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Regulation of Bank Capital and Behavior of Banks: Assessing the US and the EU-15 Region Banks in the 2000-2005 Period
The purpose of this paper is to assess and compare how American and European banks adjust their level of capital and portfolio risk under capital regulation, whether and how they react to constraints placed by the regulators. In order to do this, we estimate a modified version of the simultaneous equations model developed by Shrieves and Dahl.
| Link | http://ies.fsv.cuni.cz/in…ublication=3204&lng=en_GB |
|---|---|
| Author | Teply, P. |
| Date | 01-Aug-2007 |
| Institute | Institute of Economic Studies |
| Tags | banks, EU, capital, portfolio |
See also
- The Developing Capital Markets of Central and Eastern Europe
- CIS-7 Perspective on Trade with EU in the Context of EU Enlargement
- ECB Decision-making and the Status of the Eurogroup in an Enlarged EMU.
- Model for Development of EU pre-accession funds absorption capacities in BiH - Policy Study
- How accession to the European Union has affected external trade and foreign direct investment in Central European economies
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