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Is financial stability policy now better placed to prevent systemic banking crises?. (2006). Villar, Agustin .
In: BIS Papers chapters.
RePEc:bis:bisbpc:28-05.

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  1. A real options model for loan portfolios of actively traded Philippine universal banks. (2018). Trinidad, Fernando L ; Tan, Jackson J.
    In: Journal of Global Entrepreneurship Research.
    RePEc:spr:jglont:v:8:y:2018:i:1:d:10.1186_s40497-018-0091-9.

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  2. Assessment of the Balance Degree of Loan Companies Banking Policy. (2016). Simaeva, I K ; Mitrokhin, V V ; Artemyeva, S S.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xix:y:2016:i:3a:p:19-31.

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  3. Online Banking in Albania. (2015). Sherifi, Idaver .
    In: European Journal of Economics and Business Studies Articles.
    RePEc:eur:ejesjr:36.

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  4. Banking Ssystems, central banks and international reserve accumulation in East Asian economies. (2013). Shrestha, Prakash Kumar.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
    RePEc:zbw:ifweej:201314.

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  5. Banking systems, central banks and international reserve accumulation in East Asian economies. (2012). Shrestha, Prakash Kumar.
    In: Economics Discussion Papers.
    RePEc:zbw:ifwedp:201248.

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  6. THE SAFETY NETWORK SYSTEM AND PROSPECTS FOR THE APPEARANCE OF A FINANCIAL CRISIS IN BOSNIA AND HERZEGOVINA. (2008). Plakalovic, Novo .
    In: Economic Annals.
    RePEc:beo:journl:v:53:y:2008:i:178-179:p:198-230.

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  7. Regional and Global Responses to the Asian Crisis. (2007). Grenville, Stephen.
    In: Asian Economic Policy Review.
    RePEc:bla:asiapr:v:2:y:2007:i:1:p:54-70.

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  8. Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability. (2007). Bank for International Settlements, .
    In: BIS Papers.
    RePEc:bis:bisbps:33.

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References

References cited by this document

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Cocites

Documents in RePEc which have cited the same bibliography

  1. Earnings versus capital ratios management: role of bank types and SFAS 114. (2011). Alali, Fatima ; Jaggi, Bikki.
    In: Review of Quantitative Finance and Accounting.
    RePEc:kap:rqfnac:v:36:y:2011:i:1:p:105-132.

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  2. Market discipline of banks: Why are yield spreads on bank-issued subordinated notes and debentures not sensitive to bank risks?. (2011). Balasubramnian, Bhanu ; Cyree, Ken B..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:1:p:21-35.

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  3. Does banks size distort market prices? Evidence for too-big-to-fail in the CDS market. (2009). Wedow, Michael ; Volz, Manja .
    In: Discussion Paper Series 2: Banking and Financial Studies.
    RePEc:zbw:bubdp2:200906.

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  4. Market discipline in the Brazilian banking industry: an analysis for the subordinated debt holders. (2009). de Mendonça, Helder ; Loures, Renato Villela ; Mendona, Helder .
    In: Journal of Regulatory Economics.
    RePEc:kap:regeco:v:36:y:2009:i:3:p:286-307.

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  5. Bank regulation and supervision in bank-dominated financial systems: a comparison between Japan and Germany. (2009). Dietrich, Diemo ; Bebenroth, Ralf.
    In: European Journal of Law and Economics.
    RePEc:kap:ejlwec:v:27:y:2009:i:2:p:177-209.

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  6. Beyond the Third Pillar of Basel Two: Taking Bond Market Signals Seriously. (2009). Pop, Adrian.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00419241.

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  7. Why do Japanese regional banks issue subordinated debts?. (2009). Inada, Masakazu ; Baba, Naohiko .
    In: Japan and the World Economy.
    RePEc:eee:japwor:v:21:y:2009:i:4:p:358-364.

