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Details about Maximilian J.B. Hall

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Workplace:School of Business and Economics, Loughborough University, (more information at EDIRC)

Access statistics for papers by Maximilian J.B. Hall.

Last updated 2013-11-08. Update your information in the RePEc Author Service.

Short-id: pha493


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Working Papers

2014

  1. How Relevant is the Choice of Risk Management Control Variable to Non-parametric Bank Profit Efficiency Analysis?
    CEPA Working Papers Series, University of Queensland, School of Economics Downloads View citations (2)

2012

  1. How Liquid Are UK Banks?
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (1)

2011

  1. A Cost-Benefit Analysis of Basel III: Some Evidence from the UK
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (10)
    See also Journal Article in International Review of Financial Analysis (2012)
  2. Estimating Liquidity Risk Using The Exposure-Based Cash-Flow-at-Risk Approach: An Application To the UK Banking Sector
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (2)
    See also Journal Article in International Journal of Finance & Economics (2014)

2010

  1. Accounting for environmental factors, bias and negative numbers in efficiency estimation: A bootstrapping application to the Hong Kong banking sector
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (1)
  2. BACK FROM THE BRINK: YEAR THREE OF THE CRISIS
    Discussion Paper Series, Department of Economics, Loughborough University Downloads
  3. Did the Market Signal Impending Problems at Northern Rock? An Analysis of Four Financial Instruments
    Working Papers, HAL Downloads
    Also in Discussion Paper Series, Department of Economics, Loughborough University (2008) Downloads View citations (2)
  4. Productivity Changes and Risk Management in Indonesian Banking: An Application of a New Approach to Constructing Malmquist Indices
    Discussion Paper Series, Department of Economics, Loughborough University Downloads

2009

  1. A New Approach to Dealing With Negative Numbers in Efficiency Analysis: An Application to the Indonesian Banking Sector
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (8)
  2. BANK BAILOUT MARK "II": WILL IT WORK?
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (1)
  3. Productivity Changes in Indonesian Banking: Application of a New Approach to Estimating Malmquist Indices
    Discussion Paper Series, Department of Economics, Loughborough University Downloads
  4. The reform of UK financial regulation
    Discussion Paper Series, Department of Economics, Loughborough University Downloads
    See also Journal Article in Journal of Banking Regulation (2009)
  5. The sub-prime crisis, the credit squeeze, Northern Rock and beyond: The lessons to be learnt
    Discussion Paper Series, Department of Economics, Loughborough University Downloads

2008

  1. Banking Efficiency and Stock Market Performance: An Analysis of Listed Indonesian Banks
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (1)
    See also Journal Article in Review of Quantitative Finance and Accounting (2011)
  2. Efficiency and Malmquist Indices of Productivity Change in Indonesian Banking
    Discussion Paper Series, Department of Economics, Loughborough University Downloads
  3. Efficiency in Indonesian Banking: Recent Evidence
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (1)
  4. Environmental Factors Affecting Hong Kong Banking: A Post-Asian Financial Crisis Efficiency Analysis
    Discussion Paper Series, Department of Economics, Loughborough University Downloads
    Also in Working Papers, Hong Kong Institute for Monetary Research (2008) Downloads

    See also Journal Article in Global Finance Journal (2012)
  5. Japan: The banks are back! Or are they?
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (1)
    See also Journal Article in Journal of Financial Regulation and Compliance (2009)
  6. The sub-prime crisis, the credit crunch and bank “failure”: An assessment of the UK authorities’ response
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (2)
    See also Journal Article in Journal of Financial Regulation and Compliance (2009)
  7. The sub-prime crisis, the credit squeeze and Northern Rock: The lessons to be learnt
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (5)
    See also Journal Article in Journal of Financial Regulation and Compliance (2008)
  8. Using The Artificial Neural Network (ANN) to Assess Bank Credit Risk: A Case Study of Indonesia
    Discussion Paper Series, Department of Economics, Loughborough University Downloads

2005

  1. The Impact of Macroeconomic and Regulatory Factors on Bank Efficiency: A Non-Parametric Analysis of Hong Kong's Banking System
    Working Papers, Hong Kong Institute for Monetary Research Downloads View citations (29)
    See also Journal Article in Journal of Banking & Finance (2006)

2004

  1. Basel II: Panacea or a Missed Opportunity
    Discussion Paper Series, Department of Economics, Loughborough University Downloads View citations (3)
    See also Journal Article in Banca Nazionale del Lavoro Quarterly Review (2004)
  2. RECENTBANKINGSECTOR_JAPAN
    Discussion Paper Series, Department of Economics, Loughborough University Downloads

