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Restructuring the Banking System to Improve Safety and Soundness. (2012). Morris, Charles ; Hoenig, Thomas .
In: MPRA Paper.
RePEc:pra:mprapa:47614.

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Cited: 14

Citations received by this document

Cites: 11

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Cocites: 50

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Citations

Citations received by this document

  1. Do traditional off-balance sheet exposures increase bank risk?. (2022). Haq, Mamiza ; Tripe, David ; Seth, Rama.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:80:y:2022:i:c:s1042443122001032.

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  2. Bank culture. (2019). Thakor, Anjan V ; Song, Fenghua .
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:39:y:2019:i:c:p:59-79.

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  3. The Performance of Financial Institutions: Modeling, Evidence, and Some Policy Implications. (2018). Hughes, Joseph ; Mester, Loretta J.
    In: Departmental Working Papers.
    RePEc:rut:rutres:201805.

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  4. Measuring the Performance of Banks: Theory, Practice, Evidence, and Some Policy Implications. (2013). Hughes, Joseph ; Mester, Loretta J..
    In: Departmental Working Papers.
    RePEc:rut:rutres:201322.

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  5. Why Fixing the Shadow Banking Sector is Essential for the U.S. Housing Market. (2013). Whalen, Christopher R..
    In: NFI Policy Briefs.
    RePEc:nfi:nfipbs:2013-pb-01.

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  6. Rules, Discretion, and Macro-Prudential Policy. (2013). Sharma, Sunil ; Agur, Itai.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2013/065.

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  7. Measuring the performance of banks: theory, practice, evidence, and some policy implications. (2013). Hughes, Joseph ; Mester, Loretta J..
    In: Working Papers.
    RePEc:fip:fedpwp:13-31.

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  8. Measuring the Performance of Banks: Theory, Practice, Evidence, and Some Policy Implications. (2013). Hughes, Joseph ; Mester, Loretta J.
    In: Working Papers.
    RePEc:ecl:upafin:13-28.

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  9. The Case for Simple Rules and Limiting the Safety Net. (2013). Hoenig, Thomas .
    In: Cato Journal.
    RePEc:cto:journl:v:33:y:2013:i:3:p:485-489.

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  10. Structural bank regulation initiatives: approaches and implications. (2013). Rixtel, Adrian ; Gambacorta, Leonardo ; van Rixtel, Adrian.
    In: BIS Working Papers.
    RePEc:bis:biswps:412.

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  11. Banking and Trading. (2012). Ratnovski, Lev ; Boot, Arnoud ; Arnoud W. A. Boot, .
    In: Tinbergen Institute Discussion Papers.
    RePEc:tin:wpaper:20120107.

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  12. Banking and Trading. (2012). Boot, Arnoud ; Ratnovski, Lev.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2012/238.

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  13. Banking and Trading. (2012). Ratnovski, Lev ; Boot, Arnoud ; Boot, Arnoud W A, .
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9148.

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  14. What should banks be allowed to do?. (2011). Morris, Charles.
    In: Economic Review.
    RePEc:fip:fedker:y:2011:i:qiv:p:55-80:n:v.96no.4.

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References

References cited by this document

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  2. Acharya, Viral, Philipp Schnabl, and Gustavo Suarez. 2011. “Securitization Without Risk Transfer,” working paper (Social Science Research Network), August.

  3. Admati, Anat R., Peter M. DeMarzo, Martin F. Hellwig, and Paul Pfleiderer. 2011. “Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation: Why Bank Equity is Not Expensive,” Rock Center for Corporate Governance at Stanford University Working Paper No. 86, Stanford Graduate School of Business Research Paper No. 2065, March.
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  4. Braithwaite, Tom. 2011. “Banks Turn to Financial Alchemy in Search for Capital,” Financial Times, October 24.
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  6. Hellwig, Martin, 2010, “Capital Regulation after the Crisis: Business as Usual?” Max Planck Institute for Research on Collective Goods, reprint 2010/31.

