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Optimal Bank Regulation in the Presence of Credit and Run Risk

Citations

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Cited by:

  1. Santos, João A.C. & Suarez, Javier, 2019. "Liquidity standards and the value of an informed lender of last resort," Journal of Financial Economics, Elsevier, vol. 132(2), pages 351-368.
  2. Altermatt, Lukas & Wang, Zijian, 2024. "Oligopoly banking, risky investment, and monetary policy," European Economic Review, Elsevier, vol. 164(C).
  3. Kristian Blickle & Markus Brunnermeier & Stephan Luck, 2020. "Micro-evidence from a System-wide Financial Meltdown: The German Crisis of 1931," Working Papers 275, Princeton University, Department of Economics, Center for Economic Policy Studies..
  4. Anand, Kartik & König, Philipp Johann, 2026. "Multiple equilibria? Don't panic! - A hitchhiker's guide to global games," Discussion Papers 05/2026, Deutsche Bundesbank.
  5. Roberto Robatto, 2024. "Liquidity Requirements and Central Bank Interventions During Banking Crises," Management Science, INFORMS, vol. 70(2), pages 1175-1193, February.
  6. Roberts, Daniel & Sarkar, Asani & Shachar, Or, 2023. "Liquidity regulations, bank lending and fire-sale risk," Journal of Banking & Finance, Elsevier, vol. 156(C).
  7. Eric Cuijpers & Razvan Vlahu, 2026. "Cross-border banking, intragroup exposures and risk-taking," Working Papers 854, DNB.
  8. Carletti, Elena & Leonello, Agnese & Marquez, Robert, 2023. "Loan guarantees, bank underwriting policies and financial stability," Journal of Financial Economics, Elsevier, vol. 149(2), pages 260-295.
  9. Altermatt, Lukas & van Buggenum, Hugo & Voellmy, Lukas, 2024. "Systemic bank runs without aggregate risk: How a misallocation of liquidity may trigger a solvency crisis," Journal of Financial Economics, Elsevier, vol. 161(C).
  10. Fabiana Gomez & Quynh-Anh Vo, 2020. "Liquidity management, fire sale and liquidity crises in banking: the role of leverage," Bank of England working papers 894, Bank of England.
  11. Kristian Blickle & Markus Brunnermeier & Stephan Luck, 2024. "Who Can Tell Which Banks Will Fail?," The Review of Financial Studies, Society for Financial Studies, vol. 37(9), pages 2685-2731.
  12. Marcella Lucchetta, 2025. "Bank risk in flux: policy interplay under uncertainty," Annals of Finance, Springer, vol. 21(3), pages 379-390, September.
  13. Hibiki Ichiue & Jean-Guillaume Sahuc & Yasin Mimir & Jolan Mohimont & Kalin Nikolov & Olivier de Bandt & Sigrid Roehrs & Valério Scalone & Michael Straughan & Bora Durdu, 2022. "Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models," Working Papers hal-04159816, HAL.
  14. Martínez, J-F. & Peiris, M.U. & Tsomocos, D.P., 2020. "Macroprudential policy analysis in an estimated DSGE model with a heterogeneous banking system: An application to Chile," Latin American Journal of Central Banking (previously Monetaria), Elsevier, vol. 1(1).
  15. Lartey, Theophilus & James, Gregory A. & Danso, Albert, 2021. "Interbank funding, bank risk exposure and performance in the UK: A three-stage network DEA approach," International Review of Financial Analysis, Elsevier, vol. 75(C).
  16. Rafael Matta & Enrico Perotti, 2024. "Pay, Stay, or Delay? How to Settle a Run," The Review of Financial Studies, Society for Financial Studies, vol. 37(4), pages 1368-1407.
  17. Philippas, Dionisis & Tziogkidis, Panagiotis & Sfakianakis, Manos, 2025. "The fine line between ESG commitment and bank performance," Energy Economics, Elsevier, vol. 151(C).
  18. Raphaël Cardot-Martin & Fabien Labondance & Catherine Refait-Alexandre, 2022. "Capital ratios and banking crises in the European Union," International Economics, CEPII research center, issue 172, pages 389-402.
  19. Skander Van den Heuvel, 2019. "The Welfare Effects of Bank Liquidity and Capital Requirements," 2019 Meeting Papers 325, Society for Economic Dynamics.
  20. Natanael Waraney Gerald Massie & Chaikal Nuryakin, 2020. "When Prime Depositors Run on the Banks: A Behavioral Approach," Bulletin of Monetary Economics and Banking, Bank Indonesia, vol. 23(1), pages 139-152, April.
  21. Sundaresan, Suresh & Xiao, Kairong, 2024. "Liquidity regulation and banks: Theory and evidence," Journal of Financial Economics, Elsevier, vol. 151(C).
  22. Porcellacchia, Davide & Sheedy, Kevin D., 2024. "The macroeconomics of liquidity in financial intermediation," Working Paper Series 2939, European Central Bank.
  23. Gersbach, Hans & Haller, Hans & Zelzner, Sebastian, 2026. "Enough liquidity with enough capital—and vice versa?," Journal of Financial Stability, Elsevier, vol. 83(C).
  24. Manuel Amador & Javier Bianchi, 2024. "Bank Runs, Fragility, and Credit Easing," American Economic Review, American Economic Association, vol. 114(7), pages 2073-2110, July.
  25. de Bandt, Olivier & Lecarpentier, Sandrine & Pouvelle, Cyril, 2021. "Determinants of banks’ liquidity: A French perspective on interactions between market and regulatory requirements," Journal of Banking & Finance, Elsevier, vol. 124(C).
  26. Matt Darst & Sotirios Kokas & Alexandros Kontonikas & José-Luis Peydró & Alexandros Vardoulakis, 2025. "QE, Bank Liquidity Risk Management, and Non-Bank Funding: Evidence from U.S. Administrative Data," Finance and Economics Discussion Series 2025-030, Board of Governors of the Federal Reserve System (U.S.).
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