Results 201-210 of 346.
|2006 ||Does the market discipline banks? New evidence from the regulatory capital mix||Ashcraft, Adam B.
|2004 ||A general approach to integrated risk management with skewed, fat-tailed risks||Rosenberg, Joshua V. / Schuermann, Til
|2004 ||Estimating probabilities of default||Schuermann, Til / Hanson, Samuel Gregory
|2007 ||Public disclosure, risk, and performance at bank holding companies||Hirtle, Beverly
|2007 ||Payday holiday: How households fare after payday credit bans||Morgan, Donald P. / Strain, Michael R.
|2009 ||Macroprudential supervision of financial institutions: Lessons from the SCAP||Hirtle, Beverly / Schuermann, Til / Stiroh, Kevin
|2009 ||Measuring bank efficiency: Tradition or sophistication? - A note||Daley, Jenifer / Matthews, Kent
|2012 ||Shadow banking regulation||Adrian, Tobias / Ashcraft, Adam B.
|2011 ||Expectations versus fundamentals: Does the cause of banking panics matter for prudential policy?||Keister, Todd / Narasiman, Vijay
|2013 ||Financial Frictions and the Credit Transmission Channel: Capital Requirements and Bank Capital||Gornicka, Lucyna / van Wijnbergen, Sweder