The bank closure policy and the optimal incentive contract for self-interested regulators

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:Research in banking and finance
1. Verfasser: Chen, Yehning (VerfasserIn)
Weitere Verfasser: Chang, Chu-hsuan (VerfasserIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 2003
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Verfasser
Option trading and stock returns : a re-examination 2003 Narayanan, Rajesh P.
Do exchange listings bring the desired improvement in liquidity? : Observations from the Nordic markets for venture capital and IPOs 2003 Westerholm, P. Joakim
European financial market integration : evidence on the emergence of a single Eurozone retail banking market 2003 Kleimeier, Stefanie
A dynamic model of bank production with adjustment costs and multiple risk effects 2003 Bessler, Wolfgang
Efficiency change, technological progress and productivity growth in small thrift institutions : the case of US cooperative banks 2003 Elyasiani, Elyas
What explains the difference between the futures' price and its "fair" value? : Evidence from the Euronext Amsterdam 2003 Berglund, Tom
Corporate growth options and systematic risk 2003 Sarkar, Sudipto
Risk-return relationship in the banking industry 2003 Osborne, Dale K.
Foreign entry and efficiency : evidence from the Brazilian banking industry 2003 Vasconcelos, Marcos Roberto
R&D subsidies and uncertain innovation : do small and large firms respond differently to subsidy changes? 2003 Goel, Rajeev K.
Future challenges for securities and derivative markets 2003 Malkamäki, Markku R. J.
Technological development and concentration of stock exchanges in Europe 2003 Schmiedel, Heiko
Deregulation, markups and productivity change : the case of Spanish banks 2003 Kumbhakar, Subal
The bank closure policy and the optimal incentive contract for self-interested regulators 2003 Chen, Yehning
Can we beat the Dow? : The mirage of growth strategies 2003 Becchetti, Leonardo
On equilibrium asset prices when markets are incomplete 2002 Madrigal, Vicente
The effects of background risk on optimal portfolios 2002 Jokung, Octave
The dynamics of capital structure : evidence from Swedish micro and small firms 2002 Heshmati, Almas
Determinants of leverage and access to credit : evidence on Western and Eastern Europe countries 2002 Weill, Laurent
Credit risk in the traditional banking book : a VaR approach under correlated defaults 2002 Zazzara, Cristiano
Alle Artikel auflisten