Handbook of financial intermediation and banking

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Veröffentlicht: Amsterdam [u.a.] Elsevier North-Holland 2009
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Datensatz im Suchindex

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adam_text Contents List of Contributors Preface Introduction to the Series Section 1 Design of Contracts and Securities 1 Overview by Franklin Allen ( Pennsylvania) 1 The Design of Debt Contracts 5 Paolo Fulghieri {UNO andEitan Goldman (indiana University, Bloomington) 1 . Introduction 6 2. Debt Contracts and Costly State Verification 8 2.1. Multiperiod Contracts Ц 2.2. Stochastic Monitoring 12 3. Debt Contracts and the Allocation of Control Rights 13 4. Debt Contracts and the Provision of Incentives 17 5. Debt Contracts under Asymmetric Information 18 6. The Structure of Debt Contracts 24 6. 1. Seniority 24 6.2. Maturity Structure 26 6.3. Collateral 32 6.4. The Number of Creditors 34 1. Concluding Remarks 36 References 36 2 Subordination Levels in Structured Financing 41 Xutioni· An (SDSU), Yongheng Deng (USC), and Anthony в. Sanders IASU) і . Introduction 42 2. Structured Financing and the Pooling and Tranching of Assets 43 vi Contents 3. CMBS Structure 44 3.1. CMBS Subordination 45 4. Research Question and Empirical Approach 46 4.1. The Deal Subordination Regression 47 4.2. The Chow Test for Structural Change 47 5. Data 48 6. Results 51 6.1. Regression Results 51 6.2. Structural Change and Chow Tests 53 7. Conclusion 58 References 59 Section 2 Market Structure and Structure of Financial Markets 61 3 Limit Order Markets: A Survey 63 Christine A. Parlour (UCB) and Duane J. Seppi (CM U) 1. Introduction 64 2. Modeling Limit Orders 68 2.1. Static Equilibrium Models 71 2.2. Equilibrium Models with Static Order Choice and a Terminal Penalty 73 2.3. Dynamic Optimal Control Models for Single Agents 74 2.4. Multiperiod Equilibrium Models 74 2.5. Limit Orders and Private Information 82 3. Market Design 84 3.1. Competition and Limit Order Markets 84 3.2. Imperfect Competition 87 3.3. Dealer Markets 88 3.4. Welfare 89 3.5. Robustness 90 3.6. Transparency 90 4. Questions for Future Research 92 References 93 Section 3 Financial Intermediary Structure 97 Overview by Mitchell Berlin (FRB Philadelphia) 4 Bank Structure and Lending: What We Do and Do Not Know 107 Philip E. Strahan (Boston College. Wharton. NBER) i. introduction Ш8 Contents vii 2. Bank Size and Lending 109 2. /. Do Large Banks Lend More Than Small? 109 2.2. Do Large Banks Lend Differently j rom Small Banks? Ill 2.3. Bank Size, Organization Structure, and Lending 116 2.4. How Does Bank Size Affect Credit Availability? 117 3. Deposit-Lending Synergies 121 3.1. Do Deposits Make Banks Better Lenders? 121 3.2. Banks as Liquidity Providers 123 4. Conclusion 125 References 128 5 Optimal Industrial Structure in Banking 133 Loretta J. Mester (FRB Philadelphia. The WharUm School) 1. Introduction and Motivation 134 2. Efficiency Concepts 137 3. Empirical Implementation 140 3.1. Bank Production 140 3.2. Cost Minimization 141 3.3. Profit Maximization 144 3.4. More Complicated Objectives 145 4. Measurement 148 4.1. Estimation Techniques 148 4.2. Functional Form, Variable Selection, and Variable Measurement 150 4.3. Special Issues in Banking 151 5. Empirical Findings in the Literature 153 5./. Scule Economies 153 5.2. Scope Economies 157 5.3. X-Efficiency 158 5.4. Pmduciivity 159 6. Conclusion 160 References 160 6 Commercial Banks in Investment Banking 163 Amar Gande (SMU) 1. Introduction 164 2. Tradeoffs in Combining Lending and Underwriting 168 2.1. Costs of Combining Lending and Underwriting 168 2.2. Benefits of Combining Lending and Underwriting 170 2.3. Theory 171 2.4. Empirical Evidence from Debt Underwritings 171 2.5. Empirical Evidence from Equity Underwritings 175 2.6. Organizational Form of Underwriting 178 viii Contents 3. Competitive Effects of Commercial Bank Entry into Securities Underwriting 182 3.1. Theory 182 3.2. Empirical Evidence on Commercial Bank Entry in 1989 182 3.3. Empirical Evidence on the Financial Modernization Act of 1999 184 4. Conclusion 186 References 186 Section 4 Mutual Funds 189 Overview by Sudipto Bhattacharya (LSE) 7 Performance Measurement and Evaluation 191 Bruce Lehmann lUCSD) tmdAlhm Timmermann fUCSD) 1. Introduction 192 2. Theoretical Benchmarks 194 2.1. Sources of Benchmarks 197 2.2. A First Pass at Performance Measurement 199 3. Performance Measurement and Market Timing 202 3.1. Alternative Models of Market Timing 205 3.2. Observable Information Signals 218 4. Performance Measurement and Attribution with Observable Portfolio Weights 220 4.1. Should Investors Hold Mutual Funds ! 