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Comparing Market and Supervisory Assessments of Bank Performance: Who Knows What When?. (2000). Flannery, Mark ; Berger, Allen ; Davies, Sally M.
In: Journal of Money, Credit and Banking.
RePEc:mcb:jmoncb:v:32:y:2000:i:3:p:641-67.

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  1. Bank market power and supervisory enforcement actions. (2024). Perdichizzi, Salvatore ; Cotugno, Matteo ; Cardillo, Giovanni ; Torluccio, Giuseppe.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:91:y:2024:i:c:s1057521923005306.

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  2. Banks of a feather: The informational advantage of being alike. (2023). von Westernhagen, Natalja ; Schultz, Alison ; Dinger, Valeriya ; Bednarek, Peter.
    In: Discussion Papers.
    RePEc:zbw:bubdps:092023.

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  3. Reassessing bank monitoring models: an empirical analysis of the value of market signals in the period 2008–2020. (2023). Pacheco, Luis ; Lobo, Julio ; Costa, Tania.
    In: Journal of Banking Regulation.
    RePEc:pal:jbkreg:v:24:y:2023:i:2:d:10.1057_s41261-022-00194-4.

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  4. The more the merrier? Evidence on the value of multiple requirements in bank regulation. (2023). Rismanchi, Katie ; Kapadia, Sujit ; Gimpelewicz, Mariana ; Marquez, Paula Gallego ; Buckmann, Marcus.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:149:y:2023:i:c:s0378426622003338.

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  5. Monitoring Banking System Connectedness with Big Data. (2023). Lopez, Jose ; Hale, Galina.
    In: Santa Cruz Department of Economics, Working Paper Series.
    RePEc:cdl:ucscec:qt17h5v7rj.

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  6. How Binding Is Supervisory Guidance ? Evidence from the European Calendar Provisioning. (2022). Mare, Davide Salvatore ; Fiordelisi, Franco ; Lattanzio, Gabriele.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:10050.

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  7. Management quality, M-rating, and bank failures. (2022). Sharma, Prateek.
    In: SN Business & Economics.
    RePEc:spr:snbeco:v:2:y:2022:i:2:d:10.1007_s43546-021-00184-0.

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  8. Sentiment in Bank Examination Reports and Bank Outcomes. (2022). Lee, Seung Jung ; Vojtech, Cindy M ; Spiller, Thomas Popeck ; Cowhey, Maureen.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2022-77.

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  9. Capital requirements and banks’ behavior: Evidence from bank stress tests. (2022). Shahhosseini, Mehrnoush.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:86:y:2022:i:c:p:240-262.

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  10. Market discipline and regulatory arbitrage: Evidence from ABCP liquidity guarantors. (2022). Chen, Jiakai.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:145:y:2022:i:c:s0378426622002369.

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  11. What you don’t know won’t hurt you: Market monitoring and bank supervisors’ preference for private information. (2022). Koenraadt, Jeroen ; Elfers, Ferdinand.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:143:y:2022:i:c:s0378426622001686.

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  12. The risk-shifting value of payout: Evidence from bank enforcement actions. (2022). Pugachev, Leonid.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:138:y:2022:i:c:s0378426619301621.

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  13. Banks’ risk taking and creditors’ bargaining power. (2022). Raviv, Alon ; Lazar, Sharon Peleg ; Heller, Yuval.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:74:y:2022:i:c:s0929119922000414.

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  16. When Can Decision Makers Learn from Financial Market Prices?. (2021). Siemroth, Christoph.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:53:y:2021:i:6:p:1523-1552.

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  17. Banking Research in the Time of COVID-19. (2021). Demirguc-Kunt, Asli ; Berger, Allen N.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:9782.

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  18. Regulatory enforcement: discipline for BHC-affiliated banks. (2021). Tsoumas, Chris.
    In: Empirical Economics.
    RePEc:spr:empeco:v:60:y:2021:i:2:d:10.1007_s00181-019-01771-9.

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  19. Do CDS maturities matter in the evaluation of the information content of regulatory banking stress tests? Evidence from European and US stress tests. (2021). NYS, Emmanuelle ; Sauviat, Alain ; Agbodji, Amavi.
    In: Working Papers.
    RePEc:hal:wpaper:hal-03267704.

