| Title | Author(s) | |
|---|---|---|
Bank regulation and stability: an examination of the Basel market risk frameworkDeutsche Bundesbank Banking Supervision Discussion Papers [View] (Paper: 2012/09, 23.04.2012) |
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Bank regulations and income inequality: Empirical evidenceBank of Finland Discussion Papers [View] (Paper: 2012/18, 20.04.2012) |
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Predicting rating changes for banks: How accurate are accounting and stock market indicators?Bank of Finland Discussion Papers [View] (Paper: 2012/15, 12.04.2012) |
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Loan loss provisioning practices of Asian banksBank for International Settlements Working papers [View] (Paper: 375, 05.04.2012) |
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When Good Investments Go Bad: The Contraction in Community Bank Lending After the 2008 GSE TakeoverBoard of Governors of the Federal Reserve System International Financial Discussion Papers [View] (Paper: 1045, 24.03.2012) |
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Does macropru leak? Evidence from a UK policy experimentBank of England Working papers [View] (Paper: 445, 22.03.2012) |
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Bank stock returns, leverage and the business cycleBank for International Settlements Quarterly Review [View] (Paper: 1203g, 19.03.2012) |
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Federal Reserve Lending to Troubled Banks During the Financial Crisis, 2007-10St Louis Fed Working Papers [View] (Paper: 2012-006, 15.03.2012) |
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Regulation, credit risk transfer with CDS, and bank lendingDeutsche Bundesbank Discussion Papers [View] (Paper: 201205, 09.03.2012) |
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The Effect of TARP on Bank Risk-TakingBoard of Governors of the Federal Reserve System International Financial Discussion Papers [View] (Paper: 1043, 07.03.2012) |