Larry D. Wall : Citation Profile


Are you Larry D. Wall?

Federal Reserve Bank of Atlanta

18

H index

39

i10 index

1212

Citations

RESEARCH PRODUCTION:

65

Articles

68

Papers

2

Chapters

RESEARCH ACTIVITY:

   35 years (1986 - 2021). See details.
   Cites by year: 34
   Journals where Larry D. Wall has often published
   Relations with other researchers
   Recent citing documents: 59.    Total self citations: 57 (4.49 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/pwa325
   Updated: 2022-01-23    RAS profile: 2022-01-08    
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Relations with other researchers


Works with:

Frame, W (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with Larry D. Wall.

Is cited by:

Frame, W (23)

Jagtiani, Julapa (20)

Kane, Edward (20)

TARAZI, Amine (15)

HASAN, IFTEKHAR (15)

Molyneux, Philip (15)

Mayes, David (14)

Berger, Allen (14)

Krueger, Dirk (13)

Demirguc-Kunt, Asli (13)

Hancock, Diana (13)

Cites to:

Kane, Edward (29)

Frame, W (23)

Berger, Allen (23)

Evanoff, Douglas (21)

Eisenbeis, Robert (18)

Flannery, Mark (16)

Sherlund, Shane (10)

Mayes, David (10)

Hancock, Diana (10)

Passmore, Wayne (9)

Hagendorff, Jens (9)

Main data


Where Larry D. Wall has published?


Journals with more than one article published# docs
Economic Review27
Journal of Banking & Finance8
Journal of Financial Services Research6
Journal of Economics and Business3
Journal of Banking Regulation3
Journal of Financial Stability3
Journal of Money, Credit and Banking2
Journal of Financial Regulation and Compliance2
The Financial Review2

Working Papers Series with more than one paper published# docs
FRB Atlanta Working Paper / Federal Reserve Bank of Atlanta36
Proceedings / Federal Reserve Bank of Chicago9
Working Papers / Banco de Espaa6
Policy Hub / Federal Reserve Bank of Atlanta4
Working Paper Series / Federal Reserve Bank of Chicago3

Recent works citing Larry D. Wall (2021 and 2020)


YearTitle of citing document
2020A closed-form solution to the risk-taking motivation of subordinated debtholders. (2020). , Sharonpeleg-Lazar ; Heller, Yuval ; Raviv, Alon ; Peleg-Lazar, Sharon. In: Papers. RePEc:arx:papers:2006.15309.

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2021InfoGram and Admissible Machine Learning. (2021). Mukhopadhyay, Subhadeep. In: Papers. RePEc:arx:papers:2108.07380.

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2021Impact of Financial Sector Opacity on the Capital Structure Choice of Asian Banks. (2021). Nishiyama, Shin-Ichi ; Mohammad, Khalil Ullah. In: Asian Economic and Financial Review. RePEc:asi:aeafrj:2021:p:219-235.

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2020Regulatory Banking Leverage: what do you know?. (2020). Kimura, Herbert ; da Rosa, Douglas. In: Working Papers Series. RePEc:bcb:wpaper:540.

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2021Return on Investment on AI: The Case of Capital Requirement. (2021). Laporte, Matthias ; Fraisse, Henri. In: Working papers. RePEc:bfr:banfra:809.

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2020Economic crisis and determinants of solvency in the insurance sector: new evidence from Spain. (2020). Trujilloponce, Antonio ; Parradomartinez, Purificacion ; Moreno, Ignacio . In: Accounting and Finance. RePEc:bla:acctfi:v:60:y:2020:i:3:p:2965-2994.

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2020Bank ownership type and temporal evolution of long‐term bank funding in the period 2005–2017. (2020). Merilainen, Jarimikko. In: Annals of Public and Cooperative Economics. RePEc:bla:annpce:v:91:y:2020:i:2:p:237-268.

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2020The Effect of Forward‐looking Criteria and IFRS on the Informativeness of Banks’ Loan Loss Allowances: Evidence from Korea. (2020). Kang, Sun Min ; Hwang, In Tae ; Lee, Mi Joo. In: Australian Accounting Review. RePEc:bla:ausact:v:30:y:2020:i:2:p:85-104.

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2020Does a banks business model affect its capital and profitability?. (2020). Vouldis, Angelos ; Farne, Matteo. In: Economic Notes. RePEc:bla:ecnote:v:49:y:2020:i:2:n:e12161.