2002

  1. Banking Regulation and Supervision in Japan
    FMG Special Papers, Financial Markets Group Downloads View citations (10)

2001

  1. How good are EU deposit insurance schemes?
    Proceedings, Federal Reserve Bank of Chicago View citations (2)

1996

  1. Banking regulation in the European Union: some issues and concerns
    Proceedings, Federal Reserve Bank of Chicago View citations (1)

Journal Articles

2015

  1. An analysis of loan loss provisioning behaviour in Vietnamese banking
    Finance Research Letters, 2015, 14, (C), 69-75 Downloads View citations (7)
  2. An analysis of managerialism and performance in English and Welsh male prisons
    European Journal of Operational Research, 2015, 241, (1), 224-235 Downloads View citations (2)
  3. Did Bank Indonesia cause the credit crunch of 2006–2008?
    Review of Quantitative Finance and Accounting, 2015, 44, (2), 269-298 Downloads View citations (1)

2014

  1. ESTIMATING LIQUIDITY RISK USING THE EXPOSURE‐BASED CASH‐FLOW‐AT‐RISK APPROACH: AN APPLICATION TO THE UK BANKING SECTOR
    International Journal of Finance & Economics, 2014, 19, (3), 225-238 Downloads
    See also Working Paper (2011)

2013

  1. Economies of scale and a process for identifying hypothetical merger potential in Indonesian commercial banks
    Journal of Asian Economics, 2013, 26, (C), 42-51 Downloads View citations (3)
  2. Efficiency and competition in Korean banking
    Applied Financial Economics, 2013, 23, (10), 881-890 Downloads View citations (3)
  3. The economic efficiency of rehabilitative management in young offender institutions in England and Wales
    Socio-Economic Planning Sciences, 2013, 47, (1), 38-49 Downloads View citations (2)
  4. The shape of the Phillips curve: the case of Indonesia
    Applied Economics, 2013, 45, (29), 4114-4121 Downloads

2012

  1. A cost–benefit analysis of Basel III: Some evidence from the UK
    International Review of Financial Analysis, 2012, 25, (C), 73-82 Downloads View citations (17)
    See also Working Paper (2011)
  2. Environmental factors affecting Hong Kong banking: A post-Asian financial crisis efficiency analysis
    Global Finance Journal, 2012, 23, (3), 184-201 Downloads View citations (3)
    See also Working Paper (2008)

2011

  1. An alternative to the weighted score card approach to measuring performance: An analysis of English and Welsh probation boards
    Socio-Economic Planning Sciences, 2011, 45, (4), 184-193 Downloads View citations (2)
  2. Banking efficiency and stock market performance: an analysis of listed Indonesian banks
    Review of Quantitative Finance and Accounting, 2011, 37, (1), 1-20 Downloads View citations (9)
    See also Working Paper (2008)
  3. Expectations and the inertia of inflation: The case of Indonesia
    Journal of Policy Modeling, 2011, 33, (3), 426-438 Downloads View citations (14)
  4. Productivity changes and risk management in Indonesian banking: a Malmquist analysis
    Applied Financial Economics, 2011, 21, (12), 847-861 Downloads View citations (5)

2010

  1. SHOULD A MANDATORY SUBORDINATED DEBT POLICY BE INTRODUCED IN THE UNITED KINGDOM? EVIDENCE FROM THE ISSUANCE ACTIVITY OF BANKS AND BUILDING SOCIETIES
    Contemporary Economic Policy, 2010, 28, (2), 240-263 Downloads View citations (1)

2009

  1. Bank modelling methodologies: A comparative non-parametric analysis of efficiency in the Japanese banking sector
    Journal of International Financial Markets, Institutions and Money, 2009, 19, (1), 1-15 Downloads View citations (47)
  2. Japan: the banks are back! Or are they?
    Journal of Financial Regulation and Compliance, 2009, 17, (1), 16-28 Downloads
    See also Working Paper (2008)
  3. The reform of UK financial regulation
    Journal of Banking Regulation, 2009, 11, (1), 31-75 Downloads
    See also Working Paper (2009)
  4. The sub-prime crisis, the credit crunch and bank “failure”: An assessment of the UK authorities' response
    Journal of Financial Regulation and Compliance, 2009, 17, (4), 427-452 Downloads View citations (2)
    See also Working Paper (2008)
  5. Using the artificial neural network to assess bank credit risk: a case study of Indonesia
    Applied Financial Economics, 2009, 19, (22), 1825-1846 Downloads View citations (3)