  7. Morgan, Donald, 2002,”Rating Banks: Risk and Uncertainty in an Opaque Industry,” American Economic Review, September.

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  9. Richardson, Matthew, Roy Smith, and Ingo Walter, 2010, “Large Banks and the Volcker Rule,” Regulating Wall Street: The Dodd-Frank Act and the New Architecture of Global Finance, edited by Viral V. Acharya, Thomas F. Cooley, Matthew Richardson, Ingo Walter, New York University Stern School of Business, John Wiley & Sons Inc., Chapter 7, pp. 181-212.
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Cocites

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  1. Mortgage companies and regulatory arbitrage. (2014). Demyanyk, Yuliya.
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  2. Extreme Spillover Between Shadow Banking and Regular Banking. (2013). Paraschiv, Florentina ; Qin, Minzi .
    In: Working Papers on Finance.
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  3. Running for the Exit? International Bank Lending During a Financial Crisis. (2013). Van Horen, Neeltje ; De Haas, Ralph.
    In: Review of Financial Studies.
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  4. Financial Statistics for the United States and the Crisis: What Did They Get Right, What Did They Miss, and How Could They Change?. (2013). Kohn, Donald ; Palumbo, Michael ; Eichner, Matthew .
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  5. Toward a supply-side theory of financial innovation. (2013). Awrey, Dan .
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  7. A model of shadow banking. (2012). Shleifer, Andrei ; Gennaioli, Nicola ; Vishny, Robert.
    In: Economics Working Papers.
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  8. Restructuring the Banking System to Improve Safety and Soundness. (2012). Morris, Charles ; Hoenig, Thomas .
    In: MPRA Paper.
    RePEc:pra:mprapa:47614.

    Full description at Econpapers || Download paper

  9. Bubbles, Financial Crises, and Systemic Risk. (2012). Brunnermeier, Markus ; Oehmke, Martin.
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  10. Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis. (2012). Mora, Nada ; Acharya, Viral.
    In: NBER Working Papers.
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  11. Sizing Up Repo. (2012). Nagel, Stefan ; Krishnamurthy, Arvind ; Orlov, Dmitry.
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  12. International Capital Flows and House Prices: Theory and Evidence. (2012). Van Nieuwerburgh, Stijn ; Ludvigson, Sydney ; Kohn, David ; Favilukis, Jack.
    In: NBER Working Papers.
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  13. International Capital Flows and House Prices: Theory and Evidence. (2012). Kohn, David ; Ludvigson, Sydney C. ; van Nieuwerburgh, Stijn ; Favilukis, Jack.
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  19. Effect of Securitization on the Bank’s Equity Risk in the U.S.. (2012). Poramapojn, Pituwan .
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  20. Market Failures and Regulatory Failures: Lessons from Past and Present Financial Crises. (2011). Cooley, Thomas ; Acharya, Viral ; Walter, Ingo ; Richardson, Matthew.
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  21. Regulating Systemic Risk through Transparency: Tradeoffs in Making Data Public. (2011). thesmar, david ; Landier, Augustin.
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  23. Implicit Guarantees and Risk Taking: Evidence from Money Market Funds. (2011). Schnabl, Philipp ; Kacperczyk, Marcin.
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  24. Why Did U.S. Banks Invest in Highly-Rated Securitization Tranches?. (2011). Stulz, René ; Erel, Isil ; Nadauld, Taylor D..
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  25. Are All Ratings Created Equal? The Impact of Issuer Size on the Pricing of Mortgage-backed Securities. (2011). He, Jie ; Strahan, Philip E. ; Jun 'QJ' Qian, .
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  27. Dividends and Bank Capital in the Financial Crisis of 2007-2009. (2011). Shin, Hyun Song ; Acharya, Viral ; Kulkarni, Nirupama ; Gujral, Irvind .
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