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2020ACTIVITY STRATEGIES, AGENCY PROBLEMS, AND BANK RISK. (2020). Louvet, Pascal ; Girerdpotin, Isabelle ; Hassan, Kabir M ; Tran, Dung V. In: Journal of Financial Research. RePEc:bla:jfnres:v:43:y:2020:i:3:p:575-613.

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2021Comparing minds and machines: implications for financial stability. (2021). Haldane, Andy ; Buckmann, Marcus ; Huser, Anne-Caroline. In: Bank of England working papers. RePEc:boe:boeewp:0937.

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2020Does Capital-Based Regulation Affect Bank Pricing Policy?. (2020). Rakovská, Zuzana ; Hodula, Martin ; Ehrenbergerova, Dominika. In: Working Papers. RePEc:cnb:wpaper:2020/5.

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2020The Impacts of Stricter Merger Legislation on Bank Mergers and Acquisitions: Too-Big-To-Fail and Competition. (2020). Carletti, Elena ; Ongena, Steven ; Siedlarek, Jan-Peter ; Spagnolo, Giancarlo. In: CEPR Discussion Papers. RePEc:cpr:ceprdp:14449.

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2021Board financial expertise and the capital decisions of US banks. (2021). Vallascas, Francesco ; Keasey, Kevin ; Gilani, Usman. In: Journal of Corporate Finance. RePEc:eee:corfin:v:71:y:2021:i:c:s0929119921002133.

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2021Optimal regulation, executive compensation and risk taking by financial institutions. (2021). Hilscher, Jens ; Raviv, Alon ; Landskroner, Yoram. In: Journal of Corporate Finance. RePEc:eee:corfin:v:71:y:2021:i:c:s0929119921002261.

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2021Macroeconomic determinants of US corporate leverage. (2021). Ma, Chaoqun ; Ren, Yishuai ; Thi, Minh Ngoc ; Narayan, Seema. In: Economic Modelling. RePEc:eee:ecmode:v:104:y:2021:i:c:s0264999321002352.

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2020Are microfinance institutions resilient to economic slowdown? Evidence from their capital ratio adjustment over the business cycle. (2020). , Helyoth ; Tchuigoua, Hubert Tchakoute ; TchakouteTchuigoua, Hubert ; Soumare, Issouf. In: Economic Modelling. RePEc:eee:ecmode:v:92:y:2020:i:c:p:1-22.

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2020Does bank capitalization matter for bank stock returns?. (2020). Scholtens, Bert ; Huang, Qiubin ; de Haan, Jakob. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:52:y:2020:i:c:s1062940820300681.

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2020Leveraging local knowledge or global advantage: Cross border bank mergers and acquisitions in Africa. (2020). Mukanya, Anthony ; Yildirim, Canan ; Vanwalleghem, Dieter. In: Emerging Markets Review. RePEc:eee:ememar:v:42:y:2020:i:c:s1566014119300391.

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2020Cooperative financial institutions: A review of the literature. (2020). Wilson, John ; French, Declan ; John , ; Sobiech, Anna L ; Quinn, Barry ; McKillop, Donal. In: International Review of Financial Analysis. RePEc:eee:finana:v:71:y:2020:i:c:s1057521920301642.

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2021Bank ownership and capital buffers: How internal control is affected by external governance. (2021). Woyand, Corinna ; Maidl, Christoph ; Klein, Philipp. In: Journal of Financial Stability. RePEc:eee:finsta:v:54:y:2021:i:c:s1572308921000164.

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2021Did Basel regulation cause a significant procyclicality?. (2021). Shimizu, Katsutoshi ; Ly, Kim Cuong. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:73:y:2021:i:c:s1042443121000846.

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2021Concentration-stability vs concentration-fragility. New cross-country evidence. (2021). Calice, Pietro ; Muzzupappa, Eleonora ; Leonida, Leone. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:74:y:2021:i:c:s104244312100127x.

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2020Asymmetric loan loss provision models. (2020). Basu, Sudipta ; Wang, Wei ; Vitanza, Justin . In: Journal of Accounting and Economics. RePEc:eee:jaecon:v:70:y:2020:i:2:s0165410120300616.

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2021Market discipline, regulation and banking effectiveness: Do measures matter?. (2021). Ojah, Kalu ; Godspower-Akpomiemie, Euphemia. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:133:y:2021:i:c:s0378426621002089.