2008

  1. The sub-prime crisis, the credit squeeze and Northern Rock: the lessons to be learned
    Journal of Financial Regulation and Compliance, 2008, 16, (1), 19-34 Downloads View citations (7)
    See also Working Paper (2008)

2007

  1. Rethinking Bank Regulation: Till Angels Govern. By JAMES R. BARTH, GERARD CAPRIO, Jr and ROSS LEVINE
    Economica, 2007, 74, (293), 177-179 Downloads

2006

  1. The impact of macroeconomic and regulatory factors on bank efficiency: A non-parametric analysis of Hong Kong's banking system
    Journal of Banking & Finance, 2006, 30, (5), 1443-1466 Downloads View citations (69)
    See also Working Paper (2005)

2005

  1. A Framework for Market Discipline in Bank Regulatory Design
    Journal of Business Finance & Accounting, 2005, 32, (1-2), 183-209 Downloads View citations (10)

2004

  1. A capital adequacy framework for Islamic banks: the need to reconcile depositors' risk aversion with managers' risk taking
    Applied Financial Economics, 2004, 14, (6), 429-441 Downloads View citations (8)
  2. Basel II: panacea or a missed opportunity?
    Banca Nazionale del Lavoro Quarterly Review, 2004, 57, (230), 215-264 Downloads View citations (1)
    Also in BNL Quarterly Review, 2004, 57, (230), 215-264 (2004) Downloads View citations (1)

    See also Working Paper (2004)
  3. Basilea II: panacea o opportunità mancata?
    Moneta e Credito, 2004, 57, (228), 383-436 Downloads

2003

  1. Efficiency in Japanese banking: An empirical analysis
    Journal of Banking & Finance, 2003, 27, (5), 891-917 Downloads View citations (117)

2001

  1. The basle Committee's proposals for a new capital adequacy assessment framework: a critique
    BNL Quarterly Review, 2001, 54, (217), 111-179 Downloads View citations (2)
    Also in Banca Nazionale del Lavoro Quarterly Review, 2001, 54, (217), 111-179 (2001) Downloads View citations (2)
  2. The evolution of financial regulation and supervision in the UK: why we ended up with the financial services authority
    Banca Impresa Società, 2001, (3), 377-412 Downloads

2000

  1. What is the Truth About the Scale of Japanese Banks' Bad Debts? Is the Situation Manageable?
    Journal of Financial Services Research, 2000, 17, (1), 69-91 Downloads View citations (4)

1999

  1. Deposit Insurance Reform in Japan: Better Late Than Never?
    Journal of Financial Services Research, 1999, 15, (3), 211-242 Downloads View citations (3)

1998

  1. A Comparison of Capital Standards and Proprietary Surveillance as Mechanisms for Regulating Financial Market Risk in the EU
    International Journal of Finance & Economics, 1998, 3, (4), 303-19 Downloads

1996

  1. The amendment to the capital accord to incorporate market risk
    BNL Quarterly Review, 1996, 49, (197), 271-277 Downloads View citations (108)
    Also in Banca Nazionale del Lavoro Quarterly Review, 1996, 49, (197), 271-277 (1996) Downloads View citations (105)

1995

  1. The measurement and assessment of market risk: a comparison of the European Commission and Basle Committee approaches
    BNL Quarterly Review, 1995, 48, (194), 283-330 Downloads
    Also in Banca Nazionale del Lavoro Quarterly Review, 1995, 48, (194), 283-330 (1995) Downloads

Books

1999

  1. Handbook of Banking Regulation and Supervision in the United Kingdom
    Books, Edward Elgar Publishing Downloads

1998

  1. Financial Reform in Japan
    Books, Edward Elgar Publishing Downloads View citations (3)

1993

  1. BANKING REGULATION AND SUPERVISION
    Books, Edward Elgar Publishing Downloads View citations (2)

Edited books

2003

  1. The International Handbook on Financial Reform
    Books, Edward Elgar Publishing Downloads

2001

  1. The Regulation and Supervision of Banks, vol Four volume set
    Books, Edward Elgar Publishing Downloads View citations (18)

Chapters

2003

  1. International banking regulation
    Chapter 5 in The Structural Foundations of International Finance, 2003 Downloads
 
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