Details about jean m. Dermine
Access statistics for papers by jean m. Dermine.
Last updated 2015-10-21. Update your information in the RePEc Author Service.
Short-id: pde328
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Working Papers
1996
- European Banking with a Single Currency
Center for Financial Institutions Working Papers, Wharton School Center for Financial Institutions, University of Pennsylvania View citations (6)
1992
- Portfolio selection by mutual funds: An equilibrium model
LIDAM Reprints CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE)
1991
- Towards an equilibrium model of the mutual funds industry
LIDAM Reprints CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE) View citations (3)
See also Journal Article Towards an equilibrium model of the mutual funds industry, Journal of Banking & Finance, Elsevier (1991) View citations (3) (1991)
1982
- Intermédiaires financiers et contrôles publics
Discussion Papers (REL - Recherches Economiques de Louvain), Université catholique de Louvain, Institut de Recherches Economiques et Sociales (IRES) 
Also in LIDAM Reprints CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE) (1982)
1981
- La Belgique dans la crise et la contrainte de balance des paiements
Discussion Papers (REL - Recherches Economiques de Louvain), Université catholique de Louvain, Institut de Recherches Economiques et Sociales (IRES) 
Also in LIDAM Reprints CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE) (1981)
1980
- Politique monétaire restrictive et rentabilité des intermédiaires financiers
LIDAM Reprints CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE)
Also in Discussion Papers (REL - Recherches Economiques de Louvain), Université catholique de Louvain, Institut de Recherches Economiques et Sociales (IRES) (1980)
Journal Articles
2015
- Basel III leverage ratio requirement and the probability of bank runs
Journal of Banking & Finance, 2015, 53, (C), 266-277 View citations (56)
2013
- Fund Transfer Pricing for Deposits and Loans, Foundation and Advanced
Journal of Financial Perspectives, 2013, 1, (1), 169-178 View citations (1)
- Gouvernement d'entreprise des banques: évitement du risque ou prise de risque
Revue d'économie financière, 2013, N° 112, (4), 195-210
2010
- Bank valuation with an application to the implicit duration of non-maturing deposits
International Journal of Banking, Accounting and Finance, 2010, 2, (1), 1-30 View citations (2)
2008
- Bank loan-loss provisioning, central bank rules vs. estimation: The case of Portugal
Journal of Financial Stability, 2008, 4, (1), 1-22 View citations (9)
2006
- Bank loan losses-given-default: A case study
Journal of Banking & Finance, 2006, 30, (4), 1219-1243 View citations (105)
2005
- Restructuration internationale et diversification, le cas du risque-crédit
Revue d'Économie Financière, 2005, 78, (1), 267-280
2003
- A note on banking efficiency in Portugal, New vs. Old banks
Journal of Banking & Finance, 2003, 27, (11), 2087-2098 View citations (67)
2001
- Credit risk and the deposit insurance premium: a note
Journal of Economics and Business, 2001, 53, (5), 497-508 View citations (35)
2000
- Bank Mergers in Europe: The Public Policy Issues
Journal of Common Market Studies, 2000, 38, (3), 409-425 View citations (18)
1999
- Unexpected inflation and bank stock returns: The case of France 1977-1991
Journal of Banking & Finance, 1999, 23, (6), 939-953 View citations (7)
1998
- Some evidence on customer 'lock-in' in the French mutual funds industry
Applied Economics Letters, 1998, 5, (5), 275-279 View citations (3)
1996
- Comment on the paper by NIKLAUS BLATTNER "Capital Adequacy Regulation"
Swiss Journal of Economics and Statistics (SJES), 1996, 132, (IV), 679-682 View citations (1)
- European banking integration, ten years after
European Financial Management, 1996, 2, (3), 331-353 View citations (8)
1992
- Deposit Rate Ceilings and the Market Value of Banks: The Case of France, 1971-1981
Journal of Money, Credit and Banking, 1992, 24, (2), 184-94 View citations (2)
- Economies of scale and scope in French mutual funds
Journal of Financial Intermediation, 1992, 2, (1), 83-93 View citations (38)
1991
- La réglementation internationale du risque d'intérêt, une nécessité ?
Revue d'Économie Financière, 1991, 19, (4), 153-164
- Towards an equilibrium model of the mutual funds industry
Journal of Banking & Finance, 1991, 15, (3), 485-499 View citations (3)
See also Working Paper Towards an equilibrium model of the mutual funds industry, LIDAM Reprints CORE (1991) View citations (3) (1991)
1990
- The Specialization of Financial Institutions: The EC Model
Journal of Common Market Studies, 1990, 28, (3), 219-233
1988
- Assurance-dépôt et réglementation bancaire
Revue d'Économie Financière, 1988, 5, (2), 274-283
1986
- Deposit rates, credit rates and bank capital: The Klein-Monti Model Revisited
Journal of Banking & Finance, 1986, 10, (1), 99-114 View citations (68)
1983
- Commentaire sur l'article d'A. Farber: A qui profitent les mesures d'encouragement du capital à risque?
Brussels Economic Review, 1983, 99, 469-471
Edited books
1999
- European Capital Markets with a Single Currency
OUP Catalogue, Oxford University Press View citations (20)
Chapters
2003
- The New World of Euro Banking
Chapter 4 in Handbook of International Banking, 2003 View citations (1)
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