共 50 条
- [1] Comments on 'Three Initiatives Enhancing the Mortgage Market' and 'Monoline Regulations to Control Systemic Risk' B E JOURNAL OF ECONOMIC ANALYSIS & POLICY, 2009, 9 (03):
- [2] Assessing Systemic Risk Exposure from Banks and GSEs Under Alternative Approaches to Capital Regulation The Journal of Real Estate Finance and Economics, 2004, 28 : 123 - 145
- [3] Assessing systemic risk exposure from banks and GSEs under alternative approaches to capital regulation JOURNAL OF REAL ESTATE FINANCE AND ECONOMICS, 2004, 28 (2-3): : 123 - 145
- [4] Research on Risk Control of the Investment Banking of Chinese Commercial Banks PROCEEDINGS OF THE 2ND (2010) INTERNATIONAL CONFERENCE ON FINANCIAL RISK AND CORPORATE FINANCE MANAGEMENT, 2010, : 261 - 266
- [6] Merger control during the GFC, systemic risk issues and failing banks JASSA-THE FINSIA JOURNAL OF APPLIED FINANCE, 2010, (02): : 11 - 15
- [7] Banks' Noninterest Income and Systemic Risk REVIEW OF CORPORATE FINANCE STUDIES, 2020, 9 (02): : 229 - 255