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  20. Banking research in the time of COVID-19. (2021). Demirguc-Kunt, Asli ; Demirgu-Kunt, Asli ; Berger, Allen N.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:57:y:2021:i:c:s157230892100098x.

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  21. Optimal regulation, executive compensation and risk taking by financial institutions. (2021). Hilscher, Jens ; Raviv, Alon ; Landskroner, Yoram.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:71:y:2021:i:c:s0929119921002261.

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  22. The more the merrier? Evidence from the global financial crisis on the value of multiple requirements in bank regulation. (2021). Marquez, Paula Gallego ; Buckmann, Marcus ; Rismanchi, Katie ; Kapadia, Sujit ; Gimpelewicz, Mariana.
    In: Bank of England working papers.
    RePEc:boe:boeewp:0905.

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  23. Limits of stress-test based bank regulation. (2021). Agarwal, Isha ; Goel, Tirupam.
    In: BIS Working Papers.
    RePEc:bis:biswps:953.

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  24. Regulators vs. markets: Do differences in their bank risk perceptions affect lending terms?. (2020). Wu, Eliza ; Politsidis, Panagiotis ; Delis, Manthos ; Kim, Suk-Joong.
    In: MPRA Paper.
    RePEc:pra:mprapa:98548.

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  25. The Impact of Supervision on Bank Performance. (2020). Kovner, Anna ; Hirtle, Beverly ; Plosser, Matthew.
    In: Journal of Finance.
    RePEc:bla:jfinan:v:75:y:2020:i:5:p:2765-2808.

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  26. Market discipline on bank bond issues through the lens of a new forward?looking measure of loan quality. (2020). Nathan, Siva ; Cavezzali, Elisa ; Simion, Giorgia ; Rigoni, Ugo.
    In: European Financial Management.
    RePEc:bla:eufman:v:26:y:2020:i:5:p:1350-1384.

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  27. Banks Risk Taking and Creditors Bargaining Power. (2019). Raviv, Alon ; Lazar, Sharon Peleg ; Heller, Yuval.
    In: MPRA Paper.
    RePEc:pra:mprapa:91381.

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  28. The link between the share of banks’ Level 3 assets and their default risk and default costs. (2019). Riepe, Jan ; Mohrmann, Ulf.
    In: Review of Quantitative Finance and Accounting.
    RePEc:kap:rqfnac:v:52:y:2019:i:4:d:10.1007_s11156-018-0740-7.

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  29. The informational content of prices when policy makers react to financial markets. (2019). Siemroth, Christoph.
    In: Journal of Economic Theory.
    RePEc:eee:jetheo:v:179:y:2019:i:c:p:240-274.

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  30. Factors influencing the European bank’s probability of default: An application of SYMBOL methodology. (2019). Partal-Urea, Antonio ; Gomez-Fernandez, Pilar ; Parrado-Martinez, Purificacion.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:61:y:2019:i:c:p:223-240.

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  31. Monitoring banking system connectedness with big data. (2019). Lopez, Jose A ; Hale, Galina.
    In: Journal of Econometrics.
    RePEc:eee:econom:v:212:y:2019:i:1:p:203-220.

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  32. Can short sellers inform bank supervision?. (2018). Palvia, Ajay ; Balasubramnian, Bhanu.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:53:y:2018:i:1:d:10.1007_s10693-016-0256-z.

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  33. Monitoring Banking System Fragility with Big Data. (2018). Lopez, Jose ; Hale, Galina.
    In: Working Paper Series.
    RePEc:fip:fedfwp:2018-01.

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  34. Credit ratings, private information, and bank monitoring ability. (2018). Nakamura, Leonard ; Roszbach, Kasper.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:36:y:2018:i:c:p:58-73.

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  35. Formal Enforcement Actions and Bank Behavior. (2017). Tsoumas, Chris ; Staikouras, Panagiotis K ; Delis, Manthos D.
    In: Management Science.
    RePEc:inm:ormnsc:v:63:y:2017:i:4:p:959-987.

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  36. Will Bank Transparency really Help Financial Markets and Regulators?. (2017). Refait-Alexandre, Catherine ; Bouaiss, Karima.
    In: Working Papers.
    RePEc:hal:wpaper:hal-01637917.

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  37. The Effect of Bank Supervision on Risk Taking : Evidence from a Natural Experiment. (2017). Schlusche, Bernd ; Kandrac, John.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2017-79.

