Books on the topic 'Bank failures – Models'
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Arena, Marco. Bank failures and bank fundamentals: A comparative analysis of Latin America and East Asia during the nineties using bank-level data. [Ottawa]: Bank of Canada, 2005.
Find full textCole, Rebel A. Separating the likelihood and timing of bank failure. [Dallas]: Federal Reserve Bank of Dallas, 1993.
Find full textW, Cooper Russell. Bank runs: Liquidity and incentives. Cambridge, MA: National Bureau of Economic Research, 1991.
Find full textCaldwell, Greg. An analysis of closure policy under alternative regulatory structures. Ottawa: Bank of Canada, 2005.
Find full textLang, William W. Optimal bank closure for deposit insurers. [Philadelphia, Pa.]: Federal Reserve Bank of Philadelphia, 1990.
Find full textEnnis, Huberto M. Bank runs and investment decisions revisited. [Richmond, Va.]: Federal Reserve Bank of Richmond, 2004.
Find full textKim, Se-Jik. Managing confidence in emerging market bank runs. [Washington, D.C.]: International Monetary Fund, European Dept., and Research Dept., 2004.
Find full textZhu, Haibin. Bank runs without self-fulfilling prophecies. Basel, Switzerland: Bank for International Settlements, Monetary and Economic Dept., 2001.
Find full textZhu, Haibin. Bank runs, welfare and policy implications. Basel, Switzerland: Bank for International Settlements, Monetary and Economic Dept., 2001.
Find full textGarber, Peter M. Bank runs in open economies and the international transmission of panics. Cambridge, MA: National Bureau of Economic Research, 1988.
Find full textSantor, Eric. Banking crises and contagion: Empirical evidence. Ottawa: Bank of Canada, 2003.
Find full textChan-Lau, Jorge A. Distance-to-default in banking: A bridge too far? Washington, D.C: International Monetary Fund, Monetary and Financial Systems Dept., 2006.
Find full textSantor, Eric. Banking crises and contagion: Empirical evidence. Ottawa, Ont: Bank of Canada, 2003.
Find full textThe science of insolvency: Hearing before the Subcommittee on Investigations and Oversight, Committee on Science and Technology, House of Representatives, One Hundred Eleventh Congress, first session, May 19, 2009. Washington: U.S. G.P.O., 2009.
Find full textBarr, Richard S. Predicting bank failure using DEA to quantify management quality. [Dallas: Federal Reserve Bank of Dallas, 1994.
Find full textBarr, Richard S. Predicting bank failure using DEA to quantify management quality. [Dallas: Federal Reserve Bank of Dallas, 1994.
Find full textElsinger, Helmut. Risk assessment for banking systems. Wien: Oesterreichische Nationalbank, 2002.
Find full textHonohan, Patrick. Controlling fiscal costs of banking crises. Washington, D.C: World Bank, Policy Research Dissemination Center, 2000.
Find full textDemsetz, Rebecca S. Agency problems and risk taking at banks. [New York, N.Y.]: Federal Reserve Bank of New York, 1997.
Find full textW, Cooper Russell. Financial collapse and active monetary policy: A lesson from the Great Depression. [Minneapolis, Minn.]: Federal Reserve Bank of Minneapolis, 2001.
Find full textRosengren, Eric S. Failed bank resolution and the collateral crunch : the advantages of adopting transferable puts. [Boston]: Federal Reserve Bank of Boston, 1992.
Find full textBoitan, Iustina Alina. Crize bancare și sisteme de avertizare timpurie. București: Editura ASE, 2011.
Find full textMavrotas, George. Financial sector structure and financial crisis burden: A model based on the Russian default of 1998. Helsinki: United Nations University, World Institute for Development Economics Research, 2005.
Find full textTressel, Thierry. Financial globalization and the governance of domestic financial intermediaries. Washington, D.C: International Monetary Fund, 2007.
Find full textEpargnants d'Afrique, inquiétez-vous! Paris: L'Harmattan, 2011.
Find full textCordella, Tito. Bank bailouts: Moral hazard vs. value effect. [Washington, D.C.]: International Monetary Fund, Monetary and Exchange Affairs Department, 1999.
