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Volumn 11, Issue 4, 1999, Pages 485-495

Bank capital regulation, diversification loss and the probability of bank failure

Author keywords

Bank capital ratio regulation; Diversification loss; G28; The probability of bank failure

Indexed keywords


EID: 0346243591     PISSN: 09221425     EISSN: None     Source Type: Journal    
DOI: 10.1016/s0922-1425(98)00051-6     Document Type: Article
Times cited : (5)

References (9)
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  • 3
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    • Honda, Y.1    Kawahara, F.2    Kohara, H.3
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    • Capital adequacy and the regulation of financial intermediaries
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    • Kahane, Y.1
  • 5
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    • A reexamination of mean-variance analysis of bank capital regulation
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    • (1990) Journal of Banking and Finance , vol.14 , Issue.1 , pp. 69-84
    • Keeley, M.C.1    Furlong, F.T.2
  • 6
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  • 7
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    • Koehn, M.1    Santomero, A.M.2
  • 8
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    • Safety first and the holding of assets
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  • 9
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    • Delegated monitoring and bank structure in a finite economy
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    • (1995) Journal of Financial Intermediation , vol.4 , Issue.2 , pp. 158-187
    • Winton, A.1


* 이 정보는 Elsevier사의 SCOPUS DB에서 KISTI가 분석하여 추출한 것입니다.