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  38. Banks Use of Accounting Discretion and Regulatory Intervention: The Case of European Banks Impairments on Greek Government Bonds. (2017). Bierey, Martin ; Schmidt, Martin.
    In: The International Journal of Accounting.
    RePEc:eee:accoun:v:52:y:2017:i:2:p:122-141.

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  39. Do stress tests matter? Evidence from the 2014 and 2016 stress tests. (2017). Kok, Christoffer ; Kapp, Daniel ; Gross, Marco ; Georgescu, Oana-Maria .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20172054.

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  40. Inside asset purchase programs: the effects of unconventional policy on banking competition. (2017). Wedow, Michael ; Koetter, Michael ; Podlich, Natalia .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20172017.

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  41. Bank Risk Dynamics Where Assets are Risky Debt Claims. (2017). Raviv, Alon ; Lazar, Sharon Pelega.
    In: European Financial Management.
    RePEc:bla:eufman:v:23:y:2017:i:1:p:3-31.

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  42. Bank Recapitalization, Regulatory Intervention, and Repayment. (2016). Poghosyan, Tigran ; Koetter, Michael ; Kick, Thomas.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:48:y:2016:i:7:p:1467-1494.

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  43. Modelling banks’ credit ratings of international agencies. (2016). Karminsky, Alexandr ; Khromova, Ella .
    In: Eurasian Economic Review.
    RePEc:spr:eurase:v:6:y:2016:i:3:d:10.1007_s40822-016-0058-5.

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  44. Poverty Alleviation through Microfinance in North-East Kenya Province. (2016). Ali, Abd Elrahman.
    In: Working Papers.
    RePEc:ris:irtiwp:2016_009.

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  45. Credit Ratings, Private Information, and Bank Monitoring Ability. (2016). Roszbach, Kasper ; Nakamura, Leonard.
    In: Working Papers.
    RePEc:fip:fedpwp:16-14.

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  46. The impact of supervision on bank performance. (2016). Plosser, Matthew ; Kovner, Anna ; Hirtle, Beverly.
    In: Staff Reports.
    RePEc:fip:fednsr:768.

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  47. Financial fragility of banks, ownership structure and income diversification: Empirical evidence from the GCC region. (2016). Ramady, Mohamed ; Ashraf, Dawood ; Albinali, Khalid .
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:38:y:2016:i:c:p:56-68.

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  48. Bank enforcement actions and the terms of lending. (2016). HASAN, IFTEKHAR ; Delis, Manthos ; Liu, Liuling.
    In: Research Discussion Papers.
    RePEc:bof:bofrdp:2016_023.

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  49. A Tale of Two Runs: Depositor Responses to Bank Solvency Risk. (2016). Puri, Manju ; Iyer, Rajkamal ; Ryan, Nicholas.
    In: Journal of Finance.
    RePEc:bla:jfinan:v:71:y:2016:i:6:p:2687-2726.

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  50. Peer monitoring via loss mutualization. (2016). Palazzo, Francesco.
    In: Temi di discussione (Economic working papers).
    RePEc:bdi:wptemi:td_1088_16.

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  51. Fixed Prices and Regulatory Discretion as Triggers for Contingent Capital Conversion: An Experimental Examination. (2015). Prescott, Edward ; Davis, Douglas.
    In: Working Paper.
    RePEc:fip:fedrwp:15-02.

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  52. Discount window stigma during the 2007–2008 financial crisis. (2015). Shrader, Jeffrey ; Sarkar, Asani ; Ghysels, Eric ; Armantier, Olivier .
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:118:y:2015:i:2:p:317-335.

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  53. Maintaining adequate bank capital: An empirical analysis of the supervision of European banks. (2015). Flannery, Mark J ; Giacomini, Emanuela.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:59:y:2015:i:c:p:236-249.

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  54. Don’t Stand So Close to Me: The role of supervisory style in banking stability. (2015). Stentella Lopes, Francesco Saverio ; Fiordelisi, Franco ; Farina, Vincenzo ; Carretta, Alessandro ; Stentella Lopes, Francesco Saverio, ; Schwizer, Paola.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:52:y:2015:i:c:p:180-188.

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  55. Bank regulation, risk and return: Evidence from the credit and sovereign debt crises. (2015). Douady, Raphael ; Andriosopoulos, Dimitris ; Hoque, Hafiz.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:50:y:2015:i:c:p:455-474.

