Finance, growth, and stability: Lessons from the crisis

T Beck - Journal of Financial Stability, 2014 - Elsevier
This article introduces a special issue on lessons from the recent crisis on finance, growth,
and stability. The papers in the special issue discuss (i) the benefits and risks of financial …

Securitization and lending standards: Evidence from the European wholesale loan market

A Kara, D Marques-Ibanez, S Ongena - Journal of Financial Stability, 2016 - Elsevier
We assess the relative effect of securitization activity on banks' lending rates employing a
uniquely detailed dataset from the euro-denominated syndicated loan market. We find that in …

Failure of the Dodd-frank act

MIC Nwogugu - Journal of Financial Crime, 2015 - emerald.com
Purpose–This paper aims to explain the weaknesses and inconsistencies inherent in the
Dodd-Frank Act of 2010 (USA). Design/methodology/approach–The approach is entirely …

[图书][B] Intermediate Islamic Finance

N Maghrebi, A Mirakhor, Z Iqbal - 2016 - books.google.com
Explore Islamic finance at a deeper level Intermediate Islamic Finance: Theory and Practice
fills the gap for students and professionals who are already familiar with the fundamentals of …

Skin-in-the-game in ABS transactions: A critical review of policy options

JP Krahnen, C Wilde - Journal of Financial Stability, 2022 - Elsevier
Relying on a hand-collected data set of European asset securitizations, we analyze risk
retention, a key regulatory reform requirement after the global financial crisis. We find today's …

CEO compensation, regulation, and risk in banks: Theory and evidence from the financial crisis

V Cerasi, T Oliviero - International Journal of Central Banking, 2015 - boa.unimib.it
This paper studies the relation between CEOs' monetary incentives, financial regulation, and
risk in banks. We develop a model where banks lend to opaque entrepreneurial projects that …

Securitization, financial stability and effective risk retention. A European analysis

A Iglesias-Casal, MC López-Penabad… - PloS one, 2020 - journals.plos.org
This paper examines the financial stability of banks that issued securitizations in the
European market from 2000 to 2017. We use novel event study methodology and find that …

[图书][B] Regulating securitized products: a post crisis guide

R Saleuddin - 2015 - books.google.com
Securitization regulation remains, in the eyes of investors, banks, businesses, bureaucrats
and politicians, one of the remaining unsolved puzzles of the post-Global Financial Crisis …

[PDF][PDF] 資產證券化, 房屋價格, 與銀行貸放標準

江永裕, 張興華, 曾秉倫 - 經濟論文叢刊, 45: 1 2017.03 [民106.03], 2017 - econ.ntu.edu.tw
本研究建立一理論模型, 在銀行利用證券化募集的資金於房屋貸款市場擴張信用的情況下,
探討證券化與房屋價格的互動如何影響銀行事前審核技術的發展. 若銀行比例出售貸款(loan …

Securitization as a response to monetary policy

J Zhang, X Xu - International Journal of Finance & Economics, 2019 - Wiley Online Library
This paper studies how monetary easing provides incentives for banks to take risk and issue
mortgage‐backed securities (MBS) and, because MBS have the “lemon” property, why MBS …