A model of financial crisis with applications to real estate bubbles and Asia
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2001 |
Sarkar, Nilanjana |
Are there rational bubbles in the US stock market? : Overview and a new test
|
2001 |
Bhar, Ramaprasad |
Is the federal reserve stock market bubble-neutral?
|
2001 |
Hayford, Marc Douglas |
Bubbles and crashes: Hayek and Haberler revisited
|
2001 |
Bernard, Henri |
Measuring the bubble in mature and emerging equity markets
|
2001 |
Garcia, Gillian Glenys |
Should monetary policy respond to asset price bubbles? : Some experimental results
|
2001 |
Filardo, Andrew J. |
Financial liberalization, asset inflation, and monetary policy in Japan
|
2001 |
Cargill, Thomas F. |
How good are EU deposit insurance schemes in a bubble environment?
|
2001 |
Hall, Maximilian |
Towards a regulatory agenda for banking in Europe
|
2000 |
Benink, Harald A. |
A regulatory regime for financial stability
|
2000 |
Llewellyn, David T. |
The role of a camel downgrade model in bank surveillance
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2000 |
Gilbert, R. Alton |
Subordinated debt and bank capital reform
|
2000 |
Evanoff, Douglas Darrell |
Deposit rate premiums and the demand for funds by thrifts
|
2000 |
Aadland, David |
Deposit insurance funding and insurer resource allocation : a portfolio model of insurer behavior under uncertainty
|
2000 |
Seelig, Steven A. |
The development of internal models approaches to bank regulation and supervision : lessons from the market risk amendment
|
2000 |
García López, José A. |
Credit registers and early warning systems of bank fragility : the Italian experience
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2000 |
Marullo Reedtz, Paolo |
Cross-country evidence on banking crises : do financial structure and bank regulation matter?
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2000 |
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Challenges to the structure of financial supervision in the EU
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2000 |
Lannoo, Karel |
Latin America, Asia, and Russia : have the lessons been learned?
|
1999 |
Todd, Walker F. |
Banking crises : analysis and conseqeunces
|
1999 |
Gup, Benton E. |