Theoretical essays on bank risk-taking and financial stability
This thesis proposes theoretical models to study bank risk-taking and financial stability. Three issues are explored: (1) the moral-hazard incentive for securitisation, (2) the socially optimal banking structure for the economy, and (3) the relationship between bank competition and financial stabili...
Main Author: | Chan, Ka Kei |
---|---|
Published: |
City University London
2012
|
Subjects: | |
Online Access: | http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.560959 |
Similar Items
-
Essays on financial systems, banking crises and emerging markets
by: Moheeput, Ashwin
Published: (2010) -
Financial stability and central bank power : a comparative perspective
by: McPhilemy, Samuel
Published: (2015) -
Essays on banking in developing countries
by: Beqiri, Zana
Published: (2016) -
Essays on the impact of competition on financial intermediaries
by: Deb, Pragyan
Published: (2012) -
The incentive structure of the originate-to-distribute model of lending, bank credit supply and risk taking behaviour of U.S. commercial banks
by: Chen, Conghui
Published: (2015)