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- 491: Internal governance, market discipline, and regulatory restraint: international evidence
- Gillian Garcia and Matthew Saal
- 490: What should bank regulators do? Why should regulators do anything?
- George J. Benston
- 489: Bank management structure obsolescence
- Eugene A. Ludwig
- 488: What should regulators do in the age of money managers?
- Jane W. D'Artista
- 487: The why, what, and how of bank regulation
- Edward W. Kelley
- 486: Regulatory reform, banks, and payment system developments
- W. Lee Hoskins
- 485: The merits of Glass-Steagall reform
- James A. Leach
- 484: Bank structure and competition and pending legislation
- John D. Hawke
- 483: Rethinking bank regulation: what should regulators do? Proceedings of the 32nd annual Conference on Bank Structure and Competition
- Anonymous
- 482: The new tool set: assessing innovations in banking: proceedings of the 31st Conference on Bank Structure and Competition
- Anonymous
- 481: Bank underwriting of debt securities: modern evidence
- Amar Gande, Manju Puri, Anthony Saunders and Ingo Walter
- 480: Commercial bank mutual fund activities: implications for bank risk and profitability
- Vincent P. Apilado, John G. Gallo and James Kolari
- 479: Firewalls in universal banks
- Randall S. Kroszner and Raghuram Rajan
- 478: Capital regulation section: comments
- Robert Eisenbeis
- 477: Regulatory taxes, investment and financing decisions for insured banks
- Anlong Li, Peter H. Ritchken, L. Sankarasubramanian and James Thomson
- 476: Banks' deposit insurance liabilities: exogenous vs. managerial determinants
- Jin-Chuan Duan and C. W. Sealey
- 475: A pre-commitment approach to capital requirements for market risk
- Paul Kupiec and James M. O'Brien
- 474: Assessing derivative market positions
- Gary D. Koppenhaver
- 473: Determination of collateral deposits by bilateral parties and clearinghouses
- Herbert L. Baer, Virginia G. France and James Moser
- 472: Stock price reactions to derivatives information in the FRY-9c reports
- Laura E. Kodres, Barry Schachter and P. C. Venkatesh
- 471: Size and the nature of risk at publicly-traded bank holding companies
- Rebecca Demsetz and Philip E. Strahan
- 470: Pricing bank default risk in subordinated debenture yields
- Mark Flannery and Sorin M. Sorescu
- 469: Banks and corporate finance in Germany
- Gary Gorton and Frank A. Schmid
- 468: Liquidity and the rise of financial intermediation
- Stewart Myers and Raghuram Rajan
- 467: Deregulation, disintermediation, and agency costs of debt: evidence from Japan
- Christopher W. Anderson and Anil K. Makhija
- 466: A general method of deriving the inefficiencies of banks from a profit function
- Jalal Akhavein, P. A. V. B. Swamy and Stephen B. Taubman
- 465: An analysis of inefficiencies in banking: a stochastic cost frontier approach
- Robert Eisenbeis and Simon Kwan
- 464: Recovering banking technologies when managers are not risk-neutral
- Joseph Hughes, William Lang, Loretta Mester and Choon-Geol Moon
- 463: The efficiency of bank branches and implications for mergers and interstate branching
- Allen Berger, John H. Leusner and John J. Mingo
- 462: The effects of interstate branching on small business lending
- Joe Peek and Eric Rosengren
- 461: Diversification and interstate banking
- Peter S. Rose
- 460: Acquirer gains in FDIC-assisted bank mergers: the influence of bidder competition and FDIC resolution policies
- Matthew T. Billett, Jane F. Coburn and John P. O'Keefe
- 459: The effects of fair value accounting on investment portfolio management
- Anne Beatty
- 458: Regulatory risk and hedge accounting standards in financial institutions: the case of Franklin Savings Association
- Suzanne M. Holifield, Michael B. Madaris and William H. Sackley
- 457: Toxic waste, accounting, and regulation
- Mark Carey
- 456: Mortgage discrimination and FHA loan performance
- James A. Berkovec, Glenn B. Canner, Stuart Gabriel and Timothy Hannan
- 455: South Shore Bank: is it the model of success for community development banks?
- Benjamin C. Esty
- 454: Implementing CRA: what is the target?
- Glenn B. Canner and Wayne Passmore
- 453: Lessons from financial crises: evidence from Venezuela
- Ruth de Krivoy
- 452: The effects of the Norwegian banking crisis on Norwegian bank and nonbank stocks
- Fred R. Kaen and Dag Michalsen
- 451: Contagion and bank failures during the Great Depression: the June 1932 Chicago banking panic
- Charles Calomiris and Joseph R. Mason
- 450: Lessons from financial crisis: the Japanese case
- Thomas Cargill, Michael Hutchison and Takatoshi Ito
- 449: Derivatives and risk management -- supervision issues
- Susan M. Phillips
- 448: Derivatives and risk management: insight from the Barings experience
- Brian Quinn
- 447: Managing derivatives risk
- Gay Evans
- 446: Derivatives and risk management
- John F. Marshall
- 445: Strategies for utilizing the new tool set in banking
- Gary R. Allen
- 444: The Northern Trust strategy
- David W. Fox
- 443: The strategy behind the Mellon/Dreyfus merger
- Frank V. Cahouet
- 442: Discussion of the new tool set in banking
- Michael H. Moskow