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  56. The relative contributions of equity and subordinated debt signals as predictors of bank distress during the financial crisis. (2015). Olson, Eric ; Yeager, Timothy J. ; Miller, Scott .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:16:y:2015:i:c:p:118-137.

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  57. Product Ratings as a Market Reaction to Deregulation: Evidence From the German Insurance Market. (2015). Meyr, Stephanie ; Tennyson, Sharon .
    In: Risk Management and Insurance Review.
    RePEc:bla:rmgtin:v:18:y:2015:i:1:p:77-100.

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  58. The Information Value of the Stress Test. (2014). Peristiani, Stavros ; Morgan, Donald ; Savino, Vanessa .
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:46:y:2014:i:7:p:1479-1500.

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  59. Insider Trading in Supervised Industries. (2014). Reeb, David ; Zhang, Yuzhao ; Zhao, Wanli.
    In: Journal of Law and Economics.
    RePEc:ucp:jlawec:doi:10.1086/678269.

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  60. Do stock markets discipline US bank holding companies : Just monitoring, or also influencing?. (2014). Vander Vennet, Rudi ; De Jonghe, Olivier ; de Bruyckere, V.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:b8371b2e-a7f1-4ede-9f4b-d48030f83096.

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  61. Mortgage companies and regulatory arbitrage. (2014). Demyanyk, Yuliya.
    In: Working Papers (Old Series).
    RePEc:fip:fedcwp:1220.

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  62. The dark side of sunshine: Regulatory oversight and status quo bias. (2014). Urban, Carly ; Collins, Michael J..
    In: Journal of Economic Behavior & Organization.
    RePEc:eee:jeborg:v:107:y:2014:i:pb:p:470-486.

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  63. Do stock markets discipline US Bank Holding Companies: Just monitoring, or also influencing?. (2014). Vander Vennet, Rudi ; De Jonghe, Olivier ; Baele, Lieven ; de Bruyckere, Valerie .
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:29:y:2014:i:c:p:124-145.

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  64. What is the information content of the SRISK measure as a supervisory tool?. (2014). Visnovsky, F. ; Tavolaro, S..
    In: Débats économiques et financiers.
    RePEc:bfr:decfin:10.

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  65. Monitoring Financial Distress in a High-Stress Financial World: The Role of Option Prices as Bank Risk Metrics. (2013). Coffinet, Jerome ; Tiesset, Muriel ; Pop, Adrian.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:44:y:2013:i:3:p:229-257.

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  66. Predicting rating changes for banks: how accurate are accounting and stock market indicators?. (2013). TARAZI, Amine ; HASAN, IFTEKHAR ; DISTINGUIN, ISABELLE.
    In: Annals of Finance.
    RePEc:kap:annfin:v:9:y:2013:i:3:p:471-500.

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  67. Credit ratings and bank monitoring ability. (2013). Roszbach, Kasper ; Nakamura, Leonard.
    In: Working Papers.
    RePEc:fip:fedpwp:13-21.

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  68. Interbank market, stock market, and bank performance in East Asia. (2013). Inoguchi, Masahiro.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:25:y:2013:i:c:p:136-156.

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  69. Are regulatory management evaluations informative about bank accounting returns and risk?. (2013). Palvia, Ajay ; Gaul, Lewis.
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:66:y:2013:i:c:p:1-21.

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  70. Minimum capital requirements, bank supervision and special resolution schemes. Consequences for bank risk-taking. (2013). Wiese, Harald ; Vollmer, Uwe .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:487-497.

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  71. The disciplinary effect of subordinated debt on bank risk taking. (2013). Nguyen, TU.
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:23:y:2013:i:c:p:117-141.

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  72. The Relation Between Bank Resolutions and Information Environment: Evidence from the Auctions for Failed Banks. (2013). Granja, João.
    In: Journal of Accounting Research.
    RePEc:bla:joares:v:51:y:2013:i:5:p:1031-1070.

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  73. Too Dispersed to Monitor? Ownership Dispersion, Monitoring, and the Prediction of Bank Distress. (2012). Brossard, Olivier ; Auvray, Tristan.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:44:y:2012:i:4:p:685-714.

