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ReferencesFukao, M. 2004. Weakening Market and Regulatory Discipline in the Japanese Financial System. In Market Discipline across Countries and Industries, edited by C. Borio, W.C. Hunter, G. Kaufuman, and K. Tsatsaronis. Cambridge, MA: MIT Press. ———. 2007. Financial Crisis and the Lost Decade. Asian Economic Policy Review 2 (2): 273–297. Hoshi, T., and A. K. Kashyap. 2008. Will The U.S. Bank Recapitalization Succeed? Lessons from Japan. NBER Working Paper 14401. Cambridge, MA: National Bureau of Economic Research. International Monetary Fund (IMF). 2009. Global Financial Stability Report: Responding to the Financial Crisis and Measuring Systemic Risk. Washington, DC: IMF. ———. 2010. Global Financial Stability Report: Meeting New Challenges to Stability and Building a Safer System. Washington, DC: IMF. Kawai, M. 2005. Reform of the Japanese Banking System. International Economics and Economic Policy 2 (4): 307–335. Laeven, L. A., and F. V. Valencia. 2008. Systemic Banking Crises: A New Database. IMF Working Paper WP/08/224. Washington, DC: IMF. Nakaso, H. 2001. The Financial Crisis in Japan during the 1990s: How the Bank of Japan Responded and the Lessons Learnt. BIS Papers, No. 6 (October).Basel, Switzerland: Bank for International Settlements. Sato, T., ed. 2007. Basel II to Ginkou-Kantoku (Basel II and Bank Regulation – New Capital Adequacy Ratio). Tokyo: Toyo-Keizai Shinpo-sha (in Japanese). Download this Paper [ PDF 238.6KB| 23 pages ]. [previous chapter] [next chapter]
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