制裁
脆弱性
执行
业务
资本要求
市场纪律
审计
银行监管
资本充足率
存款保险
会计
金融体系
市场风险
挤兑
财务
精算学
经济
激励
市场流动性
微观经济学
化学
法学
物理化学
政治学
作者
Manthos D. Delis,Panagiotis Staikouras
出处
期刊:European Finance Review
[Oxford University Press]
日期:2011-03-09
卷期号:15 (3): 511-543
被引量:175
摘要
This paper investigates the role of banking supervision in controlling bank risk. Banking supervision is measured in terms of enforcement outputs (i.e., on-site audits and sanctions). Our results show an inverted U-shaped relationship between on-site audits and bank risk, while the relationship between sanctions and risk appears to be linear and negative. We also consider the combined effect of effective supervision and banking regulation (in the form of capital and market discipline requirements) on bank risk. We find that effective supervision and market discipline requirements are important and complementary mechanisms in reducing bank fragility. This is in contrast to capital requirements, which prove to be rather futile in controlling bank risk, even when supplemented with a higher volume of on-site audits and sanctions.
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