Bank contagion: A review of the theory and evidence GG Kaufman Journal of Financial Services Research 8, 123-150, 1994 | 696 | 1994 |
What is systemic risk, and do bank regulators retard or contribute to it? GG Kaufman, KE Scott The independent review 7 (3), 371-391, 2003 | 644 | 2003 |
Bank failures, systemic risk, and bank regulation GG Kaufman Cato J. 16, 17, 1996 | 378 | 1996 |
The appropriate role of bank regulation GJ Benston, GG Kaufman The Economic Journal 106 (436), 688-697, 1996 | 325 | 1996 |
Bond price volatility and term to maturity: A generalized respecification MH Hopewell, GG Kaufman Bond Duration and Immunization, 64-68, 2017 | 256 | 2017 |
FDICIA after five years GJ Benston, GG Kaufman Journal of economic perspectives 11 (3), 139-158, 1997 | 255 | 1997 |
Bank capital ratios across countries: Why do they vary? E Brewer Iii, GG Kaufman, LD Wall Journal of Financial Services Research 34, 177-201, 2008 | 236 | 2008 |
Risk and solvency regulation of depository institutions: Past policies and current options GJ Benston, GG Kaufman Staff Memoranda, 1988 | 231 | 1988 |
Banking and currency crises and systemic risk: A taxonomy and review GG Kaufman Blackwell Publishers, 2000 | 209 | 2000 |
The Asian financial crisis: origins, implications, and solutions WC Hunter, GG Kaufman, TH Krueger Springer Science & Business Media, 2012 | 208 | 2012 |
Lender of last resort: A contemporary perspective GG Kaufman Journal of Financial Services Research 5 (2), 95-110, 1991 | 205 | 1991 |
Perspectives on safe & sound banking: past, present, and future GJ Benston (No Title), 1986 | 195 | 1986 |
Is the banking and payments system fragile? GJ Benston, GG Kaufman Coping with financial fragility and systemic risk, 15-46, 1995 | 188 | 1995 |
Duration: its development and use in bond portfolio management GO Bierwag, GG Kaufman, A Toevs Financial Analysts Journal 39 (4), 15-35, 1983 | 187 | 1983 |
The US financial system: money, markets, and institutions GG Kaufman (No Title), 1989 | 172 | 1989 |
Too big to fail in banking: What does it mean? GG Kaufman Journal of Financial Stability 13, 214-223, 2014 | 160 | 2014 |
Asset price bubbles: The implications for monetary, regulatory, and international policies WC Hunter, GG Kaufman, M Pomerleano MIT press, 2005 | 160 | 2005 |
The effect of credit risk on bank and bank holding company bond yields: Evidence from the post‐FDICIA period J Jagtiani, G Kaufman, C Lemieux Journal of Financial Research 25 (4), 559-575, 2002 | 158 | 2002 |
Derivatives and systemic risk: Netting, collateral, and closeout RR Bliss, GG Kaufman Journal of Financial Stability 2 (1), 55-70, 2006 | 154 | 2006 |
Comment on systemic risk GG Kaufman Research in Financial Services: Banking, Financial Markets, and Systemic …, 1995 | 142* | 1995 |