关注
George Kaufman
George Kaufman
在 luc.edu 的电子邮件经过验证
标题
引用次数
引用次数
年份
Bank contagion: A review of the theory and evidence
GG Kaufman
Journal of Financial Services Research 8, 123-150, 1994
6961994
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
6442003
Bank failures, systemic risk, and bank regulation
GG Kaufman
Cato J. 16, 17, 1996
3781996
The appropriate role of bank regulation
GJ Benston, GG Kaufman
The Economic Journal 106 (436), 688-697, 1996
3251996
Bond price volatility and term to maturity: A generalized respecification
MH Hopewell, GG Kaufman
Bond Duration and Immunization, 64-68, 2017
2562017
FDICIA after five years
GJ Benston, GG Kaufman
Journal of economic perspectives 11 (3), 139-158, 1997
2551997
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
2362008
Risk and solvency regulation of depository institutions: Past policies and current options
GJ Benston, GG Kaufman
Staff Memoranda, 1988
2311988
Banking and currency crises and systemic risk: A taxonomy and review
GG Kaufman
Blackwell Publishers, 2000
2092000
The Asian financial crisis: origins, implications, and solutions
WC Hunter, GG Kaufman, TH Krueger
Springer Science & Business Media, 2012
2082012
Lender of last resort: A contemporary perspective
GG Kaufman
Journal of Financial Services Research 5 (2), 95-110, 1991
2051991
Perspectives on safe & sound banking: past, present, and future
GJ Benston
(No Title), 1986
1951986
Is the banking and payments system fragile?
GJ Benston, GG Kaufman
Coping with financial fragility and systemic risk, 15-46, 1995
1881995
Duration: its development and use in bond portfolio management
GO Bierwag, GG Kaufman, A Toevs
Financial Analysts Journal 39 (4), 15-35, 1983
1871983
The US financial system: money, markets, and institutions
GG Kaufman
(No Title), 1989
1721989
Too big to fail in banking: What does it mean?
GG Kaufman
Journal of Financial Stability 13, 214-223, 2014
1602014
Asset price bubbles: The implications for monetary, regulatory, and international policies
WC Hunter, GG Kaufman, M Pomerleano
MIT press, 2005
1602005
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
1582002
Derivatives and systemic risk: Netting, collateral, and closeout
RR Bliss, GG Kaufman
Journal of Financial Stability 2 (1), 55-70, 2006
1542006
Comment on systemic risk
GG Kaufman
Research in Financial Services: Banking, Financial Markets, and Systemic …, 1995
142*1995
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