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  74. Do Stock Markets Discipline US Bank Holding Companies: Just Monitoring, or also In?uencing?. (2012). Vander Vennet, Rudi ; De Jonghe, Olivier ; BAELE, L. ; DE BRUYCKERE, V..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
    RePEc:rug:rugwps:12/827.

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  75. A Market-Based Measure of Credit Portfolio Quality and Banks Performance During the Subprime Crisis. (2012). Wagner, Wolf ; Knaup, Martin.
    In: Management Science.
    RePEc:inm:ormnsc:v:58:y:2012:i:8:p:1423-1437.

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  76. Stock Market Assessment of Bank Risk: Evidence from the Maghreb Region. (2012). Hmaied, Dorra Mezzez ; Mbarek, Lassaad .
    In: Working Papers.
    RePEc:erg:wpaper:679.

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  77. Market Discipline for Financial Institutions and Markets for Information. (2012). Prabha, Apanard P. ; Willett, Thomas D. ; Wihlborg, Clas.
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  78. Do interbank customer relationships exist? And how did they function in the crisis? Learning from Italy. (2012). Affinito, Massimiliano.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:12:p:3163-3184.

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  79. Does corporate governance play an important role in BHC performance? Evidence from the U.S.. (2012). Wang, Wei-Kang ; Lin, Yi-Ling ; Lu, Wen-Min.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:29:y:2012:i:3:p:751-760.

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  80. Imperfect interbank markets and the lender of last resort. (2012). Matsuoka, Tarishi.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:36:y:2012:i:11:p:1673-1687.

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  81. Stock Market Assessment of Bank Risk: Evidence from the Maghreb Region. (2012). Hmaied, Dorra Mezzez ; Mbarek, Lassad .
    In: Review of Middle East Economics and Finance.
    RePEc:bpj:rmeecf:v:8:y:2012:i:1:n:3.

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  82. Did the Market Signal Impending Problems at Northern Rock? An Analysis of Four Financial Instruments. (2012). Hamalainen, Paul ; Howcroft, Barry ; Hall, Max ; Pop, Adrian.
    In: European Financial Management.
    RePEc:bla:eufman:v:18:y:2012:i:1:p:68-87.

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  83. Imperfect Competition in the Interbank Market for Liquidity as a Rationale for Central Banking. (2012). Yorulmazer, Tanju ; Gromb, Denis ; Acharya, Viral.
    In: American Economic Journal: Macroeconomics.
    RePEc:aea:aejmac:v:4:y:2012:i:2:p:184-217.

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  84. Bank bailouts, interventions, and moral hazard. (2011). Koetter, Michael ; Dam, Lammertjan.
    In: Discussion Paper Series 2: Banking and Financial Studies.
    RePEc:zbw:bubdp2:201110.

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  85. A Mechanism of Cyclical Volatility in the Vacancy-Unemployment Ratio: What Is the Source of Rigidity?. (2011). Harashima, Taiji.
    In: MPRA Paper.
    RePEc:pra:mprapa:32476.

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  86. How do joint supervisors examine financial institutions? the case of state banks. (2011). Rezende, Marcelo .
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2011-43.

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  87. Divergence of risk indicators and the conditions for market discipline in banking. (2011). Forssback, Jens .
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    RePEc:erf:erfstu:66.

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  88. How Do Joint Supervisors Examine Financial Institutions? The Case of Banks. (2011). Rezende, Marcelo .
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    RePEc:elg:eechap:14064_18.

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  89. Banks and managerial discipline: Does regulatory monitoring play a role?. (2011). Palvia, Ajay.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:51:y:2011:i:1:p:56-68.

