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Risks and failures in banking: overview, history, and evaluation

Citations

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Cited by:

  1. 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.
  2. George E. French & Eric Hirschhorn, 1988. "Insulation of banking from nonbanking: an empirical investigation," Proceedings 205, Federal Reserve Bank of Chicago.
  3. Donald J. Crawford, 1988. "Is securities brokerage the future of banking?," Proceedings 218, Federal Reserve Bank of Chicago.
  4. Gillian Garcia, 1988. "Lessons from the crash of '87: systemic issues," Proceedings 188, Federal Reserve Bank of Chicago.
  5. Thomas G. Labrecque, 1988. "The bank by any other name," Proceedings 184, Federal Reserve Bank of Chicago.
  6. Gary Gorton & Anthony M. Santomero, 1988. "The market's evaluation of bank risk: a methodological approach," Proceedings 198, Federal Reserve Bank of Chicago.
  7. Roger D. Rutz, 1988. "Corporate separateness," Proceedings 203, Federal Reserve Bank of Chicago.
  8. 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.
  9. Christopher M. James, 1988. "Off-balance sheet activities and the underinvestment problem in banking," Proceedings 200, Federal Reserve Bank of Chicago.
  10. 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.
  11. Gary D. Koppenhaver, 1988. "An analysis of bank hedging in futures markets," Proceedings 201, Federal Reserve Bank of Chicago.
  12. 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.
  13. Michael C. Keeley, 1988. "Bank capital regulation in the 1980s: effective or ineffective?," Proceedings 193, Federal Reserve Bank of Chicago.
  14. 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.
  15. Martha R. Seger, 1988. "Remarks for the panel "Lessons from October 19, 1987"," Proceedings 187, Federal Reserve Bank of Chicago.
  16. Robert E. Litan, 1988. "The future of banking: are "narrow" banks the answer?," Proceedings 219, Federal Reserve Bank of Chicago.
  17. S. Waite Rawls, 1988. "Will firewalls reduce risk?," Proceedings 220, Federal Reserve Bank of Chicago.
  18. 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.
  19. R. Alton Gilbert, 1988. "A re-examination of the history of bank failures, contagion, and banking panics," Proceedings 195, Federal Reserve Bank of Chicago.
  20. Robert J. Lawrence & Samuel H. Talley, 1988. "Implementing a fail-proof banking system," Proceedings 206, Federal Reserve Bank of Chicago.
  21. William Taylor, 1988. "Systemic risk and financial restructuring," Proceedings 186, Federal Reserve Bank of Chicago.
  22. Jack Guttentag & Richard J. Herring, 1988. "Prudential supervision to manage systemic vulnerability," Proceedings 217, Federal Reserve Bank of Chicago.
  23. Robert R. Glauber, 1988. "Lessons from October 19th," Proceedings 189, Federal Reserve Bank of Chicago.
  24. 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.).
  25. Edward J. Kane & Haluk Unal, 1988. "Parameter variability, event studies, and the two-index model," Proceedings 197, Federal Reserve Bank of Chicago.
  26. Alan Greenspan, 1988. "An overview of financial structuring," Proceedings 182, Federal Reserve Bank of Chicago.
  27. Anthony Saunders & Elizabeth Strock & Nickolaos G. Travlos, 1988. "Ownership structure, deregulation, and bank risk taking," Proceedings 199, Federal Reserve Bank of Chicago.
  28. Barry F. Sullivan, 1988. "The first law of restructuring," Proceedings 183, Federal Reserve Bank of Chicago.
  29. Wayne Passmore, 1988. "Loan loss reserves and stock market valuations of financial institutions," Proceedings 212, Federal Reserve Bank of Chicago.
  30. Joseph A. Grundfest, 1988. "The fact and the fiction of October 19," Proceedings 190, Federal Reserve Bank of Chicago.
  31. Merton H. Miller, 1988. "Margins and the future of the markets," Proceedings 191, Federal Reserve Bank of Chicago.
  32. 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.
  33. Eileen M. Friars, 1988. "Relatedness in financial services," Proceedings 209, Federal Reserve Bank of Chicago.
  34. Anna J. Schwartz, 1988. "The effects of regulation on systemic risks," Proceedings 185, Federal Reserve Bank of Chicago.
  35. Myron L. Kwast, 1988. "Bank securities powers: are there diversification gains?," Proceedings 214, Federal Reserve Bank of Chicago.
  36. 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.
  37. Bert Ely, 1988. "Technology, regulation and the financial services industry in the year 2000," Proceedings 216, Federal Reserve Bank of Chicago.
  38. 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.
  39. Kenneth E. Scott, 1988. "Financial restructuring--where do we go from here?," Proceedings 221, Federal Reserve Bank of Chicago.
  40. 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.
  41. Gerald P. Dwyer & Iftekhar Hasan, 1988. "Contagion effects and banks closed in the free banking period," Proceedings 196, Federal Reserve Bank of Chicago.
  42. Samuel B. Chase, 1988. "Insulating banks from risks run by nonbank affiliates," Proceedings 204, Federal Reserve Bank of Chicago.
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