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Unformatted text preview: ons of CRRA Utility”, Economic Letters, 71 (3): 341‐345 Goldstein, Morris, 2008, “Addressing the Financial Crisis”, Peterson Institute for International Economics, Washington D.C. Goodhart, Charles, Boris Hofman, and Miguel Segoviano, 2004, “Bank Regulation and Macroeconomic Fluctuations”, Oxford Review of Economic Policy 20(4), pp 591‐615. Gorton, Gary, 2008, “The Subprime Panic”, NBER Working Paper 14398. Gorton, Gary and Andrew Winston, 2002, “Financial Intermediation”, Wharton School Working Paper 02‐28. Greenlaw, David, Jan Hatzius, Anil Kashyap, and Hyun Song Shin, 2008, “Leveraged Losses: Lessons from the Mortgage Market Meltdown”, US Monetary Policy Forum Report No. 2 , Rosenberg Institute, Brandeis International Business School and Initiative on Global Markets, University of Chicago Graduate School of Business. Greenspan, Alan, 1998, “The Role of Capital in Optimal Banking Supervision and Regulation”, Federal Reserve Bank of New York Economic Policy Review 4‐3, pp 163‐68. Herring, Richard, and Anthony Santomero, 2000, “What is Optimal Financial Regulation?”, Center for Financial Institutions Working Paper 00‐34, Wharton School. Holmstrom, Bengt, and Jean Tirole, 1998, “Private and Public Supply of Liquidity”, NBER Working Paper 5817. Huang, Rocco, and Lev Ratnovski, 2008, “The Dark Side of Bank Wholesale Funding”, Risk Analysis and Management Conference, World Bank and IMF. Institute for International Finance, 2008, “Final Report of the IIF Committee on Market Best Practices: Principles of Conduct and Best Practice Recommendations” July. Kashiap, Anil, Raghuram Rajan, and Jeremy Stein, 2008, “Rethinking Capital Regulation”, Mimeo, University of Chicago and Harvard University. Khan, Charles, and Joao Santos, 2008, “Liquidity, Payment and Endogenous Financial Fragility”, Conference on Liquidity: Concepts and Risks. Keys, Benjamin, Mukherjee Tanmoy, Amit Seru, and Vikrant Vig, 2008, “Did Securitization Lead to Lax Screening: Evidence from Subprime Loans 2001‐2006”, EFA 2008 Athens Meeting Paper. Khandani, Amir, and Andrew Lo, 2008, “What Happened to the Quants in August 2007: Evidence from Factors and Transactions Data”, NBER Working Paper 14465. Kim, Deasik, and Anthony Santomero, 1988, “Risk in Banking and Capital Regulation”, Journal of Finance 43, pp 1219‐33. Kindleberger, Charles, and Robert Aliber, 1996, Manias, Panics, and Crashes: A History of Financial Crises, Wiley Investment Classics. Korinek, Anton, 2008, “Regulating Capital Flows to Emerging Markets”, University of Maryland, Mimeo. 53 Leamer, Edgard, 2008, “Housing is the Business Cycle”, NBER Working Paper 13428. Lo, Andrew, 2004, “The Adaptive Markets Hypothesis”, The Journal of Portfolio Management, 30th Anniversary Issue. Lorenzoni, Guido, 2007, “Inefficient Credit Booms”, NBER Working Paper 13639. Minsky, Hyman, 1975, John Maynard Keynes, Columbia University Press Morris, Stephen, and Hyun Song Shin, 2008, “Financial Regulation in a System Context”, Brooking Papers on Economic Activity, Fall 2008 Conference Draft Rajan, Ra...
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