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  90. The determinants of cross-border consolidation in eight Asian countries: Before and after the Asian financial crisis. (2011). Shen, Chung-Hua ; Lin, Mei-Rong .
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  91. The term structure of banking crisis risk in the United States: A market data based compound option approach. (2011). Eichler, Stefan ; Karmann, Alexander ; Maltritz, Dominik .
    In: Journal of Banking & Finance.
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  92. Capital ratios and the cross-section of bank stock returns: Evidence from Japan. (2011). Chen, Sichong.
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  93. Subordinated debt, market discipline, and bank risk. (2011). HASAN, IFTEKHAR ; Chen, Yehning .
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  94. Do interbank customer relationships exist? And how did they function in the crisis? Learning from Italy. (2011). Affinito, Massimiliano.
    In: Temi di discussione (Economic working papers).
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  95. Banking Crises: A Review. (2011). Laeven, Luc.
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  96. Deriving the term structure of banking crisis risk with a compound option approach: The case of Kazakhstan. (2010). Eichler, Stefan ; Karmann, Alexander ; Maltritz, Dominik .
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  97. Credit Ratings and Bank Monitoring Ability. (2010). Roszbach, Kasper ; Nakamura, L I.
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  98. Credit Ratings and Bank Monitoring Ability. (2010). Roszbach, Kasper ; Nakamura, L I.
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  99. Credit Ratings and Bank Monitoring Ability. (2010). Roszbach, Kasper ; Nakamura, Leonard.
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  100. The functioning of the European interbank market during the 2007-08 financial crisis. (2010). Gabrieli, Silvia.
    In: CEIS Research Paper.
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  101. Quality Disclosure and Certification: Theory and Practice. (2010). Dranove, David ; Jin, Ginger Zhe.
    In: NBER Working Papers.
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  102. Recovery Determinants of Distressed Banks; Regulators, Market Discipline, or the Environment?. (2010). Poghosyan, Tigran ; Koetter, Michael ; Kick, Thomas.
    In: IMF Working Papers.
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  103. Too dispersed to monitor? Ownership dispersion, monitoring and the prediction of bank distress. (2010). Brossard, Olivier ; Auvray, Tristan.
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  104. Will Bank Transparency really Help Financial Markets and Regulators?. (2010). Refait-Alexandre, Catherine ; Bouaiss, Karima.
    In: Economics Papers from University Paris Dauphine.
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  105. THATS NEWS TO ME! INFORMATION REVELATION IN PROFESSIONAL CERTIFICATION MARKETS. (2010). list, john ; Kato, Andrew ; Jin, Ginger Zhe.
    In: Economic Inquiry.
    RePEc:bla:ecinqu:v:48:y:2010:i:1:p:104-122.

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  106. Predicting Financial Distress in a High-Stress Financial World: The Role of Option Prices as Bank Risk Metrics. (2010). Coffinet, Jerome ; Pop, A. ; Tiesset, M..
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  107. Quality Disclosure and Certification: Theory and Practice. (2010). Dranove, David ; Jin, Ginger Zhe.
    In: Journal of Economic Literature.
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  108. The credit ratings game. (2009). Shapiro, Joel ; FREIXAS, XAVIER ; Bolton, Patrick.
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  109. A Market Based Measure of Credit Quality and Banks Performance During the Subprime Crisis. (2009). Wagner, W B ; Knaup, M.
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  110. A Market Based Measure of Credit Quality and Banks Performance During the Subprime Crisis. (2009). Wagner, Wolf ; Knaup, Martin.
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  111. Depression as a Nash Equilibrium Consisting of Strategies of Choosing a Pareto Inefficient Transition Path. (2009). Harashima, Taiji.
    In: MPRA Paper.
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  112. On-site audits, sanctions, and bank risk-taking: An empirical overture towards a novel regulatory and supervisory philosophy. (2009). Staikouras, Panagiotis ; Delis, Manthos.
    In: MPRA Paper.
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  113. The Credit Ratings Game. (2009). Shapiro, Joel ; FREIXAS, XAVIER ; Bolton, Patrick.
    In: NBER Working Papers.
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  114. Bank liquidity regulation and the lender of last resort. (2009). Ratnovski, Lev.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:18:y:2009:i:4:p:541-558.

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  115. Regulator Scrutiny and Bank CEO Incentives. (2008). Webb, Elizabeth.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:33:y:2008:i:1:p:5-20.

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  116. Can subordinated debt constrain banks risk taking?. (2008). Niu, Jijun .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:6:p:1110-1119.

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  117. Equity market information, bank holding company risk, and market discipline. (2008). Hanweck, Gerald ; Fissel, Gary ; Curry, Timothy J..
    In: Journal of Banking & Finance.
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  118. Insurance market mechanisms and government interventions. (2008). Kessler, Denis.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:1:p:4-14.

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  119. Disentangling the signalling and liquidity effects of stock splits. (2007). Moon, Doocheol ; Mohanty, Sunil .
    In: Applied Financial Economics.
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  120. Market Discipline and Supervisory Discretion in Banking: Reinforcing or Conflicting Pillars of Basel II?. (2007). VanHoose, David.
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  121. Equity market data, bank failures and market efficiency. (2007). Fissel, Gary ; Curry, Timothy J. ; Elmer, Peter J..
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:59:y:2007:i:6:p:536-559.

