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Deposit Insurance, Market Discipline and Bank Risk. (2019). Karas, Alexei ; Schoors, Koen ; Pyle, William.
In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
RePEc:rug:rugwps:19/953.

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  1. Government guarantees and the risk-taking of financial institutions: evidence from a regulatory experiment. (2019). Mugerman, Yevgeny ; Rastan, Mehrdad ; Li, Mingxin ; Atanasova, Christina.
    In: Journal of Asset Management.
    RePEc:pal:assmgt:v:20:y:2019:i:6:d:10.1057_s41260-019-00128-2.

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References

References cited by this document

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  8. Gropp, R. & Vesala, J. (2004). Deposit Insurance, Moral Hazard and Market Monitoring. Review of Finance, 8(4), 571–602.

  9. Hosmer, D. W. & Lemeshow, S. (2000). Applied logistic regression. Wiley.
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  10. Ioannidou, V. P. & Penas, M. F. (2010). Deposit insurance and bank risk-taking: Evidence from internal loan ratings. Journal of Financial Intermediation, 19(1), 95–115.

  11. Karas, A. & Schoors, K. (2005). Heracles or Sisyphus? Finding, cleaning and reconstructing a database of Russian banks. Ghent University Working Paper Series, 327.

  12. Karas, A. & Schoors, K. J. L. (2010). A Guide to Russian Banks Data. SSRN Electronic Journal.
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  13. Karas, A. & Vernikov, A. (2016). Russian Bank Database: Birth and Death, Location, Mergers, Deposit Insurance Participation, State and Foreign Ownership. SSRN Electronic Journal.

  14. Karas, A., Pyle, W., & Schoors, K. (2010). How do Russian depositors discipline their banks? Evidence of a backward bending deposit supply function. Oxford Economic Papers, 62(1), 36– 61.

  15. Karas, A., Pyle, W., & Schoors, K. (2013). Deposit Insurance, Banking Crises, and Market Discipline: Evidence from a Natural Experiment on Deposit Flows and Rates. Journal of Money, Credit and Banking, 45(1), 179–200.

  16. Lambert, C., Noth, F., & Schüwer, U. (2017). How do insured deposits affect bank risk? Evidence from the 2008 Emergency Economic Stabilization Act. Journal of Financial Intermediation, 29, 81–102.

  17. Martinez Peria, M. S. & Schmukler, S. L. (2001). Do Depositors Punish Banks for Bad Behavior? Market Discipline, Deposit Insurance, and Banking Crises. The Journal of Finance, 56(3), 1029– 1051.

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  22. Schoors, K. (2001). The credit squeeze during Russia’s early transition: A bank-based view. The Economics of Transition, 9(1), 205–228.

  23. Spicer, A. & Pyle, W. (2000). Institutions and the vicious circle of distrust in the Russian household deposit market, 1992-1999. In The New Institutionalism in Strategic Management, volume 19 of Advances in Strategic Management (pp. 373–398). Emerald Group Publishing Limited.
    Paper not yet in RePEc: Add citation now
  24. Tompson, W. (2004). Banking Reform in Russia: Problems and Prospects. OECD Economics Department Working Papers.

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