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Safe & sound banking, 20 years later: what was proposed and what has been adopted. (2006). Kwan, Simon ; Furlong, Frederick.
In: Proceedings.
RePEc:fip:fedfpr:y:2006:x:6.

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  1. Accounting for banks, capital regulation and risk-taking. (2017). Li, Jing.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:74:y:2017:i:c:p:102-121.

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  2. Supervising bank safety and soundness: some open issues. (2006). Flannery, Mark.
    In: Proceedings.
    RePEc:fip:fedfpr:y:2006:x:7.

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References

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  1. Benston, George J., and George G. Kaufman, 1998, .Deposit insurance reform in the FDIC Improvement Act: The experience to Date. Economic Perspectives, Federal Reserve Bank of Chicago, Second Quarter, pp. 2.20.

  2. Benston, George J., Robert A. Eisenbeis, Paul M. Horvitz, Edward J. Kane, and George G. Kaufman, 1986, Perspectives on Safe and Sound Banking, Cambridge, MA: MIT Press.
    Paper not yet in RePEc: Add citation now
  3. Bies, Susan Schmidt. 2004. Remarks to the International Association of Credit Portfolio Managers General Meeting, November 18.
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  4. Bliss, Robert, and Mark Flannery. 2002. Market Discipline in Governance of U.S. Bank Holding Companies: Monitoring vs. Influencing. European Finance Review. 6, pp. 36 1-395.

  5. Burton, Steven, and Gary Seale, 2005. A Survey of Current and Potential Uses of Market Data by the FDIC, Banking Review, Federal Deposit Insurance Corporation, Vol 17, No. 1. pp. 1-17.
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  6. Covitz, D. M., Hancock, D., Kwast, M. L. 2002. Market Discipline in Banking Reconsidered: The Roles of Deposit Insurance Reform, Funding Manager Decisions and Bond Market Liquidity. Board of Governors of the Federal Reserve System, Finance and Economics Discussion Series 2002B46.

  7. Evanoff, Douglas, and Julapa Jagtiani. 2004. Use of Supervisory and Monitoring Process and to Enhance Market Discipline. Manuscript.
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  8. Evanoff, Douglas, and Larry Wall. 2000. Subordinated Debt as Regulatory Capital: A Proposal for Regulatory Reform. Economic Perspectives. Federal Reserve Bank of Chicago, pp. 4 1-53.

  9. Feldman, Ronald and Jason Schmidt, 2003. Supervisory Use of Market Data in the Federal Reserve System. Federal Reserve Bank of Minneapolis, Manuscript.
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  10. Flannery, Mark J. and Kasturi P. Rangan. 2004, What Caused the Bank Capital Build-up of the 1990s? FDIC Center for Financial Research Working Paper No. 2004-03 (August).

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  15. SR 0 1-6. 2001. Enhancement to Public Disclosure. Division of Banking Supervision, Board of Governors of the Federal Reserve System.
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  16. Stern, G. H. and R. J. Feldman, 2004, Too big to fail: The hazards of bank bailouts, Brookings Institution Press, Washington D.C.
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Cocites

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  1. Bank asset structure and deposit insurance pricing. (2020). Davidson, Travis ; Camara, Antonio ; Fodor, Andrew.
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  2. Managerial Risk-Taking Behavior: A Too-Big-To-Fail Story. (2018). Kang, Eugene ; Fraser, Donald ; Zardkoohi, Asghar ; Cannella, Albert A.
    In: Journal of Business Ethics.
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  3. Teoretické a ekonomické aspekty pojištění vkladů. (2013). Revenda, Zbynk.
    In: Politická ekonomie.
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  4. How does internal control regulation affect financial reporting?. (2010). Altamuro, Jennifer ; Beatty, Anne.
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  5. A systemic approach to financial regulation: a European perspective. (2009). Scialom, Laurence ; Aglietta, Michel.
    In: EconomiX Working Papers.
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  6. Discipline and Liquidity in the Interbank Market. (2008). King, Thomas.
    In: Journal of Money, Credit and Banking.
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  7. Pour une politique dactions correctives précoces dans lUnion européenne : les carences institutionnelles et légales. (2007). Scialom, Laurence.
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  8. Can feedback from the jumbo CD market improve bank surveillance?. (2006). Gilbert, R. ; Vaughan, Mark D. ; Meyer, Andrew P..
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  9. Safe and sound banking, 20 years later: what was proposed and what has been adopted. (2006). Kwan, Simon ; Furlong, Frederick.
    In: Working Paper Series.
    RePEc:fip:fedfwp:2006-27.

    Full description at Econpapers || Download paper

  10. Safe & sound banking, 20 years later: what was proposed and what has been adopted. (2006). Kwan, Simon ; Furlong, Frederick.
    In: Proceedings.
    RePEc:fip:fedfpr:y:2006:x:6.

    Full description at Econpapers || Download paper

  11. Deposit Insurance and Risk Management of the U.S. Banking System: What is the Loss Distribution Faced by the FDIC?. (2005). Schuermann, Til ; Weiner, Scott ; Kuritzkes, Andrew.
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  12. FDIC losses in bank failures: has FDICIA made a difference?. (2004). Kaufman, George P..
    In: Economic Perspectives.
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  13. Market discipline and deposit insurance. (2004). Huizinga, Harry ; Demirguc-Kunt, Asli.
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  14. Algunos temas relevantes en la teoría bancaria. (2004). Samartin, Margarita.
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  15. An overall perspective on banking regulation. (2003). FREIXAS, XAVIER.
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  16. Can feedback from the jumbo-CD market improve bank surveillance?. (2003). Gilbert, R. ; Vaughan, Mark D. ; Meyer, Andrew P..
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  17. Discipline and liquidity in the market for federal funds. (2003). King, Thomas.
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  20. Can feedback from the jumbo-CD market improve off-site surveillance of community banks?. (2002). Gilbert, R. ; Vaughan, Mark D. ; Meyer, Andrew P..
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  21. Did FDICIA enhance market discipline on community banks? a look at evidence from the jumbo-CD market. (2002). King, Thomas ; Vaughan, Mark D. ; Hall, John R. ; Meyer, Andrew P..
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  25. Sub-debt Yield Spreads as Bank Risk Measures. (2001). Wall, Larry ; Evanoff, Douglas.
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