229 4.2. Determining the Optimal Holdings in Mutual Funds 231 5. The Cross Section of Managed Portfolio Returns 233 5.1. Inference in the Absence of Performance Ability 234 5.2. Power of Statisticul Tests for Individual Funds 241 5.3. Inference for Multiple Funds 244 5.4. Empirical Specifications of Alpha Measures 247 6. Bayesian Approaches 249 6. 1. Asset Mispricing and Investment in Mutual Funds 252 7. Conclusion 255 References 256 8 The Behavior of Mutual Fund Investors 259 Lu Zheng (UČÍ I 1. Introduction 260 2. Examining Investor Behavior Using Fund Flows 261 2. /. Estimating Mutual Fund Flows 261 2.2. The Decision to Choose Among Mutual Funds 262 2.3- Mutual Fund Flows and Aggregate Market Returns 271 3. Investment Performance of Mutual Fund Investors 272 Contents ¡χ 4. Investor Externality 274 4.1. Liquidity Costs 275 4.2. Stale-Price Arbitrage 277 5. Strategies of Mutual Funds 277 6. Conclusion 280 References 2H0 9 Incentives in Funds Management: A Literature Overview 285 Sudipto Bhattucharya {LSE). Amil Dangu/mi (LSE), Alexander Guembel (Oxford), and Andreu Prut (LSE) 1. Introduction 288 2. Theories of Incentives for Fund Managers and Informative Experts 289 2. 1. Principal-Agent Models: Effort Choice, Delegátům, and Screening 289 2.2 Optimal Contracts Based on Verifiable Portfolio Composition Choices and Returns 290 2.3. Returns-Based and Relative Performance-Based Contracts 291 2.4. Conformist Trading: The Roles of Career Concerns 294 2.5. Fund Manager Incentives and Uninformed Trading 297 2.6. General Equilibrium Implications of Fund Manager Incentives 299 3. Evidence on the Choices and Rewards of Analysts and Fund Managers 301 4. Conclusion 303 References 303 Sections Regulation 305 Overview by Mark J. Flannery, University of Florida 10 Consolidation in the U.S. Banking Industry: Is the Long, Strange Trip About to End? 309 Kenneth D. Janes (FDIC) and Tim Critchfield (FDIC) 1. Overview of Structural Change in the U.S. Banking Industry 1984-2003 311 /./. Industry Size 311 1.2. Industry Concentration 315 2. Fundamental Causes of Consolidation 318 2.1. Environmental Factors 318 2.2. Microeconomic Factors in Merger Decisions 324 3. The Effects of Consolidation 325 4. Projections of Banking Industry Structure 333 4.1. Review of Previous Projections and Their Methodologies 333 4.2. New Linear Extrapolations: A Comparison with the Literature 336 4.3. Beyond Linear Extrapolations 33 H 5. Conclusion 341 References 343 Contents 11 Safety, Soundness, and the Evolution of the U.S. Banking Industry 347 Robert DeYoung (Kansas) 1. Introduction 348 2. The Evolution of the U.S. Banking industry 349 2.1. Financia! Innovation and Technological Change 350 2.2. Regulatory Reaction to Financial Innovation and Technological Change 353 2.3. Widespread Technology Adoption and Industry Transformation 353 3. A Stylized View of Banking Strategies 356 3.1. Prederegulation 358 3.2. Postderegulation 358 4. Evidence Consistent with the Strategic Map 360 5. Further Implications of Strategic Change 363 5./. Industry Structure 363 5.2. Noninterest Income 366 5.3. Financial Performance 368 6. Is the Industry Safe and Sound Today? 369 References 371 12 What Caused the Bank Capital Buildup of the 1 990s? 375 Mark J. Flannery (Florida) and Kasturi P. Rangan (CWRU and HBS) 1. Introduction 376 2. Determining a Bank s Optimal Leverage 378 3. Rising U.S. Bank Capitalization, 1986-2001 381 3.1. The Supervisors Focus: Book Capital Ratios 381 3.2. Investors Focus: Market Capital Ratios 383 3.3. ВНС Portfolio Volatility and Default Risks 384 3.4. Possible Causes of the Increased Capitalization 386 4. Regression Model 388 4.1. Lags in Adjusting Toward Target Capitalization 390 4.2. Econometric Issues 392 4.3. Data 393 5. Estimation Results 395 5.1. Decomposing the Change in ВНС Capitalization 398 6. Do Higher Market Ratios Reflect Stricter Regulatory Constraints? 