22 documents matched the search for the 2013-10-18 issue of the NEP report on Banking (nep-ban), currently edited by Sergio Castellanos-Gamboa.
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11121
Predatory Short Selling, Markus Brunnermeier and Martin Oehmke,
from National Bureau of Economic Research, Inc
(2013)
Competition and Efficiency in the Mexican Banking Sector, Sara Castellanos and Jesus Garza-Garcia,
from BBVA Bank, Economic Research Department
(2013)
Keywords: Boone Indicator,Mexican Banking Sector,Bank competition,Panel Data
Sovereign ratings in the post-crisis world: an analysis of actual, shadow and relative risk ratings, Kaushik Basu, Supriyo De, Dilip Ratha and Hans Timmer,
from The World Bank
(2013)
Keywords: Debt Markets,Emerging Markets,Banks&Banking Reform,Economic Theory&Research,Currencies and Exchange Rates
Demand collapse or credit crunch to firms ? evidence from the world bank's financial crisis survey in Eastern Europe, Ha Nguyen and Rong Qian,
from The World Bank
(2013)
Keywords: Economic Theory&Research,Microfinance,Access to Finance,Markets and Market Access,Banks&Banking Reform
What regulatory frameworks are more conducive to mobile banking ? empirical evidence from findex data, Eva Gutierrez and Sandeep Singh,
from The World Bank
(2013)
Keywords: Emerging Markets,Banks&Banking Reform,Fiscal&Monetary Policy,E-Finance and E-Security,E-Business
Using credit reporting agency data to assess the link between the Community Reinvestment Act and consumer credit outcomes, Kristin Butcher and Ana Patricia Munoz,
from Federal Reserve Bank of Boston
(2013)
Keywords: Community Reinvestment Act of 1977; Consumer credit
Financial soundness indicators and financial crisis episodes, Maria Kasselaki and Athanasios Tagkalakis,
from Bank of Greece
(2013)
Keywords: Bank profitability; capital adequacy; asset quality; financial crisis.
Central bank refinancing, interbank markets, and the hypothesis of liquidity hoarding: evidence from a euro-area banking system, Massimiliano Affinito,
from Bank of Italy, Economic Research and International Relations Area
(2013)
Keywords: liquidity, financial crisis, central bank refinancing, interbank market
The management of interest rate risk during the crisis: evidence from Italian banks, Lucia Esposito, Andrea Nobili and Tiziano Ropele,
from Bank of Italy, Economic Research and International Relations Area
(2013)
Keywords: interest rate risk, derivatives, hedging, financial crisis
Market-Based Bank Capital Regulation, Jeremy Bulow and Paul Klemperer,
from Stanford University, Graduate School of Business
(2013)
Banking in Transition Countries, John Bonin, Iftekhar Hasan and Paul Wachtel,
from Wesleyan University, Department of Economics
(2013)
Keywords: transition banking, bank privatization, foreign banks, bank regulation, credit growth
Promotion and Relegation between Country Risk Classes as Maintained by Country Risk Rating Agencies, Johannes Fedderke,
from Economic Research Southern Africa
(2013)
Keywords: Banking Regulation, Impact Evaluation
The recapitalization needs of European banks if a new financial crisis occurs, Eric Dor,
from IESEG School of Management
(2013)
Price Versus Financial Stability: A role for money in Taylor rules?, John Keating and Andrew Smith,
from University of Kansas, Department of Economics
(2013)
Keywords: Monetary Aggregates, Optimal Monetary Policy, Taylor Rules, Financial Sector
Transforming subsidiaries into branches - Should we be worrying about it?, Péter Fáykiss, Gabriella Grosz and Gábor Szigel,
from Magyar Nemzeti Bank (Central Bank of Hungary)
(2013)
Keywords: branch, regulation, organisational form, microprudential supervision, macroprudential supervision
Estimating the impacts of restrictions on high LVR lending, Chris Bloor and Chris McDonald,
from Reserve Bank of New Zealand
(2013)
The fragility of short-term secured funding markets, Antoine Martin, David Skeie and Ernst-Ludwig von Thadden,
from Federal Reserve Bank of New York
(2013)
Keywords: systemic risk; investment banking; securities dealers; runs; repurchase agreements; financial fragility; collateral
International Trade, Risk and the Role of Banks, Friederike Niepmann and Tim Schmidt-Eisenlohr,
from Federal Reserve Bank of New York
(2013)
Keywords: letters of credit; multinational banks; risk; trade finance
Federal Reserve tools for managing rates and reserves, Antoine Martin, James McAndrews, Ali Palida and David Skeie,
from Federal Reserve Bank of New York
(2013)
Keywords: overnight reverse repurchases; balance sheet costs; Federal Reserve; liquidity; reserves; banks
Heterogeneity and stability: bolster the strong, not the weak, Dong Beom Choi,
from Federal Reserve Bank of New York
(2013)
Keywords: panic; financial spillovers; financial crises
Shadow bank monitoring, Tobias Adrian, Adam Ashcraft and Nicola Cetorelli,
from Federal Reserve Bank of New York
(2013)
Keywords: shadow banking; financial stability monitoring; financial intermediation
Debt collection agencies and the supply of consumer credit, Viktar Fedaseyeu,
from Federal Reserve Bank of Philadelphia
(2013)
Keywords: Household finance; Consumer credit; Lender protection; Creditor rights; Contract enforcement; Debt collection; Law and finance
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