Risk Taking in Financial Institutions, Regulation and the Real Economy 01. Understanding Bank Runs 02. Government Guarantees and Bank risk taking incentives 03. Deposit Insurance Adoption and Bank Risk-Taking_the Role of Leverage 04. The Real Effects of Bank Capital Requirements 05. Macroprudential Policy Countercyclical Capital Buffer and Credit Supply 06. Trading Partners in the Interbank Lending Market 07. Bank Leverage Shocks and the Macroeconomy 08. Macroprudential and Monetary Policy 10. On the Non-Exclusivity of Loan contracts 11. Inconsistent Regulators 12. The Valuation Effects of Geographic Diversification 13. A Century of Firm - Bank Relationships 14. The Impact of Sovereign Debt Exposure on Bank Lending 15. Dissecting the Effect of Credit Supply on Trade Abstracts Download the PDF Risk Taking in Financial Institutions, Regulation and the Real Econom... (PDF - 36.63 KB) Updated on the 3rd of January 2025 Read also Events presentations - Évènement Chaire ACPR New Tools for Financial Regulation 15 November 2012 Events presentations - Évènement Chaire ACPR Financial Regulation – Stability versus Uniformity A focus on non-bank actors 28 September 2015