Divergence of risk indicators and the conditions for market discipline in banking
Authors: | Forssbæck, Jens |
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Institutions: | SUERF - The European Money and Finance Forum |
Subject: | bank risk | risk indicators | subordinated debt | market discipline | panel data |
Published items: |
1 hits in RePEc - Research Papers in Economics
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Extent: | application/pdf |
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Series: | |
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | The price is Electronically free of charge, Print: free for members, 40 euro for non-members Number 2011/4 |
Classification: | G10 - General Financial Markets. General ; G21 - Banks; Other Depository Institutions; Mortgages ; G28 - Government Policy and Regulation |
Source: |
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Divergence of risk indicators and the conditions for market discipline in banking
Forssbæck, Jens, (2011)
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Divergence of Risk Indicators and the Conditions for Market Discipline in Banking
Forssbæck, Jens, (2011)
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Divergence of risk indicators and the conditions for market discipline in banking
Forssbaeck, Jens,
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Ownership structure, market discipline, and banks’ risk-taking incentives under deposit insurance
Forssbæck, Jens, (2011)
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The Transition to Marked-Based Monetary Policy: What Can China Learn from the European Experience?
Oxelheim, Lars, (2007)
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On the Link between Exchange-Rate Regimes and Monetary-Policy Autonomy: The European Experience
Forssbæck, Jens, (2005)
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