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Optimal Bank Regulation and Fiscal Capacity

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Publication:5110014
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DOI10.1093/RESTUD/RDZ012zbMath1437.91447OpenAlexW2308093666WikidataQ128301784 ScholiaQ128301784MaRDI QIDQ5110014

Vania Stavrakeva

Publication date: 14 May 2020

Published in: The Review of Economic Studies (Search for Journal in Brave)

Full work available at URL: https://lbsresearch.london.edu/id/eprint/1117/1/Stavrakeva_2018_Final.pdf


zbMATH Keywords

moral hazardfiscal capacitypecuniary externalitiesderivatives regulation``too-big-to-failoptimal bank regulation


Mathematics Subject Classification ID

Derivative securities (option pricing, hedging, etc.) (91G20) Financial networks (including contagion, systemic risk, regulation) (91G45)








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