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2021The telegraph and modern banking development, 1881–1936. (2021). Lin, Chen ; Xu, Yuchen ; Sun, Yuchen ; Ma, Chicheng. In: Journal of Financial Economics. RePEc:eee:jfinec:v:141:y:2021:i:2:p:730-749.

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2021Engineering lemons. (2021). Vokata, Petra. In: Journal of Financial Economics. RePEc:eee:jfinec:v:142:y:2021:i:2:p:737-755.

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2021The impacts of stricter merger legislation on bank mergers and acquisitions: Too-Big-To-Fail and competition. (2021). Siedlarek, Jan-Peter ; Spagnolo, Giancarlo ; Ongena, Steven ; Carletti, Elena. In: Journal of Financial Intermediation. RePEc:eee:jfinin:v:46:y:2021:i:c:s1042957320300139.

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2021Income smoothing in European banks: The contrasting effects of monitoring mechanisms. (2021). Ramassa, Paola ; di Fabio, Costanza ; Quagli, Alberto. In: Journal of International Accounting, Auditing and Taxation. RePEc:eee:jiaata:v:43:y:2021:i:c:s1061951821000100.

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2021Impact of Basel III on the discretion and timeliness of Banks’ loan loss provisions. (2021). Ow, Kevin ; Ranasinghe, Tharindra ; Lim, Chu Yeong ; Jutasompakorn, Pearpilai . In: Journal of Contemporary Accounting and Economics. RePEc:eee:jocaae:v:17:y:2021:i:2:s1815566921000138.

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2021Financial contagion between the financial and the mining industries – Empirical evidence based on the symmetric and asymmetric CoVaR approach. (2021). Jonek-Kowalska, Izabela ; Jurkowska, Aleksandra ; Fijorek, Kamil. In: Resources Policy. RePEc:eee:jrpoli:v:70:y:2021:i:c:s0301420720309934.

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2020Do the Basel III capital reforms reduce the implicit subsidy of systemically important banks? Australian evidence. (2020). Guo, Yilian ; Cummings, James R. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:59:y:2020:i:c:s0927538x19302483.

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2020Earnings management in financial institutions: A comparative study of Islamic banks and conventional banks in emerging markets. (2020). Lui, Tze Kiat ; Zainuldin, Mohd Haniff. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:62:y:2020:i:c:s0927538x17303372.

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2022Organizational readiness for digital financial innovation and financial resilience. (2022). Papastathopoulos, Avraam ; Hussain, Matloub. In: International Journal of Production Economics. RePEc:eee:proeco:v:243:y:2022:i:c:s0925527321003029.

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2020Industrial banks: Challenging the traditional separation of commerce and banking. (2020). Sun, Yanfei ; Barth, James R. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:77:y:2020:i:c:p:220-249.

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2020Financial crisis, bank diversification, and financial stability: OECD countries. (2020). Kim, Hakkon ; Ryu, Doojin ; Batten, Jonathan A. In: International Review of Economics & Finance. RePEc:eee:reveco:v:65:y:2020:i:c:p:94-104.

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2021New Ways of Modeling Loan-to-Income Distributions and their Evolution in Time - A Probability Copula Approach. (2021). Temnov, Grigory ; Gerth, Florian. In: International Review of Economics & Finance. RePEc:eee:reveco:v:71:y:2021:i:c:p:217-236.

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2020Competition and diversification in the European Banking Sector. (2020). Cpraru, Bogdan ; Pintilie, Nicoleta-Livia ; Ihnatov, Iulian. In: Research in International Business and Finance. RePEc:eee:riibaf:v:51:y:2020:i:c:s0275531917308668.

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2021Measuring the perceived benefits of implementing blockchain technology in the banking sector. (2021). Modgil, Sachin ; Gupta, Shivam ; Sivarajah, Uthayasankar ; Chauhan, Ajay Kumar ; Garg, Poonam. In: Technological Forecasting and Social Change. RePEc:eee:tefoso:v:163:y:2021:i:c:s0040162520312336.

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2021Chinese banking sector: A major stakeholder in bringing fourth industrial revolution in the country. (2021). Li, Xin ; Xiong, Deping ; He, Xingxing . In: Technological Forecasting and Social Change. RePEc:eee:tefoso:v:165:y:2021:i:c:s0040162520313457.