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  122. Banking Regulation and Prompt Corrective Action. (2007). FREIXAS, XAVIER ; Parigi, Bruno Maria .
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  123. Financial Stability in European Banking: The Role of Common Factors. (2006). Kool, Clemens.
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  124. Using extreme value theory to estimate the likelihood of banking sector failure. (2006). Byström, Hans ; Bystrom, Hans.
    In: The European Journal of Finance.
    RePEc:taf:eurjfi:v:12:y:2006:i:4:p:303-312.

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  125. Can bank supervisors rely on market data? A critical assessment from a Swiss perspective. (2006). Birchler, Urs ; Facchinetti, Matteo.
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  126. Depositor discipline in Indian banking: Separating facts from folklore. (2006). Ghosh, Saibal ; Das, Abhiman.
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  127. Thats News to Me! Information Revelation in Professional Certification Markets. (2006). list, john ; Kato, Andrew ; Jin, Ginger Zhe.
    In: NBER Working Papers.
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  128. Is there a difference between solicited and unsolicited bank ratings and if so, why ?. (2006). Van Roy, Patrick.
    In: Working Paper Research.
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  129. Financial Stability in European Banking: The Role of Common Factors. (2006). Kool, Clemens.
    In: Open Economies Review.
    RePEc:kap:openec:v:17:y:2006:i:4:p:525-540.

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  130. Market Discipline and the Use of Stock Market Data to Predict Bank Financial Distress. (2006). TARAZI, Amine ; DISTINGUIN, ISABELLE ; Rous, Philippe.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:30:y:2006:i:2:p:151-176.

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  131. Thats news to me! information revelation in professional certification markets. (2006). list, john ; Kato, Andrew ; Jin, Ginger .
    In: Framed Field Experiments.
    RePEc:feb:framed:00162.

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  132. Modeling the Components of Market Discipline. (2006). Sarris, Alexandros ; Kalfaoglou, Faidon.
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  133. Should the FDIC worry about the FHLB? The impact of Federal Home Loan Bank advances on the Bank Insurance Fund. (2005). Bennett, Rosalind ; Vaughan, Mark D. ; Yeager, Timothy J..
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  134. Solvency runs, sunspot runs, and international bailouts. (2005). Spiegel, Mark.
    In: Journal of International Economics.
    RePEc:eee:inecon:v:65:y:2005:i:1:p:203-219.

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  135. Market Discipline in Indian Bank: Does the Data Tell a Story. (2004). Ghosh, Saibal ; Das, Abhiman.
    In: Industrial Organization.
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  136. Market Discipline In The Indian Banking Sector: An Empirical Exploration. (2004). Ghosh, Saibal ; Das, Abhiman.
    In: Finance.
    RePEc:wpa:wuwpfi:0410020.

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  137. Can the unsophisticated market provide discipline?. (2004). Honohan, Patrick ; Caprio, Gerard.
    In: Policy Research Working Paper Series.
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  138. The Impact of Rating Changes in Australian Financial Markets. (2004). Richards, Anthony ; CREIGHTON, ADAM ; Gower, Luke .
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  139. Commentary on Market indicators, bank fragility, and indirect market discipline. (2004). Lopez, Jose.
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    RePEc:fip:fednep:y:2004:i:sep:p:67-71:n:v.10no.2.

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  140. Using securities market information for bank supervisory monitoring. (2004). Lopez, Jose ; Krainer, John.
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  141. Bank Rating Changes and Bank Stock Returns: Puzzling Evidence from the Emerging Markets. (2003). Richards, Anthony.
    In: Journal of Emerging Market Finance.
    RePEc:sae:emffin:v:2:y:2003:i:3:p:337-363.

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  142. 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.
    RePEc:kap:jfsres:v:24:y:2003:i:2:p:149-179.

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  143. How might financial market information be used for supervisory purposes?. (2003). Lopez, Jose ; Krainer, John.
    In: Economic Review.
    RePEc:fip:fedfer:y:2003:p:29-45.

