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You are looking at 1-6 of 6 items for:

Banking x Corporate Regulation x clear all

Cash-in-the-Market Pricing and Optimal Resolution of Bank Failures

Viral V. Acharya and Tanju Yorulmazer.

in The Review of Financial Studies

November 2008; p ublished online December 2007 .

Journal Article. Subjects: Banking; Financial Regulation; Corporate Regulation; Monetary Policy, Central Banking, and the Supply of Money and Credit; Welfare Economics. 16795 words.

As the number of bank failures increases, the set of assets available for acquisition by surviving banks enlarges but the total liquidity available with surviving banks falls. This results...

Caught between Scylla and Charybdis? Regulating Bank Leverage When There Is Rent Seeking and Risk Shifting

Viral V. Acharya, Hamid Mehran and Anjan V. Thakor.

in The Review of Corporate Finance Studies

March 2016; p ublished online November 2015 .

Journal Article. Subjects: Banking; Financial Regulation; Corporate Governance; Corporate Regulation. 17722 words.

We develop a theory of optimal bank leverage in which the benefit of debt in inducing loan monitoring is balanced against the benefit of equity in attenuating risk shifting. However, faced...

Competition and Bank Opacity

Liangliang Jiang, Ross Levine and Chen Lin.

in The Review of Financial Studies

July 2016; p ublished online April 2016 .

Journal Article. Subjects: Banking; Financial Regulation; Mergers and Acquisitions; Corporate Regulation. 14454 words.

Did regulatory reforms that lowered barriers to competition increase or decrease the quality of information that banks disclose to the public? By integrating the gravity model of investment...

The crisis of Spanish savings banks

Juan Rafael Ruiz, Patricia Stupariu and Ángel Vilariño.

in Cambridge Journal of Economics

November 2016; p ublished online December 2015 .

Journal Article. Subjects: Financial Regulation; Banking; Corporate Regulation. 9821 words.

In a brief period of time, Spanish savings banks (‘cajas’) have changed from being considered a crucial explanatory pillar of Spanish economic development to being seen as synonymous with...

Supervisory Effectiveness and Bank Risk

Manthos D. Delis and Panagiotis K. Staikouras.

in Review of Finance

July 2011; p ublished online March 2011 .

Journal Article. Subjects: Corporate Regulation; Banking; Corporate Governance. 12916 words.

This paper investigates the role of banking supervision in controlling bank risk. Banking supervision is measured in terms of enforcement outputs (i.e., on-site audits and sanctions). Our...

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Why don't the bailouts work? Design of a new financial system versus a return to normalcy

Jan Kregel.

in Cambridge Journal of Economics

July 2009; p ublished online July 2009 .

Journal Article. Subjects: Economics; Prices, Business Fluctuations, and Cycles; Corporate Regulation; Monetary Policy, Central Banking, and the Supply of Money and Credit; General Aggregative Models; Banking. 6575 words.

The innovative support measures introduced by the US Central Bank and Treasury in response to the current crisis to bolster bank balance sheets have had little success in restoring...

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