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2020Financing and Fiscality in the Context of Artificial Intelligence at the Global Level. (2020). Manta, Otilia. In: European Journal of Marketing and Economics. RePEc:eur:ejmejr:81.

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2021Quantitative Easing and Financial Risk Taking: Evidence from Agency Mortgage REITs. (2020). Frame, W ; Steiner, Eva. In: Working Papers. RePEc:fip:feddwp:88322.

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2020Unexpected Effects of Bank Bailouts: Depositors Need Not Apply and Need Not Run. (2020). Lamers, Martien ; Schoors, Koen ; Roman, Raluca ; Berger, Allen N. In: Working Papers. RePEc:fip:fedpwp:90126.

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2020What Drives Derivatives: An Indian Perspective. (2020). Sahoo, Seshadev . In: Journal of Risk and Financial Management. RePEc:gam:jjrfmx:v:13:y:2020:i:6:p:134-:d:374901.

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2020Is Artificial Intelligence Ready to Assess an Enterprise’s Financial Security?. (2020). Melnychenko, Oleksandr. In: Journal of Risk and Financial Management. RePEc:gam:jjrfmx:v:13:y:2020:i:9:p:191-:d:402052.

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2021Idiosyncratic Viral Loss Theory: Systemic Operational Losses in Banks. (2021). Velez, Sophia Beckett. In: Journal of Risk and Financial Management. RePEc:gam:jjrfmx:v:14:y:2021:i:2:p:82-:d:501400.

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2020The Role of Skills in Islamic Financial Innovation: Evidence from Bahrain and Malaysia. (2020). Ramli, Razli ; Ewers, Michael ; Chow, Yew Wah ; Poon, Jessie. In: Journal of Open Innovation: Technology, Market, and Complexity. RePEc:gam:joitmc:v:6:y:2020:i:3:p:47-:d:382784.

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2021The New EU Remuneration Policy as Good but Not Desired Corporate Governance Mechanism and the Role of CSR Disclosing. (2021). Enguix, Luis Porcuna. In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:10:p:5476-:d:554182.

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2021Bank Runs And Media Freedom: What You Don’t Know Won’t Hurt You?. (2020). Semenova, Maria ; Benov, Alexander. In: HSE Working papers. RePEc:hig:wpaper:81/fe/2021.

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2020Systemic risk and the Fallacy of Composition: Empirical Evidence from Japanese Regional Bank. (2020). Kido, Yosuke ; Thum, Jie Liang ; Hirakata, Naohisa. In: International Journal of Central Banking. RePEc:ijc:ijcjou:y:2020:q:3:a:7.

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2021The Determinants of European Banks Capital Structure: Is There a Difference between Public and Private Banks?. (2021). Raposo, Clara ; Oliveira, Vitor. In: International Journal of Central Banking. RePEc:ijc:ijcjou:y:2021:q:3:a:4.

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2020Banking Crises and Market Timing: Evidence from M&As in the Banking Sector. (2020). Shen, Chung-Hua ; Lin, Chih-Yung ; Hsu, Hsing-Hua ; Chen, Yehning. In: Journal of Financial Services Research. RePEc:kap:jfsres:v:57:y:2020:i:3:d:10.1007_s10693-019-00318-4.

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2020Do cyclicality of loan-loss provisions and income smoothing matter for the capital crunch – the case of commercial banks in Poland. (2020). Kowalska, Iwona ; Chodnicka-Jaworska, Patrycja ; Olszak, Magorzata ; Witaa, Filip. In: Bank i Kredyt. RePEc:nbp:nbpbik:v:51:y:2020:i:4:p:383-436.

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2020IFRS 9 AND THE INTERACTION WITH BASEL III REGULATION PILLARS. (2020). Codrut, Turlea ; Madalin, Despa ; Luminita, Achim ; Elena, Mitoi. In: Annals of Faculty of Economics. RePEc:ora:journl:v:1:y:2020:i:2:p:213-222.

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2020Unexpected Effects of Bank Bailouts:Depositors Need Not Apply and Need Not Run. (2020). Lamers, Martien ; Berger, Allen N ; Schoors, Koen ; Roman, Raluca A. In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium. RePEc:rug:rugwps:20/1005.

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2021What is the Sustainable Level of Banks’ Credit Losses and Provisions?. (2021). Malovana, Simona ; Aneta, Tesaova ; Simona, Malovana. In: Review of Economic Perspectives. RePEc:vrs:reoecp:v:21:y:2021:i:3:p:235-258:n:1.

