29 documents matched the search for the 2017-11-12 issue of the NEP report on Banking (nep-ban), currently edited by Sergio Castellanos-Gamboa.
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11121
Supervisory and statistical granular data modelling at the Croatian National Bank, Ines Bašić,
from European Central Bank
(2017)
Keywords: Croatian National Bank, data warehouse, granular data, metadata, modelling
Banking Systems in an Economy Dominated by Cryptocurrencies, Kartik Hegadekatti and Yatish S G,
from University Library of Munich, Germany
(2016)
Keywords: Banking, Cryptocurrencies, Bitcoin, Blockchain
Trading Offshore: Evidence on Banks' Tax Avoidance, Dominika Langenmayr and Franz Reiter,
from CESifo
(2017)
Keywords: profit shifting, multinational banks, corporate taxation, proprietary trading
Equilibrium Theory of Banks' Capital Structure, Douglas Gale and Piero Gottardi,
from CESifo
(2017)
Keywords: capital structure, banks, bankruptcy
The Impact of Japanese Monetary Policy Crisis Management on the Japanese Banking Sector, Juliane Gerstenberger and Gunther Schnabl,
from CESifo
(2017)
Keywords: Japan, monetary policy, crisis management, banking sector, city banks, regional banks, shinkin banks, concentration
Bargaining power and outside options in the interbank lending market, Puriya Abbassi, Falk Bräuning and Niels Schulze,
from Deutsche Bundesbank
(2017)
Keywords: bargaining power, over-the-counter market, monetary policy, money market segmentation
Choosing Stress Scenarios for Systemic Risk Through Dimension Reduction, Matthew Pritsker,
from Federal Reserve Bank of Boston
(2017)
Keywords: Stress Testing; financial stability; banking
The Intersection of U.S. Money Market Mutual Fund Reforms, Bank Liquidity Requirements, and the Federal Home Loan Bank System, Kenechukwu Anadu and Viktoria Baklanova,
from Federal Reserve Bank of Boston
(2017)
Keywords: Federal Home Loan Banks; liquidity coverage ratio; Money Market Mutual Funds; short-term funding markets; systemic risk
The Effect of Bank Credit and the Trade Patterns of Colombian Exporters, Danielken Molina and Roa Mónica,
from Banco de México
(2017)
Keywords: International Trade;Export Margins and Bank Financing
Behavioral Banking: A Theory of the Banking Firm with Time-Inconsistent Depositors, Carolina Laureti and Ariane Szafarz,
from ULB -- Universite Libre de Bruxelles
(2017)
Keywords: Behavioral economics; banking; savings account; liquidity premium; time inconsistency; commitment; quasi-hyperbolic discounting.
Do Professional Norms in the Banking Industry Favor Risk-taking?, Alain Cohn, Ernst Fehr and Michel Maréchal,
from CESifo
(2017)
Keywords: risk culture, banking industry, experiment
Macroprudential Measures and Irish Mortgage Lending: Insights from H1 2017, Christina Kinghan, Paul Lyons and Yvonne McCarthy,
from Central Bank of Ireland
(2017)
Competition and credit procyclicality in European banking, Aurélien Leroy and Yannick Lucotte,
from Bank of Estonia
(2017)
Keywords: credit cycle, business cycle, bank competition, interacted panel VAR
How Bad Is a Bad Loan? Distinguishing Inherent Credit Risk from Inefficient Lending (Does the Capital Market Price This Difference?), Joseph Hughes and Choon-Geol Moon,
from Rutgers University, Department of Economics
(2017)
Keywords: commercial banking, credit risk, nonperforming loans, lending efficiency
Bank capital allocation under multiple constraints, Tirupam Goel, Ulf Lewrick and Nikola Tarashev,
from Bank for International Settlements
(2017)
Keywords: internal capital market, Value-at-Risk, leverage ratio, risk-adjusted return on capital
Asymmetric Information and Imperfect Competition in Lending Markets, Gregory S. Crawford, Nicola Pavanini and Fabiano Schivardi,
from Einaudi Institute for Economics and Finance (EIEF)
(2017)
The Cost of Distorted Financial Advice - Evidence from the Mortgage Market, Leonardo Gambacorta, Luigi Guiso, Paolo Emilio Mistrulli, Andrea Pozzi and Anton Tsoy,
from Einaudi Institute for Economics and Finance (EIEF)
(2017)
Retirement in the Shadow (Banking), Guillermo Ordonez and Facundo Piguillem,
from Einaudi Institute for Economics and Finance (EIEF)
(2017)
Effect of Banking Sector Resolution on Competition and Stability, Anna Kruglova and Yulia Ushakova,
from Bank of Russia
(2017)
Keywords: Russian banking sector, banking licence, banking sector resolution, competition, banking sector stability
Cross-border effects of regulatory spillovers: evidence from Mexico, Jagdish Tripathy,
from Bank of England
(2017)
Keywords: Regulatory spillovers; capital shock; household credit
Bondholder Reorganization of Systemically Important Financial Institutions, Steven Gjerstad,
from Chapman University, Economic Science Institute
(2017)
Design of Macro-prudential Stress Tests, Dmitry Orlov, Pavel Zryumov and Andrzej Skrzypacz,
from Stanford University, Graduate School of Business
(2017)
U. S. monetary policy and emerging market credit cycles, Falk Bräuning and Victoria Ivashina,
from Federal Reserve Bank of Boston
(2017)
Keywords: global business cycle; monetary policy; emerging markets; reaching for yield
Risk-taking Behavior in Cooperative financial Institutions and financial Stability in Japan: Lessons from the Global financial Crisis (Japanese), Masanori Ohkuma,
from Research Institute of Economy, Trade and Industry (RIETI)
(2017)
FINANCIAL FIRM PRODUCTION OF INSIDE MONETARY AND CREDIT CARD SERVICES: AN AGGREGATION THEORETIC APPROACH1, William Barnett and Liting Su,
from University of Kansas, Department of Economics
(2017)
Keywords: Credit Cards, Money, Credit, Aggregation, Monetary Aggregation, Index Number Theory, Divisia Index, Risk, Euler Equations, Asset Pricing
The Mortgage Rate Conundrum, Alejandro Justiniano, Giorgio Primiceri and Andrea Tambalotti,
from Federal Reserve Bank of Chicago
(2017)
Keywords: Credit boom; housing boom; mortgage loans; securitization; private label; subprime
Assessing Competition With the Panzar-Rosse Model: An empirical analysis of European Union banking industry, Suzana Cristina Silva Andrade,
from Gabinete de Estratégia e Estudos, Ministério da Economia
(2017)
Keywords: Competition, Concentration, Banking industry, Panzar and Rosse Model
Cross-country spillovers from macroprudential regulation: Reciprocity and leakage, Margarita Rubio,
from University of Nottingham, Centre for Finance, Credit and Macroeconomics (CFCM)
(2017)
Keywords: Macroprudential Policies, Spillovers, Banking Regulation, Foreign
Strategic Default Among Private Student Loan Debtors: Evidence from Bankruptcy Reform, Rajeev Darolia and Dubravka Ritter,
from Federal Reserve Bank of Philadelphia
(2017)
Keywords: student loans; bankruptcy; bankruptcy reform
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