Interest Payments on Demand Deposits and Bank Investment Behavior
Citations
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Cited by:
- Patrick M. Parkinson & Paul A. Spindt, 1985. "The use of interest rate futures by commercial banks," Proceedings 85, Federal Reserve Bank of Chicago.
- Richard Pettway & Jack W. Trifts, 1985. "Purchase and assumption mergers: do banks overbid?," Proceedings 79, Federal Reserve Bank of Chicago.
- Howard Kaufold & Michael Smirlock, 1985. "Foreign lending, disclosure and the Mexican debt crisis," Proceedings 94, Federal Reserve Bank of Chicago.
- Michael C. Keeley & Gary C. Zimmerman, 1985. "Competition for MMDAs," Proceedings 97, Federal Reserve Bank of Chicago.
- Paulo Esteves & Maximiano Pinheiro, 2020. "Deposit interest rate ceilings," Economic Bulletin and Financial Stability Report Articles and Banco de Portugal Economic Studies, Banco de Portugal, Economics and Research Department.
- Richard W. Nelson, 1985. "Off-balance sheet banking and bank capital," Proceedings 87, Federal Reserve Bank of Chicago.
- Eric Hirschhorn, 1985. "Bidding levels in purchase and assumption auctions," Proceedings 77, Federal Reserve Bank of Chicago.
- T R Smith, 1977. "Continuous and Discontinuous Response to Smoothly Decreasing Effective Distance: An Analysis with Special Reference to ‘Overbanking’ in the 1920s," Environment and Planning A, , vol. 9(4), pages 461-475, April.
- Bert Ely, 1985. "Yes -- private sector depositor protection is a viable alternative to Federal Deposit Insurance!," Proceedings 74, Federal Reserve Bank of Chicago.
- James R. Barth & R. Dan Brumbaugh & Daniel Sauerhaft & George Wang, 1985. "Thrift institution failures: causes and policy issues," Proceedings 68, Federal Reserve Bank of Chicago.
- Brian Chiplin & Mervyn Lewis, 1985. "Deregulation and the competitive pressures upon British banks," Proceedings 61, Federal Reserve Bank of Chicago.
- Arthur J. Rolnick, 1987. "The benefits of bank deposit rate ceilings: new evidence on bank rates and risk in the 1920's," Quarterly Review, Federal Reserve Bank of Minneapolis, vol. 11(Sum), pages 2-18.
- George D. Irwin, 1985. "The role of the Farm Credit System," Proceedings 63, Federal Reserve Bank of Chicago.
- Elijah Brewer & Cheng-Few Lee, 1985. "The association between bank stock market-based risk measures and the financial characteristics of the firm: a pooled cross-section time- series approach," Proceedings 72, Federal Reserve Bank of Chicago.
- Joseph C. Scully, 1985. "Unequal treatment of banks vs. thrifts," Proceedings 91, Federal Reserve Bank of Chicago.
- Gary L. Benjamin, 1985. "An overview of the financial stress in agriculture," Proceedings 62, Federal Reserve Bank of Chicago.
- Warren P. Hogan & Ian G. Sharpe, 1984. "Regulation, Risk and the Pricing of Australian Bank Shares, 1957–1976," The Economic Record, The Economic Society of Australia, vol. 60(1), pages 34-44, March.
- George G. Kaufman, 1985. "Ensuring the safety and soundness of the banking system: policy alternatives," Proceedings 81, Federal Reserve Bank of Chicago.
- David C. Cates, 1985. "Commitments and contingencies: the "invisible hand"," Proceedings 88, Federal Reserve Bank of Chicago.
- Thomas F. Cargill & Shoichi Royama, 1985. "Japanese banking and corporate finance in transition," Proceedings 58, Federal Reserve Bank of Chicago.
- George Gregorash & James Morrison, 1985. "The lean years: trends in agricultural banking," Proceedings 64, Federal Reserve Bank of Chicago.
- Michael D. Bordo, 1989.
"The Contribution of "A Monetary History of the United States, 1867-1960" to Monetary History,"
NBER Chapters, in: Money, History, and International Finance: Essays in Honor of Anna J. Schwartz, pages 15-78,
National Bureau of Economic Research, Inc.
- Michael D. Bordo, 1988. "The Contribution of a Monetary History of the United States: 1867 to 1960 To Monetary History," NBER Working Papers 2549, National Bureau of Economic Research, Inc.
- Franklin D. Berger & Gerald P. O'Driscoll & Eugenie D. Short, 1985. "Recent bank failures: determinants and consequences," Proceedings 66, Federal Reserve Bank of Chicago.
- Stanley C. Silverberg, 1985. "Deposit insurance and the soundness of banks," Proceedings 83, Federal Reserve Bank of Chicago.
- Walter A. Varvel & John R. Walter, 1982. "The competition for transaction accounts," Economic Review, Federal Reserve Bank of Richmond, vol. 68(Mar), pages 2-20.
- Gary G. Gilbert, 1985. "An analytical framework for improved disclosure in banking," Proceedings 92, Federal Reserve Bank of Chicago.
