balance sheet activities,"
Finance and Economics Discussion Series
35, Board of Governors of the Federal Reserve System (U.S.).
- Robert B. Avery & Allen N. Berger, 1988. "Risk-based capital and off-balance sheet activities," Proceedings 202, Federal Reserve Bank of Chicago.
- Edward J. Kane & Haluk Unal, 1988. "Parameter variability, event studies, and the two-index model," Proceedings 197, Federal Reserve Bank of Chicago.
- Alan Greenspan, 1988. "An overview of financial structuring," Proceedings 182, Federal Reserve Bank of Chicago.
- Anthony Saunders & Elizabeth Strock & Nickolaos G. Travlos, 1988. "Ownership structure, deregulation, and bank risk taking," Proceedings 199, Federal Reserve Bank of Chicago.
- Barry F. Sullivan, 1988. "The first law of restructuring," Proceedings 183, Federal Reserve Bank of Chicago.
- Wayne Passmore, 1988. "Loan loss reserves and stock market valuations of financial institutions," Proceedings 212, Federal Reserve Bank of Chicago.
- Joseph A. Grundfest, 1988. "The fact and the fiction of October 19," Proceedings 190, Federal Reserve Bank of Chicago.
- Merton H. Miller, 1988. "Margins and the future of the markets," Proceedings 191, Federal Reserve Bank of Chicago.
- Karim Nabaloum, 2025. "Contraintes Réglementaires Et Transmission De La Politique Monétaire Aux Prêts Bancaires Dans L'uemoa," African Development Review, African Development Bank, vol. 37(2), June.
- Eileen M. Friars, 1988. "Relatedness in financial services," Proceedings 209, Federal Reserve Bank of Chicago.
- Anna J. Schwartz, 1988. "The effects of regulation on systemic risks," Proceedings 185, Federal Reserve Bank of Chicago.
- Myron L. Kwast, 1988. "Bank securities powers: are there diversification gains?," Proceedings 214, Federal Reserve Bank of Chicago.
- William P. Osterberg & James B. Thomson, 1988.
"Capital requirements and optimal bank portfolios: a reexamination,"
Working Papers (Old Series)
8806, Federal Reserve Bank of Cleveland.
- William P. Osterberg & James B. Thomson, 1988. "Capital requirements and optimal bank portfolios: a reexamination," Proceedings 194, Federal Reserve Bank of Chicago.
- Bert Ely, 1988. "Technology, regulation and the financial services industry in the year 2000," Proceedings 216, Federal Reserve Bank of Chicago.
- James J. Musumeci & Joseph F. Sinkey, 1988. "The international debt crisis and bank security returns surrounding Citicorp's loan-loss-reserve decision of May 19, 1987," Proceedings 211, Federal Reserve Bank of Chicago.
- Kenneth E. Scott, 1988. "Financial restructuring--where do we go from here?," Proceedings 221, Federal Reserve Bank of Chicago.
- George G. Kaufman & Larry R. Mote, 1988. "Bank securities activities: current position and future prospects: current position and future prospects," Proceedings 207, Federal Reserve Bank of Chicago.
- Gerald P. Dwyer & Iftekhar Hasan, 1988. "Contagion effects and banks closed in the free banking period," Proceedings 196, Federal Reserve Bank of Chicago.
- Samuel B. Chase, 1988. "Insulating banks from risks run by nonbank affiliates," Proceedings 204, Federal Reserve Bank of Chicago.
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