研究论文
An empirical analysis of the relation between bank charter value and risk taking
Jijun Niu
Simon Fraser University
来源The Quarterly Review of Economics and Finance
年份2012
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经济 / 管理Banking stability, regulation, efficiency
Corporate Finance and Governance · Housing Market and Economics
参考文献 38
Credit Rationing in Markets with Imperfect Information
被引 12,871Joseph E. Stiglitz, Andrew Weiss · American Economic Review · 1981
Size and performance of banking firms
被引 825John H. Boyd, David E. Runkle · Journal of Monetary Economics · 1993
An Analysis of Bank Charter Value and Its Risk-Constraining Incentives
被引 105Anthony Saunders, Berry Wilson · Journal of Financial Services Research · 2001
此处列出前 3 条
施引文献 30
Re-exploring the nexus between monetary policy and banks' risk-taking
被引 31Melchisédek Joslem Ngambou Djatche · Economic Modelling · 2019
Charter value, risk-taking and systemic risk in banking before and after the global financial crisis of 2007-2008
被引 27Yassine Bakkar, Clovis Rugemintwari, Amine Tarazi · Applied Economics · 2020
On the Consistency of the Z-Score to Measure the Bank Risk
被引 24Ion Lapteacru · SSRN Electronic Journal · 2016
按被引量排序,此处列出前 3 条