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We analyze the relationship between bank size and risk-taking under the New Basel Capital Accord. Using a model with …
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Market Failure -- Part II: AIF-Lending and Bank Lending Compared -- Chapter 4: Lending and its risks: A comparison between …
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, stock options plan hedging, equity financings, share buybacks and other transactions on treasury shares, bank regulatory …
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III regulations. The evidence indicates that a bank is more likely to raise its capital base as its capital ratio is … contraction. Furthermore, the results provide supportive evidence for the penalty-aversion hypothesis that bank managers are … averse to capital shortfall. Upon the introduction of Basel II and III, Japanese bank managers have incentive to avoid the …
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bank credit for SMEs, the consequences of Basel II on credit risk analysis and SMEs' possible strategic replies were …
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