- Brooks, Robert D. & Faff, Robert W. & Yew, Kee Ho, 1997. "A new test of the relationship between regulatory change in financial markets and the stability of beta risk of depository institutions," Journal of Banking & Finance, Elsevier, vol. 21(2), pages 197-219, February.
- Anthony Saunders & Michael Smirlock, 1985. "Intra- and interindustry effects of bank securities market activities: the case of discount brokerage," Proceedings 95, Federal Reserve Bank of Chicago.
- Robert H. Dugger, 1985. "Financial soundness and deposit insurance reform: comments on the Continental Illinois National Bank Experience," Proceedings 82, Federal Reserve Bank of Chicago.
- P. Michael Laub, 1985. "Deposit insurance and regulation: the view of the American Bankers Association," Proceedings 80, Federal Reserve Bank of Chicago.
- Christopher M. James & Peggy Wier, 1985. "An analysis of FDIC failed bank auction procedures," Proceedings 78, Federal Reserve Bank of Chicago.
- Yuk-Shee Chan & Stuart I. Greenbaum & Anjan V. Thakor, 1985. "The deterioration of bank asset quality," Proceedings 71, Federal Reserve Bank of Chicago.
- Gerald F. Fitzgerald, 1985. "Views on bank safety and soundness regulation," Proceedings 84, Federal Reserve Bank of Chicago.
- Robert B. Avery & Gerald A. Hanweck & Myron L. Kwast, 1985.
"An analysis of risk-based deposit insurance for commercial banks,"
Research Papers in Banking and Financial Economics
79, Board of Governors of the Federal Reserve System (U.S.).
- Robert B. Avery & Gerald A. Hanweck & Myron L. Kwast, 1985. "An analysis of risk-based deposit insurance for commercial banks," Proceedings 69, Federal Reserve Bank of Chicago.
- repec:ptu:bdpart:r202011 is not listed on IDEAS
- repec:ptu:bdpart:e202011 is not listed on IDEAS
- Joseph R. Mason, 1998. "American banks during the Great Depression: a new research agenda," Review, Federal Reserve Bank of St. Louis, issue May, pages 151-152.
- Roger E. Lumpp, 1985. "Is private insurance a viable alternative to Federal Deposit Insurance?," Proceedings 76, Federal Reserve Bank of Chicago.
- Gary D. Koppenhaver, 1985. "Predicting the off-balance sheet behavior of Seventh District commercial banks," Proceedings 86, Federal Reserve Bank of Chicago.
- Tim S. Campbell & J. Kimball Dietrich & Mark I. Weinstein, 1985. "Some evidence on bank holding company regulation: the question of expansion into the insurance business," Proceedings 96, Federal Reserve Bank of Chicago.
- John F. Chant, 1985. "Recent experience in the deregulation of Canadian financial institutions," Proceedings 60, Federal Reserve Bank of Chicago.
- George Benston, 2000. "Is Government Regulation of Banks Necessary?," Journal of Financial Services Research, Springer;Western Finance Association, vol. 18(2), pages 185-202, December.
- Barry F. Sullivan, 1985. "Capital adequacy," Proceedings 89, Federal Reserve Bank of Chicago.
- Michael D. Boehlje, 1985. "Agricultural policy and financial stress," Proceedings 65, Federal Reserve Bank of Chicago.
- Herbert L. Baer & Larry R. Mote, 1985. "Bank regulation and structure: an international overview," Proceedings 57, Federal Reserve Bank of Chicago.
- Thomas H. Huston, 1985. "Regulation during financial stress," Proceedings 90, Federal Reserve Bank of Chicago.
- Robert A. Eisenbeis & George G. Kaufman, 2016. "Not All Financial Crises Are Alike!," Atlantic Economic Journal, Springer;International Atlantic Economic Society, vol. 44(1), pages 1-31, March.
- Russell E. Van Hooser, 1985. "Private insurance is not a viable alternative to Federal Deposit Insurance," Proceedings 75, Federal Reserve Bank of Chicago.
- George Pennacchi, 1985. "An empirical analysis of bank risk," Proceedings 70, Federal Reserve Bank of Chicago.
- Richard L. Peterson & William L. Scott, 1985. "Major causes of bank failures," Proceedings 67, Federal Reserve Bank of Chicago.
- Alan E. Grunewald & Alex J. Pollock, 1985. "Money managers and bank liquidity," Proceedings 93, Federal Reserve Bank of Chicago.
- Andrew S. Carron, 1985. "Overseas financial sector deregulation: lessons from Australia and New Zealand," Proceedings 59, Federal Reserve Bank of Chicago.
- Catherine England, 1985. "A proposal for introducing private deposit insurance," Proceedings 73, Federal Reserve Bank of Chicago.
- Robert A. Eisenbeis & George G. Kaufman, 2011. "The World of Unintended Consequences: A Post-Mortem on Regulation Q and Prologue for the Future," Chapters, in: Christopher J. Green & Eric J. Pentecost & Tom Weyman-Jones (ed.), The Financial Crisis and the Regulation of Finance, chapter 11, Edward Elgar Publishing.
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