401 7. Robustness 404 7.1. Adjust for Possible Safety Net Subsidies in MKTRAT 405 7.2. Alternative Instrument for BHCs Realized Stock Return 405 7.3. Estimates for the 20 Largest Banks 405 7.4. Estimate for 80 Next Largest Banks 407 7.5. Excluding the Charter Value Proxy 407 Contents xi 8. Summary and Implications 407 References 408 Appendix 41 1 Estimating ВНС Risk-Weighted Assets (RWA) in the 1986-91 Period 411 13 Basel II: A Case for Recalibration 413 Paul H. Kupiec (FDIC) 1. Introduction 414 2. A Review of the AIRB Capital Framework 4 1 5 2.1. Discussion 418 3. The AIRB and Financial Stability 420 4. Establishing a Sound Benchmark for Risk Measurement Practices 423 4.1. The Need for Capital for Bank Interest Expenses 423 4.2. Procyclkality of the AIRB Soundness Standard 427 4.3. Incorporating Portfolio Interest Income 428 4.4. Capital for Systematic Risk in PD and LGD 430 4.5. Random Loss Given Default and Downturn LGD 431 4.6. Asymptotic Portfolio U>ss Distribution 432 4.7. Random Exposures at Default (EADs) 436 5. Conclusions 437 References 438 Section 6 Competition and Regulation in Banking 441 Overview by Xavier Vives (IESE Business and UPF) 14 Competition and Regulation in Banking 449 Elena Carletti (Frankfurt) 1. Introduction 450 2. Bank Instability and the Need of Regulation 452 2.1. Bank Fragility: Individual Runs and Systemic Crises 452 2.2. Excessive Risk Taking 457 2.3. The Need of Regulation 458 3. Competition in Banking 461 3.1. Competition Under Asymmetric Information 461 3.2. Competition and Switching Costs 463 3.3. Competition and Networks 464 4. Competition and Stability: A Positive or a Negative Link? 466 4.1. Market Structure and Financial Fragility 467 4.2. Market Structure and Risk Taking 470 xii Contents 5. Competition and Regulation 473 6. Conclusion 479 References 479 15 Competition and Regulation in the Banking Sector: A Review of the Empirical Evidence on the Sources of Bank Rents 483 Hans Degryse and Steven Ongena (CentER. Tilburg) 1. Introduction 485 2. Measuring Banking Competition 488 2. /. Traditional Industrial Organization 488 2.2. New Empirical Industrial Organization 492 3. Competition: Conduct and Strategy 499 3. 1. Market Structure and Conduct 499 3.2. Market Structure and Strategy: Product Differentiation and Network Effects 509 4. Switching Costs 510 4.1. Evidence on the Existence, Magnitude, and Determinants of Switching Costs 511 4.2. Switching Costs and Conditions: Relationships as a Source of Bank Rents? 521 4.3. Market Structure and Market Presence: Bank Orientation and Specialization 527 5. Location 530 5./. Distance Versus Borders 530 5.2. Distance and Conditions: Spatial Pricing 531 5.3. Distance and Conditions: Availability 532 5.4. Distance and Strategy: Branching 533 5.5. Borders and Conduct: Segmentation 533 5.6. Borders and Strategy: Entry and M&As 534 6. Regulation 537 6.1. Regulation and Market Structure 537 6.2. Regulation and Conduct 53H 6.3. Regulation and Strategy 538 6.4. Regulation and Financial Stability and Development 539 7. Conclusion 540 References 542 Index 555
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spellingShingle Handbook of financial intermediation and banking
Bank
Intermediation (Finance)
Banks and banking
Wettbewerb (DE-588)4065835-1 gnd
Regulierung (DE-588)4201190-5 gnd
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(DE-588)4201190-5
(DE-588)4032950-1
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(DE-588)4143413-4
title Handbook of financial intermediation and banking
title_auth Handbook of financial intermediation and banking
title_exact_search Handbook of financial intermediation and banking
title_full Handbook of financial intermediation and banking ed. by Anjan V. Thakor ...
title_fullStr Handbook of financial intermediation and banking ed. by Anjan V. Thakor ...
title_full_unstemmed Handbook of financial intermediation and banking ed. by Anjan V. Thakor ...
title_short Handbook of financial intermediation and banking
title_sort handbook of financial intermediation and banking
topic Bank
Intermediation (Finance)
Banks and banking
Wettbewerb (DE-588)4065835-1 gnd
Regulierung (DE-588)4201190-5 gnd
Kreditwesen (DE-588)4032950-1 gnd
Finanzintermediation (DE-588)4368756-8 gnd
topic_facet Bank
Intermediation (Finance)
Banks and banking
Wettbewerb
Regulierung
Kreditwesen
Finanzintermediation
Aufsatzsammlung
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