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The effect of capital adequacy guidelines on large bank holding companies
The 8 references without a DOI — listed, not checked
no DOI — not checkedCates Consulting Analysts, Inc.The Cates Bank Financial Analysis Course, A Systematic Approach to Bank and Holding Company Analysis: Book I: The Cates Method, 3rd ed. New York: Cates Consulting Analysts, Inc., 1984.
no DOI — not checkedCates Consulting Analysts, Inc.The Cates Bank Financial Analysis Course, A Systematic Approach to Bank and Holding Company Analysis: Book II: Readings and Reference Materials, 3rd ed. New York: Cates Consulting Analysts, Inc., 1984.
no DOI — not checkedCornyn Anthony G., Hanweck Gerald, Rhoades Stephen, and Rose John. An Analysis of the Concept of Corporate Separateness in BHC Regulation from an Economic Perspective. In:Proceedings of a Conference on Bank Structure and Regulation. Chicago: Federal Reserve Bank of Chicago, 1986, pp 174–212.
no DOI — not checkedEisenbeis R.A. How Should Bank Holding Companies Be Regulated? Federal Reserve Bank of Atlanta.Economic Review (Vol. 68, 1983), pp 42–47.
no DOI — not checkedGilbert R.A., Stone C.C., and Trebing M.E. The New Capital Adequacy Standards, Federal Reserve Bank of St. Louis.Review (Vol. 67, May 1985), pp 12–20.
no DOI — not checkedMarcus A.J. The Bank Capital Decision: A Time Series-Cross Section Analysis.Journal of Finance (Vol. 38, 1983), pp 1217–1232.
no DOI — not checkedWall L.D. Insulating Banks from Nonbank Affiliates, Federal Reserve Bank of Atlanta.Economic Review (Vol. 69, 1984), pp 18–28.
no DOI — not checkedWall L.D. Regulation of Affiliated Bank Capital Positions, Federal Reserve Bank of Atlanta.Economic Review (Vol. 70, 1985), pp 12–19.
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