Bank Risk-Taking and Competition Revisited : New Theory and New Evidence /
This paper studies two new models in which banks face a non-trivial asset allocation decision. The first model (CVH) predicts a negative relationship between banks' risk of failure and concentration, indicating a trade-off between competition and stability. The second model (BDN) predicts a pos...
| Hovedforfatter: | De Nicolo, Gianni |
|---|---|
| Andre forfattere: | Boyd, John, Jalal, Abu M. |
| Format: | Tidsskrift |
| Sprog: | English |
| Udgivet: |
Washington, D.C. :
International Monetary Fund,
2006.
|
| Serier: | IMF Working Papers; Working Paper ;
No. 2006/297 |
| Online adgang: | Full text available on IMF |
Lignende værker
-
Bank Risk-Taking and Competition Revisited /
af: De Nicolo, Gianni
Udgivet: (2003) -
Financial Intermediation, Competition, and Risk : A General Equilibrium Exposition /
af: De Nicolo, Gianni
Udgivet: (2009) -
Bank Competition, Risk Taking, and their Consequences : Evidence from the U.S. Mortgage and Labor Markets /
af: Xiaochen Feng, Alan
Udgivet: (2018) -
Bank Ownership, Market Structure and Risk /
af: De Nicolo, Gianni
Udgivet: (2007) -
Sovereign Risk and Bank Risk-Taking /
af: Ari, Anil
Udgivet: (2017)