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  8. Depositors’ Response to Deposit Insurance Reforms: Evidence from Japan, 1990–2005. (2007). Konishi, Masaru ; Fueda, Ikuko.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:31:y:2007:i:2:p:101-122.

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  9. Price Discovery of Credit Spreads for Japanese Mega-Banks: Subordinated Bond and CDS. (2007). Inada, Masakazu ; Baba, Naohiko .
    In: IMES Discussion Paper Series.
    RePEc:ime:imedps:07-e-06.

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  10. How depositors discipline banks: the case of Russia. (2007). Semenova, Maria ; Maria, Semenova.
    In: EERC Working Paper Series.
    RePEc:eer:wpalle:07-02e.

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  11. The emergence of market monitoring in Japanese banks: Evidence from the subordinated debt market. (2007). Imai, Masami.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:31:y:2007:i:5:p:1441-1460.

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  12. Does the market discipline banks? New evidence from the regulatory capital mix. (2006). Ashcraft, Adam.
    In: Staff Reports.
    RePEc:fip:fednsr:244.

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  13. Market discipline in international banking regulation: Keeping the playing field level. (2006). Pop, Adrian.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:2:y:2006:i:3:p:286-310.

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  14. Is financial stability policy now better placed to prevent systemic banking crises?. (2006). Villar, Agustin .
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:28-05.

    Full description at Econpapers || Download paper

  15. Too big to fail after all these years. (2005). Stiroh, Kevin ; Morgan, Donald.
    In: Staff Reports.
    RePEc:fip:fednsr:220.

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  16. How accounting and auditing systems can counteract risk-shifting of safety-nets in banking: Some international evidence. (2005). Fernandez, Ana I. ; Gonzalez, Francisco.
    In: Journal of Financial Stability.
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  17. Subordinated Debt and Market Discipline in Canada. (2005). Caldwell, Greg.
    In: Staff Working Papers.
    RePEc:bca:bocawp:05-40.

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  18. Bank Stability and Market Discipline: Debt-for-Equity Swap versus Subordinated Notes. (2004). Raviv, Alon.
    In: Finance.
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  19. A reconsideration of the risk sensitivity of U.S. banking organization subordinated debt spreads: a sample selection approach. (2004). Hancock, Diana ; Covitz, Daniel M. ; Kwast, Myron L..
    In: Economic Policy Review.
    RePEc:fip:fednep:y:2004:i:sep:p:73-92:n:v.10no.2.

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  20. Market discipline in banking reconsidered: the roles of funding manager decisions and deposit insurance reform. (2004). Hancock, Diana ; Covitz, Daniel M. ; Kwast, Myron L..
    In: Finance and Economics Discussion Series.
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  21. Getting the Most Out of a Mandatory Subordinated Debt Requirement. (2003). Thomson, James ; Haubrich, Joseph ; Fan, Rong ; Ritchken, Peter .
    In: Journal of Financial Services Research.
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  22. How might financial market information be used for supervisory purposes?. (2003). Lopez, Jose ; Krainer, John.
    In: Economic Review.
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  23. Monitoring and controlling bank risk: does risky debt serve any purpose?. (2003). Thomson, James ; C. N. V. Krishman, ; RITCHKEN, P. H..
    In: Working Papers (Old Series).
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  24. Market discipline in banking reconsidered: the roles of deposit insurance reform, funding manager decisions and bond market liquidity. (2002). Hancock, Diana ; Covitz, Daniel M. ; Kwast, Myron L..
    In: Finance and Economics Discussion Series.
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  25. Getting the most out of a mandatory subordinated debt requirement. (2002). Thomson, James ; Haubrich, Joseph ; Ritchken, Peter ; Fan, Rong.
    In: Working Papers (Old Series).
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  26. Deposit Insurance Around the Globe: Where Does It Work?. (2002). Kane, Edward ; Demirguc-Kunt, Asli.
    In: Journal of Economic Perspectives.
    RePEc:aea:jecper:v:16:y:2002:i:2:p:175-195.

