Risk shifting and the allocation of capital : a Rationale for macroprudential regulation
Year of publication: |
2020
|
---|---|
Authors: | Kogler, Michael |
Published in: |
Journal of banking & finance. - Amsterdam [u.a.] : Elsevier, ISSN 0378-4266, ZDB-ID 752905-3. - Vol. 118.2020, p. 1-13
|
Subject: | Macroprudential regulation | Misallocation | Pecuniary externalities | Risk taking | Theorie | Theory | Finanzmarktaufsicht | Financial supervision | Externer Effekt | Externalities | Bankenaufsicht | Banking supervision | Risikopräferenz | Risk attitude | Basler Akkord | Basel Accord | Bankrisiko | Bank risk | Allokation | Allocation | Bankenregulierung | Bank regulation | Regulierung | Regulation | Finanzmarktregulierung | Financial market regulation |
-
Managing risk taking with interest rate policy and macroprudential regulations
Cociuba, Simona E., (2016)
-
Managing risk taking with interest rate policy and macroprudential regulations
Cociuba, Simona E-, (2016)
-
Macroprudential regulation : a contradiction in its own terms
Mészáros, George, (2013)
- More ...
-
Profit Taxation and Bank Risk Taking
Kogler, Michael, (2019)
-
Trade and Credit Reallocation: How Banks Help Shape Comparative Advantage
Keuschnigg, Christian, (2018)
-
Trade and Credit Reallocation: How Banks Help Shape Comparative Advantage
Keuschnigg, Christian, (2018)
- More ...