Understanding the Components of Bank Failure Resolution Costs
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Publisher
Elsevier BV
Reference22 articles.
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3. Default Recovery Rates in Credit Risk Modeling: A Review of the Literature and Empirical Evidence;E Altman;Banca dei Paschi di Siena SpA,2004
4. The Effects of Resolution Methods and Industry Stress on the Loss on Assets from Bank Failures;R L Bennett;forthcoming in Journal of Financial Stability,2014
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2. GOVERNMENT DEBT AND BANKING FRAGILITY: THE SPREADING OF STRATEGIC UNCERTAINTY;International Economic Review;2018-07-06
3. Comparison of Small Bank Failures and FDIC Losses in the 1986–92 and 2007–13 Banking Crises;Working paper (Federal Reserve Bank of Cleveland);2017-11-13
4. How Excessive Is Banks’ Maturity Transformation?;The Review of Financial Studies;2017-07-18
5. The Impact of Deposit Guarantee Schemes on the Effectiveness of Resolution;The Role of Deposit Guarantee Schemes as a Financial Safety Net in the European Union;2017
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