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2020Bank Leverage Limits and Regulatory Arbitrage: Old Question?New Evidence. (2020). Choi, Dong Beom ; Morgan, Donald P ; Holcomb, Michael R. In: Journal of Money, Credit and Banking. RePEc:wly:jmoncb:v:52:y:2020:i:s1:p:241-266.

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2020Contrasting Worldviews at Bank and Securities Market Regulators. (2020). Flannery, Mark J. In: Journal of Money, Credit and Banking. RePEc:wly:jmoncb:v:52:y:2020:i:s1:p:43-62.

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2020RECENT DEVELOPMENTS IN THE FINTECH INDUSTRY. (2020). Chemmanur, Thomas ; Yu, Qianqian ; Rajaiya, Harshit ; Imerman, Michael B. In: Journal of Financial Management, Markets and Institutions (JFMMI). RePEc:wsi:jfmmix:v:08:y:2020:i:01:n:s2282717x20400022.

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Works by Larry D. Wall:


YearTitleTypeCited
2008Un análisis de los determinantes de las adquisiciones bancarias en la Unión Europea In: Boletín Económico.
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2007Preconditions for a successful implementation of supervisors Prompt Corrective Action: Is there a case for a banking standard in the EU? In: Working Papers.
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2006Precondition for a Successful Implementation of Supervisors Primpt Corrective Action: Is There a Case for a Banking Standard in the EU?.(2006) In: FMG Special Papers.
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2008Multiple safety net regulators and agency problems in the EU: Is Prompt Corrective Action partly the solution? In: Working Papers.
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2008Multiple safety net regulators and agency problems in the EU: Is Prompt Corrective Action partly the solution?.(2008) In: Journal of Financial Stability.
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2008Determinants of domestic and cross-border bank acquisitions in the European Union In: Working Papers.
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2009Determinants of domestic and cross-border bank acquisitions in the European Union.(2009) In: Journal of Banking & Finance.
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2008Determinants of domestic and cross-border bank acquisitions in the European Union.(2008) In: FRB Atlanta Working Paper.
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2010What do premiums paid for bank M&As reflect? The case of the European Union In: Working Papers.
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2012What do premiums paid for bank M&As reflect? The case of the European Union.(2012) In: Journal of Banking & Finance.
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2010What do premiums paid for bank M&As reflect? the case of the European Union.(2010) In: FRB Atlanta Working Paper.
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2012The safety and soundness effects of bank M&As in the EU: does prudential regulation have any impact? In: Working Papers.
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2017Cross-border banking on the two sides of the atlantic: does it have an impact on bank crisis management? In: Working Papers.
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2015Cross-border banking on the two sides of the Atlantic: does it have an impact on bank crisis management?.(2015) In: FRB Atlanta Working Paper.
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2018Cross-border banking on the two sides of the Atlantic: Does it have an impact on bank crisis management?.(2018) In: Journal of Banking Regulation.
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2001REFORMING BANK CAPITAL REGULATION: USING SUBORDINATED DEBT TO ENHANCE MARKET AND SUPERVISORY DISCIPLINE In: Contemporary Economic Policy.
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2004Symposium on Financial Institutions In: The Financial Review.
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2004Determinants of the Loan Loss Allowance: Some Cross?Country Comparisons In: The Financial Review.
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2003Determinants of the loan loss allowance : some cross-country comparisons.(2003) In: Research Discussion Papers.
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2004Determinants of the loan loss allowance: some cross-country comparisons.(2004) In: Finance.
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2007Multiple safety net regulators and agency problems in the EU : is Prompt Corrective Action a partial solution In: Research Discussion Papers.
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2005Resolving large financial intermediaries: Banks versus housing enterprises In: Journal of Financial Stability.
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2004Resolving large financial intermediaries: banks versus housing enterprises.(2004) In: FRB Atlanta Working Paper.
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2010Debt, hedging and human capital In: Journal of Financial Stability.
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2005Debt, hedging, and human capital.(2005) In: FRB Atlanta Working Paper.
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2005How should banks account for loan losses In: Journal of Accounting and Public Policy.
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2005How should banks account for loan losses?.(2005) In: Economic Review.
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1987The effect of capital adequacy guidelines on large bank holding companies In: Journal of Banking & Finance.
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1989Interest rate swaps in an agency theoretic model with uncertain interest rates In: Journal of Banking & Finance.
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1993Discussants comments on Rhoades, Shaffer, and Fixler and Zieschang In: Journal of Banking & Finance.
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1995Bank holding company capital targets in the early 1990s: The regulators versus the markets In: Journal of Banking & Finance.
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1994Bank holding company capital targets in the early 1990s: the regulators versus the markets.(1994) In: FRB Atlanta Working Paper.
