Bank capital regulation and risk after the Global Financial Crisis

被引:4
|
作者
Anginer, Deniz [1 ]
Bertay, Ata Can [2 ]
Cull, Robert [3 ]
Demirguc-Kunt, Asli [3 ]
Mare, Davide S. [3 ,4 ]
机构
[1] Simon Fraser Univ, Beedie Sch Business, Burnaby, BC, Canada
[2] Sabanci Univ, Istanbul, Turkiye
[3] World Bank, 1818 H St NW, Washington, DC 20433 USA
[4] Univ Edinburgh, Business Sch, Edinburgh, Midlothian, Scotland
关键词
Banking regulation; Banking supervision; Financial Policy; Bank capital; Bank risk-taking; EARNINGS MANAGEMENT; FEE INCOME; SUPERVISION; COMMISSION; LIQUIDITY;
D O I
10.1016/j.jfs.2021.100891
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
We explore and summarize the evolution in bank capital regulations and bank risk after the global financial crisis. Using a new survey of bank regulation and supervision covering more than 120 economies, we show that regulatory capital increased, but some elements of capital regulations became laxer. Analyzing banklevel data, we also document the importance of defining bank regulatory capital narrowly as the quality of capital matters in reducing bank risk. This is particularly true for banks that have more discretion in the computation of regulatory capital ratios and are subject to weaker market monitoring. (c) 2021 Published by Elsevier B.V.
引用
收藏
页数:16
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