Commentary on \"A reconsideration of the risk sensitivity of U.S. banking organization subordinated debt spreads: a sample selection approach\"
Abstract: This paper was part of the conference \"Beyond Pillar 3 in International Banking Regulation: Disclosure and Market Discipline of Financial Firms,\" cosponsored by the Federal Reserve Bank of New York and the Jerome A. Chazen Institute of International Business at Columbia Business School, October 2-3, 2003.
File(s): File format is application/pdf https://www.newyorkfed.org/medialibrary/media/research/epr/04v10n2/0409stir.pdf
Provider: Federal Reserve Bank of New York
Part of Series: Economic Policy Review
Order Number: v.10 no.2