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1996Managerial rents and regulatory intervention in troubled banks In: Journal of Banking & Finance.
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2002Measures of the riskiness of banking organizations: Subordinated debt yields, risk-based capital, and examination ratings In: Journal of Banking & Finance.
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2001Measures of the riskiness of banking organizations: Subordinated debt yields, risk-based capital, and examination ratings.(2001) In: FRB Atlanta Working Paper.
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2018Some financial regulatory implications of artificial intelligence In: Journal of Economics and Business.
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1987Has bank holding companies diversification affected their risk of failure? In: Journal of Economics and Business.
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2018Incentive compensation, accounting discretion and bank capital In: Journal of Economics and Business.
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1990The effect of Continental Illinois failure on the financial performance of other banks In: Journal of Monetary Economics.
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1989The effect of Continental Illinois failure on the financial performance of other banks.(1989) In: FRB Atlanta Working Paper.
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2012Enlisting Macroprudential and Market Regulatory Structures to Strengthen Prudential Supervision In: Chapters.
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2017Recent changes in US regulation of large foreign banking organizations In: Journal of Financial Regulation and Compliance.
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2015Stricter microprudential supervision versus macroprudential supervision In: Journal of Financial Regulation and Compliance.
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2010Prudential Discipline for Financial Firms: Micro, Macro, and Market Structures In: Working Papers.
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2010Prudential discipline for financial firms: micro, macro, and market structures.(2010) In: FRB Atlanta Working Paper.
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2009Prudential Discipline for Financial Firms: Micro, Macro, and Market Structures.(2009) In: ADBI Working Papers.
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2020Assisting Firms during a Crisis: Benefits and Costs In: Policy Hub.
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1987F.Y.I. commercial bank profitability: some disturbing trends In: Economic Review.
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1989Capital requirements for banks: a look at the 1981 and 1988 standards In: Economic Review.
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1989Bank merger motivations: a review of the evidence and an examination of key target bank characteristics In: Economic Review.
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1990Capital requirements for interest-rate and foreign-exchange hedges In: Economic Review.
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1990F.Y.I. southeastern interstate banking and consolidation: 1984-89 In: Economic Review.
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1991Recourse risk in asset sales In: Economic Review.
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1993Deregulation and the opportunities for commercial bank diversification In: Economic Review.
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1996Banks responses to binding regulatory capital requirements In: Economic Review.
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1997Taking note of the deposit insurance fund: a plan for the FDIC to issue capital notes In: Economic Review.
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2002Fannie Maes and Freddie Macs voluntary initiatives: Lessons from banking In: Economic Review.
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2008The final frontier : the integration of banking and commerce. Part 2, risk and return using efficient portfolio analysis In: Economic Review.
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2000The use of accruals to manage reported earnings: theory and evidence In: FRB Atlanta Working Paper.
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2000Subordinated debt and bank capital reform In: FRB Atlanta Working Paper.
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2000Subordinated debt and bank capital reform.(2000) In: Working Paper Series.
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2000Managing the risk of loans with basis risk: sell, hedge, or do nothing? In: FRB Atlanta Working Paper.
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2001Sub-debt yield spreads as bank risk measures In: FRB Atlanta Working Paper.
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2001Sub-debt yield spreads as bank risk measures.(2001) In: Working Paper Series.
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2001Sub-debt Yield Spreads as Bank Risk Measures.(2001) In: Journal of Financial Services Research.
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2002Subordinated debt and prompt corrective regulatory action In: FRB Atlanta Working Paper.
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2002The major supervisory initiatives post-FDICIA: Are they based on the goals of PCA? Should they be? In: FRB Atlanta Working Paper.
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2006An analysis of the systemic risks posed by Fannie Mae and Freddie Mac and an evaluation of the policy options for reducing those risks In: FRB Atlanta Working Paper.
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2007An Analysis of the Systemic Risks Posed by Fannie Mae and Freddie Mac and An Evaluation of the Policy Options for Reducing Those Risks.(2007) In: Journal of Financial Services Research.
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2006Preconditions for a successful implementation of supervisors prompt corrective action: Is there a case for a banking standard in the European Union? In: FRB Atlanta Working Paper.
