Does deposit insurance increase banking system stability? An empirical investigation
Tài liệu tham khảo
Allen, 1998, Optimal banking crises, Journal of Finance, 53, 1245, 10.1111/0022-1082.00052
Amemiya, 1981, Qualitative response models, Journal of Economic Literature, 19, 483
Angrist, J.D., 1991. Instrumental variables estimation of average treatment effects in econometrics and epidemiology. National Bureau of Economic Research, Technical Working Paper No. 115.
Barth, J.R., Caprio Jr., G., Levine, R., 1999. Banking systems around the globe: do regulation and ownership affect performance and stability? Mimeo, The World Bank.
Bhattacharya, 1982, Aspects of monetary and banking theory and moral hazard, Journal of Finance, 37, 371, 10.2307/2327338
Bhattacharya, 1998, The economics of bank regulation, Journal of Money, Credit, and Banking, 30, 745, 10.2307/2601127
Calomiris, C.W., 1996. Building an incentive-compatible safety net: special problems for developing countries. Mimeo, Columbia University.
Caprio Jr., G., Klingebiel, D., 1996. Bank insolvencies: cross country experience. Policy Research Working Paper No. 1620, World bank, Washington.
Caprio Jr., G., Klingebiel, D., 1999. Episodes of systematic and borderline financial distress. Mimeo, The World Bank.
Chari, 1988, Banking panics, information, and rational expectations equilibrium, Journal of Finance, 43, 749, 10.2307/2328198
Cull, R., 1998. How deposit insurance affects financial depth: a cross-country analysis. Policy Research Paper No. 1875, World Bank, Washington.
Demirgüç-Kunt, 1998, The determinants of banking crises in developing and developed countries, IMF Staff Papers, 45, 81, 10.2307/3867330
Demirgüç-Kunt, 1999, Financial liberalization and financial fragility
Demirgüç-Kunt, A., Huizinga, H., 1999. Market discipline and financial safety net design, Policy Research Paper No. 2183, World Bank.
Diamond, 1983, Bank runs, deposit insurance, and liquidity, Journal of Political Economy, 91, 401, 10.1086/261155
Folkerts-Landau, 1998
Garcia, G., 1999, Deposit insurance: a survey of actual and best practices. IMF Working Paper No. 99/54.
Greene, 1997
Hellman, 2000, Liberalization, moral hazard in banking and prudential regulation, American Economic Review, 90, 147, 10.1257/aer.90.1.147
Kane, 1989
Kyei, A., 1995. Deposit protection arrangements: a survey. IMF Working Paper No. 95/134.
La Porta, 1998, Law and finance, Journal of Political Economy, 102, 1113, 10.1086/250042
La Porta, R., Lopez de Silanes, F., Shleifer, A., 1999. Government Ownership of Commercial Banks. Mimeo. Harvard University, Cambridge, MA.
Lindgren, 1996
Maddala, 1983
Matutes, 1996, Competition for deposit, fragility, and insurance, Journal of Financial Intermediation, 5, 184, 10.1006/jfin.1996.0010
Mishkin, 1999, Financial consolidation, Journal of Banking and Finance, 23, 675, 10.1016/S0378-4266(98)00084-3
Rossi, M., 1999. Financial fragility and economic performance in developing countries: do capital controls, prudential regulation and supervision matter? IMF Working Paper No. 99/66.
Stiglitz, 1972, Some aspects of the pure theory of corporate finance, Bell Journal of Economics, 3, 458, 10.2307/3003033
Stiglitz, 1992, S& L bailout