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  144. 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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  145. Identifying the Macroeconomic Effect of Loan Supply Shocks. (2003). Peek, Joe ; M. B. TOOTELL Geoffrey, ; ROSENGREN Eric S., ; Joe, PEEK .
    In: EcoMod2003.
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  146. Regulating Banks through Market Discipline: A Survey of the Issues. (2003). Masschelein, Nancy ; Marc J. K. De Ceuster, .
    In: Journal of Economic Surveys.
    RePEc:bla:jecsur:v:17:y:2003:i:5:p:749-766.

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  147. Getting the most out of a mandatory subordinated debt requirement. (2002). Thomson, James ; Haubrich, Joseph ; Ritchken, Peter ; Fan, Rong.
    In: Working Papers (Old Series).
    RePEc:fip:fedcwp:0214.

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  148. Equity and bond market signals as leading indicators of bank fragility. (2002). Vulpes, Giuseppe ; Gropp, Reint ; Vesala, Jukka.
    In: Conference Series ; [Proceedings].
    RePEc:fip:fedbcp:y:2002:x:4.

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  149. Information and the markets perceptions of Japanese bank risk: Regulation, environment, and disclosure. (2002). Bremer, Marc ; Pettway, Richard H..
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:10:y:2002:i:2:p:119-139.

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  150. Analysis of proposals for a minimum subordinated debt requirement1. (2002). Robertson, Douglas D. ; Lang, William W..
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:54:y:2002:i:1:p:115-136.

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  151. Strengthening banks market discipline and leveling the playing field: Are the two compatible?. (2002). Sironi, Andrea.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:26:y:2002:i:5:p:1065-1091.

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  152. Equity and bond market signals as leading indicators of bank fragility. (2002). Gropp, Reint ; Vulpes, Giuseppe ; Vesala, Jukka.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:2002150.

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  153. Did U.S. Bank Supervisors Get Tougher during the Credit Crunch? Did They Get Easier during the Banking Boom? Did It Matter to Bank Lending?. (2001). Berger, Allen N. ; Kyle, Margaret K. ; Scalise, Joseph M..
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  154. Further Evidence on the Information Content of Bank Examination Ratings: A Study of BHC-to-FHC Conversion Applications. (2001). Moser, James ; Jagtiani, Julapa ; Allen, Linda.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:20:y:2001:i:2:p:213-232.

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  155. Market Discipline of Banks: The Asset Test. (2001). Stiroh, Kevin ; Morgan, Donald.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:20:y:2001:i:2:p:195-208.

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  156. Using Subordinated Debt to Monitor Bank Holding Companies: Is it Feasible?. (2001). Hancock, Diana ; Kwast, Myron .
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:20:y:2001:i:2:p:147-187.

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  157. Can the stock market tell bank supervisors anything they dont already know?. (2001). Moore, Robert ; Gunther, Jeffery W. ; Levonian, Mark E..
    In: Economic and Financial Policy Review.
    RePEc:fip:fedder:y:2001:i:qii:p:2-9.

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  158. Rating agency actions and the pricing of debt and equity of European banks: What can we infer about private sector monitoring of bank soundness?. (2001). Richards, Anthony ; Gropp, Reint.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:200176.

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  159. Procyclicality of the financial system and financial stability: issues and policy options. (2001). Borio, Claudio ; Lowe, Philip ; Furfine, Craig .
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:01-01.

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  160. Did U.S. Bank Supervisors Get Tougher During the Credit Crunch? Did They Get Easier During the Banking Boom? Did It Matter to Bank Lending?. (2000). Kyle, Margaret ; Berger, Allen ; Scalise, Joseph M..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:7689.

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  161. Did U.S. bank supervisors get tougher during the credit crunch? Did they get easier during the banking boom? Did it matter to bank lending?. (2000). Kyle, Margaret ; Berger, Allen ; Scalise, Joseph M..
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2000-39.

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  162. Solvency runs, sunspot runs, and international bailouts. (2000). Spiegel, Mark.
    In: Working Paper Series.
    RePEc:fip:fedfwp:2001-05.

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  163. Identifying the macroeconomic effect of loan supply shocks. (2000). Tootell, Geoffrey ; Rosengren, Eric ; Peek, Joe.
    In: Working Papers.
    RePEc:fip:fedbwp:00-2.

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  164. The Market Reaction to the Disclosure of Supervisory Actions: Implications for Bank Transparency. (2000). Rosengren, Eric ; Peek, Joe.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:9:y:2000:i:3:p:298-319.

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