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2006When target CEOs contract with acquirers: evidence from bank mergers and acquisitions In: FRB Atlanta Working Paper.
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2007Multiple safety net regulators and agency problems in the European Union: Is prompt corrective action partly the solution? In: FRB Atlanta Working Paper.
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2008Bank capital ratios across countries: why do they vary? In: FRB Atlanta Working Paper.
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2008Bank Capital Ratios Across Countries: Why Do They Vary?.(2008) In: Journal of Financial Services Research.
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2011Creating an EU-level supervisor for cross-border banking groups: Issues raised by the U.S. experience with dual banking In: FRB Atlanta Working Paper.
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2012The devils in the tail: residential mortgage finance and the U.S. Treasury In: FRB Atlanta Working Paper.
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2012The Devils in the Tail: Residential Mortgage Finance and the U.S. Treasury.(2012) In: Working Papers.
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2012The safety and soundness effects of bank M&A in the EU In: FRB Atlanta Working Paper.
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2013The adoption of stress testing: why the Basel capital measures were not enough In: FRB Atlanta Working Paper.
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2014The adoption of stress testing: Why the Basel capital measures were not enough.(2014) In: Journal of Banking Regulation.
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2013Measuring capital adequacy supervisory stress tests in a Basel world In: FRB Atlanta Working Paper.
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2018Technological Change and Financial Innovation in Banking: Some Implications for Fintech In: FRB Atlanta Working Paper.
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2018Technological Change and Financial Innovation in Banking: Some Implications for FinTech.(2018) In: Working Papers.
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2019Is Stricter Regulation of Incentive Compensation the Missing Piece? In: FRB Atlanta Working Paper.
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2020Is stricter regulation of incentive compensation the missing piece?.(2020) In: Journal of Banking Regulation.
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1988Valuation effects of new capital issues by large bank holding companies In: FRB Atlanta Working Paper.
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1989Valuation effects of new capital issues by large bank holding companies.(1989) In: Proceedings.
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1990Potential diversification and bank acquisition prices In: FRB Atlanta Working Paper.
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1991Competition for more than one class of borrowers using different credit- worthiness tests In: FRB Atlanta Working Paper.
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1992Competition for more than one class of borrowers using difference credit-worthiness tests.(1992) In: Proceedings.
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1992Cost savings associated with bank mergers In: FRB Atlanta Working Paper.
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1992The choice of capital instruments by banking organizations In: FRB Atlanta Working Paper.
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1992Motivations for bank mergers and acquisitions: enhancing the deposit insurance put option versus increasing operating net cash flow In: FRB Atlanta Working Paper.
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1993Managerial rents and optimal regulatory intervention in troubled banks In: FRB Atlanta Working Paper.
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1996The impact of a dealers failure on OTC derivatives market liquidity during volatile periods In: FRB Atlanta Working Paper.
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1997The impact of a dealers failure on OTC derivatives market liquidity during volatile periods.(1997) In: Proceedings.
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1999Financial regulatory structure and the resolution of conflicting goals In: FRB Atlanta Working Paper.
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1998Financial regulatory structure and the resolution of conflicting goals.(1998) In: Proceedings.
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1999Financial Regulatory Structure and the Resolution of Conflicting Goals.(1999) In: Journal of Financial Services Research.
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2000Subordinated debt as bank capital: a proposal for regulatory reform In: Economic Perspectives.
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2004You get what you pay for? the implications of platinum parachutes in merger and acquisition transactions In: Proceedings.
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2007Prompt Corrective Action & Cross-Border Supervisory Issues in Europe In: FMG Special Papers.
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2004Comment on Carter, McNulty, and Verbrugge* In: Journal of Financial Services Research.
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2018Financial Stability and Resolution of Federal Reserve Goal and Implementation Conflicts In: Journal of Financial Services Research.
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1995Motivations for Bank Mergers and Acquisitions: Enhancing the Deposit Insurance Put Option versus Earnings Diversification. In: Journal of Money, Credit and Banking.
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2012Central Banking for Financial Stability: Some Lessons from the Recent Instability in the United States and Euro Area In: ADBI Working Papers.
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2000“The Prudential Supervision of Financial Conglomerates in the European Union”, Michael Thom, July 2000 In: North American Actuarial Journal.
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