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Working papers, staff studies, survey reports, and other analyses written to prompt discussion among the FDIC's many stakeholders to expand knowledge and understanding of issues that affect the banking system.

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  • Pay for Performance CEO Compensation and Acquirer Returns in BHCs
    Pay for Performance? CEO Compensation and Acquirer Returns in BHCs
    :
    No Description
  • Implied Recovery
    Implied Recovery
    :
    No Description
  • The Impact of Wealth on Inattention Evidence from Credit Card Repayments
    The Impact of Wealth on Inattention: Evidence from Credit Card Repayments
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    No Description
  • Deposit Insurance and Bank RiskTaking Evidence from Internal Loan Ratings
    Deposit Insurance and Bank Risk-Taking: Evidence from Internal Loan Ratings
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    No Description
  • Is There Cyclical Bias in Bank Holding Company Risk Ratings
    Is There Cyclical Bias in Bank Holding Company Risk Ratings?
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    No Description
  • Speculation and Recent Volatility in the Price of Oil
    Speculation and Recent Volatility in the Price of Oil
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    No Description
  • A Generalized Single Common Factor Model of Portfolio Credit Risk
    A Generalized Single Common Factor Model of Portfolio Credit Risk
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    No Description
  • The Effect of Banking Crises on Deposit Growth StateLevel Evidence from 1900 to 1930
    The Effect of Banking Crises on Deposit Growth: State-Level Evidence from 1900 to 1930
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    No Description
  • Asset Salability and Debt Maturity Evidence From 19th Century American Railroads
    Asset Salability and Debt Maturity: Evidence From 19th Century American Railroads
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    No Description
  • Interest Rate Risk Management at Commercial Banks An Empirical Investigation
    Interest Rate Risk Management at Commercial Banks: An Empirical Investigation
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    No Description
  • Correlation Price Discovery and CoMovement of ABS and Equity
    Correlation, Price Discovery and Co-Movement of ABS and Equity
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    No Description
  • MultiPeriod Corporate Default Prediction With Stochastic Covariates
    Multi-Period Corporate Default Prediction With Stochastic Covariates
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    No Description
  • Relationship Lending Accounting Disclosure and Credit Availability During the Asian Financial Crisis
    Relationship Lending, Accounting Disclosure, and Credit Availability During the Asian Financial Crisis
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    No Description
  • Understanding the Role of Recovery in Default Risk Models Empirical Comparisons and Implied Recovery Rates
    Understanding the Role of Recovery in Default Risk Models: Empirical Comparisons and Implied Recovery Rates
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    No Description
  • Regulatory Capital and Earnings Management in Banks The Case of Loan Sales and Securitization
    Regulatory Capital and Earnings Management in Banks: The Case of Loan Sales and Securitization
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    No Description
  • Basel II A Case for Recalibration
    Basel II: A Case for Recalibration
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    No Description
  • Financial Stability and Basel II
    Financial Stability and Basel II
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    No Description
  • Evaluating the adequacy of the deposit insurance fund  a creditrisk modeling approach
    Evaluating the adequacy of the deposit insurance fund : a credit-risk modeling approach
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    No Description
  • Determinants of multifamily mortgage default
    Determinants of multifamily mortgage default
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    No Description
  • Bank consolidation and small business lending within local markets
    Bank consolidation and small business lending within local markets
    :
    No Description
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