Find full textBurnside, Craig. Prospective deficits and the Asian currency crisis. Washington, DC: World Bank, Development Research Group, Macroeconomics and Growth, 1999.
Find full textBurnside, Craig. Prospective deficits and the Asian currency crisis. Cambridge, MA: National Bureau of Economic Research, 1998.
Find full textJ, Kane Edward. Capital movements, banking insolvency, and silent runs in the Asian financial crisis. Cambridge, MA: National Bureau of Economic Research, 2000.
Find full textSantomero, Anthony M. Evidence in support of broader bank powers. Oxford: Blackwell, 1992.
Find full textSantomero, Anthony M. Evidence in support of broader bank powers. Cambridge, MA: Blackwell Pulishers, 1992.
Find full textFohrmann, Oliver. Zwillingskrisen: Die Entstehung und Bekämpfung kombinierter Banken- und Währungskrisen. Frankfurt am Main: Lang, 2007.
Find full textSchneider, Martin. Balance sheet effects, bailout guarantees and financial crises. Cambridge, MA: National Bureau of Economic Research, 2000.
Find full textGlennon, Dennis C. A Markov model of bank failure estimated using an information-theoretic approach. Washington, DC: Office of the Comptroller of the Currency, 2003.
Find full textBurnside, Craig. On the fundamentals of self-fulfilling speculative attacks. Cambridge, MA: National Bureau of Economic Research, 2000.
Find full textCrum, Douglas A. Rotational failure mechanisms using multiple friction circles for stablility analysis. Washington, D.C. (2401 E St., N.W., Washington 20241-0001): U.S. Dept. of the Interior, Bureau of Mines, 1991.
Find full textBalackiy, Evgeniy, Natal'ya Ekimova, Aleksandr Rudnev, and Aleksandr Gusev. New approaches to modeling economic development. ru: INFRA-M Academic Publishing LLC., 2022. http://dx.doi.org/10.12737/1862597.
Full textUnited States. General Accounting Office, ed. Financial management: Review of VA's actuarial model for veterans' compensation benefits : report to the Secretary of Veterans Affairs. Washington, D.C: The Office, 1999.
Find full textTressel, Thierry, and Thierry Verdier. Financial Globalization and the Governance of Domestic Financial Intermediaries. International Monetary Fund, 2007.
Find full textTressel, Thierry, and Thierry Verdier. Financial Globalization and the Governance of Domestic Financial Intermediaries. International Monetary Fund, 2007.
Find full textTressel, Thierry, and Thierry Verdier. Financial Globalization and the Governance of Domestic Financial Intermediaries. International Monetary Fund, 2007.
Find full textYeyati, Eduardo Levy, and Tito Cordella. Bank Bailouts: Moral Hazard vs. Value Effect. International Monetary Fund, 1999.
Find full textYeyati, Eduardo Levy, and Tito Cordella. Bank Bailouts: Moral Hazard vs. Value Effect. International Monetary Fund, 1999.
Find full textYeyati, Eduardo Levy, and Tito Cordella. Bank Bailouts: Moral Hazard vs. Value Effect. International Monetary Fund, 1999.
Find full textCollier, Richard S. Banking on Failure. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198859673.001.0001.
Full textRodrigo, Olivares-Caminal, Douglas John, Guynn Randall, Kornberg Alan, Paterson Sarah, and Singh Dalvinder. Part II Bank Resolution, 8 Resolution of US Banks and Other Financial Institutions. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780198725244.003.0008.
Full textSimon, Gleeson. Part II Commercial Banking, 9 Model-Based Approaches to Risk Weighting. Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198793410.003.0009.
Full textSimon, Gleeson, and Guynn Randall. Part IV The UK Resolution Regime, 12 United Kingdom—General Approach. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780199698011.003.0012.
Full textBažant, Zdenek P., Jia-Liang Le, and Marco Salviato. Quasibrittle Fracture Mechanics and Size Effect. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780192846242.001.0001.
Full textGillespie, Caitlin C. We Learned These Things from the Romans. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190609078.003.0005.
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