Luc Laeven
Identifiers
- Open LibraryOL1386727A
Top Subjects
- Banks and banking (3)
- Developing countries (2)
- Deposit insurance (2)
- International business enterprises (2)
- Financial crises (2)
- Bank capital -- Econometric models (1)
- Deposit insurance -- Econometric models (1)
Books by Luc Laeven
Total count: 44
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Banking risks around the worldthe implicit safety net subsidy approachWorld Bank, Financial Sector Strategy and Policy Dept.2000-01-01
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Financial liberalization and financing constraintsevidence from panel data on emerging economiesWorld Bank, Financial Sector Strategy and Policy Dept.2000-01-01
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Essays on financial intermdiation in developing countriesThela Thesis2001-01-01
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Loan loss provisioning and economic slowdownstoo much, too late?World Bank, Financial Sector Strategy and Policy Department2001-01-01
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International evidence on the value of product and geographic diversityWorld Bank, Financial Sector Strategy and Policy Department2001-01-01
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Pricing of deposit insuranceWorld Bank, Financial Sector Strategy and Policy Department2002-01-01
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Does judicial efficiency lower the cost of credit?World Bank2003-01-01
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The political economy of deposit insuranceWorld Bank2004-01-01
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The quality of the legal system, firm ownership, and firm sizeWorld Bank2004-01-01
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Is there a diversification discount in financial conglomerates?National Bureau of Economic Research2005-01-01
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Systemic Financial CrisesCambridge University Press2005-01-01
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Complex ownership structures and corporate valuationsNational Bureau of Economic Research2006-01-01
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Corporate Governance QualityTrends and Real EffectsInternational Monetary Fund2006-01-01
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Capital Structure and International Debt ShiftingInternational Monetary Fund2007-01-01
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Complex Ownership Structures and Corporate ValuationsInternational Monetary Fund2007-01-01
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Deposit Insurance Around the WorldIssues of Design and ImplementationMIT Press2008-01-01
Deposit insurance around the worldissues of design and implementationMIT Press2008-01-01-
Systemic Banking CrisesA New DatabaseInternational Monetary Fund2008-01-01
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Credit Booms and Lending StandardsEvidence from the Subprime Mortgage MarketInternational Monetary Fund2008-01-01
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Use of Blanket Guarantees in Banking CrisesInternational Monetary Fund2008-01-01
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Bank governance, regulation, and risk takingNational Bureau of Economic Research2008-01-01
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Accounting Discretion of Banks During a Financial CrisisInternational Monetary Fund2009-01-01
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Principles of Household Debt RestructuringInternational Monetary Fund2009-01-01
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U. S. Monetary Shocks and Global Stock PricesInternational Monetary Fund2010-01-01
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Resolution of Banking CrisesThe Good, the Bad, and the UglyInternational Monetary Fund2010-01-01
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Completing the Eurozone RescueWhat More Needs to Be Done?Centre for Economic Policy Research2010-01-01
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Monetary Policy, Leverage, and Bank Risk-TakingInternational Monetary Fund2010-01-01
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Lessons and Policy Implications from the Global Financial CrisisInternational Monetary Fund2010-01-01
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Real Effects of Financial Sector Interventions During CrisesInternational Monetary Fund2011-01-01
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Crisis Management and ResolutionEarly Lessons from the Financial CrisisInternational Monetary Fund2011-01-01
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Policies for Macrofinancial StabilityHow to Deal with Credit BoomsInternational Monetary Fund2012-01-01
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Systemic Banking Crises DatabaseAn UpdateInternational Monetary Fund2012-01-01
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Valuation Effects of Geographic DiversificationEvidence from U. S. BanksInternational Monetary Fund2012-01-01
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Bank Leverage and Monetary Policy's Risk-Taking ChannelEvidence from the United StatesInternational Monetary Fund2013-01-01
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Thin Capitalization Rules and Multinational Firm Capital StructureInternational Monetary Fund2014-01-01
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Development of Local Capital MarketsRationale and ChallengesInternational Monetary Fund2014-01-01
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Bank Size and Systemic RiskInternational Monetary Fund2014-01-01
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Deposit Insurance DatabaseInternational Monetary Fund2014-01-01
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Use and Effectiveness of Macroprudential PoliciesNew EvidenceInternational Monetary Fund2015-01-01
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Systemic Risk, Crises, and Macroprudential RegulationMIT Press2015-01-01
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Benefits and Costs of Bank CapitalInternational Monetary Fund2016-01-01
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Systemic Banking Crises RevisitedInternational Monetary Fund2018-01-01
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Managing the Sovereign-Bank NexusInternational Monetary Fund2018-01-01
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Financial Intermediation and TechnologyWhat's Old, What's New?International Monetary Fund2020-01-01