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  27. Depositinsurance around the globe : where does it work?. (2001). Kane, Edward ; Demirguc-Kunt, Asli.
    In: Policy Research Working Paper Series.
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  28. Deposit Insurance Around the Globe: Where Does it Work?. (2001). Kane, Edward ; Demirguc-Kunt, Asli.
    In: NBER Working Papers.
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  29. Market Discipline of Banks: The Asset Test. (2001). Stiroh, Kevin ; Morgan, Donald.
    In: Journal of Financial Services Research.
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  30. Using Subordinated Debt to Monitor Bank Holding Companies: Is it Feasible?. (2001). Hancock, Diana ; Kwast, Myron .
    In: Journal of Financial Services Research.
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  31. The Faces of “Market Discipline”. (2001). Flannery, Mark.
    In: Journal of Financial Services Research.
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  32. Using subordinated debt to monitor bank holding companies: is it feasible?. (2001). Hancock, Diana ; Kwast, Myron L..
    In: Finance and Economics Discussion Series.
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  33. Lender of Last Resort: What Have We Learned Since Bagehot?. (2000). Hoggarth, Glenn ; FREIXAS, XAVIER ; Soussa, Farouk ; Giannini, Curzio.
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  34. Subordinated debt and bank capital reform. (2000). Wall, Larry ; Evanoff, Douglas.
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  35. Testing for market discipline in the European banking industry: evidence from subordinated debt issues. (2000). Sironi, Andrea.
    In: Finance and Economics Discussion Series.
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  36. Subordinated debt and bank capital reform. (2000). Wall, Larry ; Evanoff, Douglas.
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  37. Market discipline and financial safety net design. (1999). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: Policy Research Working Paper Series.
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  38. Do depositors punish banks forbadbehavior? : market discipline in Argentina, Chile, and Mexico. (1999). Schmukler, Sergio ; Martinez Peria, Maria.
    In: Policy Research Working Paper Series.
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  39. Bond market discipline of banks: is the market tough enough?. (1999). Stiroh, Kevin ; Morgan, Donald.
    In: Staff Reports.
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  40. Using subordinated debt as an instrument of market discipline. (1999). anonymous, .
    In: Staff Studies.
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  41. Market Discipline and Financial Safety Net Design. (1999). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: CEPR Discussion Papers.
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  42. The demand for long-term deposits of a financial intermediary: Theory and evidence. (1997). Waschik, Robert ; Athanassakos, G..
    In: Journal of Economics and Business.
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  43. Pricing the Risks of Default. (1996). Unal, Haluk ; Madan, Dilip.
    In: Center for Financial Institutions Working Papers.
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  44. The effects of declining capitalization on equity acquisition by commercial banks. (1996). Dahl, Drew ; Spivey, Michael F..
    In: Journal of Banking & Finance.
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  45. The role of capital in financial institutions. (1995). Berger, Allen ; Szego, Giorgio P. ; Herring, Richard J..
    In: Journal of Banking & Finance.
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  46. Market discipline by depositors: evidence from reduced form equations. (1994). Park, Sangkyun .
    In: Working Papers.
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  47. Capital forbearance and thrifts: an ex post examination of regulatory gambling. (1992). Thomson, James ; Degennaro, Ramon.
    In: Working Papers (Old Series).
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  48. Forbearance, subordinated debt, and the cost of capital for insured depository institutions. (1992). Thomson, James ; Osterberg, William P..
    In: Economic Review.
    RePEc:fip:fedcer:y:1992:i:qiii:p:16-26:n:v.28no.3.

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  49. Risk-based capital and deposit insurance reform. (1990). Berger, Allen ; Avery, Robert B..
    In: Working Papers (Old Series).
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  50. The effect of subordinated debt and surety bonds on banks cost of capital and on the value of federal deposit insurance. (1990). Thomson, James ; Osterberg, William P..
    In: Working Papers (Old Series).
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