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Beverly Hirtle
Beverly Hirtle
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Credit derivatives and bank credit supply
B Hirtle
Journal of Financial Intermediation 18 (2), 125-150, 2009
3442009
The challenges of risk management in diversified financial companies
C Cumming, B Hirtle
Economic policy review 7 (1), 2001
2972001
The impact of supervision on bank performance
B Hirtle, A Kovner, M Plosser
The Journal of Finance 75 (5), 2765-2808, 2020
2252020
The return to retail and the performance of US banks
BJ Hirtle, KJ Stiroh
Journal of Banking & Finance 31 (4), 1101-1133, 2007
2252007
Supervisory information and the frequency of bank examinations
B Hirtle, JA Lopez
Economic Policy Review 5 (1), 1999
2021999
Evaluating the information in the federal reserve stress tests
M Flannery, B Hirtle, A Kovner
Journal of Financial Intermediation 29, 1-18, 2017
1842017
Bank capital requirements for market risk: The internal models approach
D Hendricks, B Hirtle
Economic Policy Review 3 (4), 1997
1841997
Macroprudential supervision of financial institutions: lessons from the SCAP
B Hirtle, T Schuermann, KJ Stiroh
FRB of New York Staff Report, 2009
1792009
Derivatives, portfolio composition, and bank holding company interest rate risk exposure
BJ Hirtle
Journal of Financial Services Research 12 (2), 243-266, 1997
1791997
The impact of network size on bank branch performance
B Hirtle
Journal of Banking & Finance 31 (12), 3782-3805, 2007
1772007
Trends in financial market concentration and their implications for market stability
N Cetorelli, B Hirtle, DP Morgan, S Peristiani, JAC Santos
Economic Policy Review 13 (1), 2007
1442007
Assessing financial stability: The capital and loss assessment under stress scenarios (CLASS) model
B Hirtle, A Kovner, J Vickery, M Bhanot
Journal of Banking & Finance 69, S35-S55, 2016
134*2016
Public disclosure, risk, and performance at bank holding companies
B Hirtle
FRB of New York Staff Report, 2007
1232007
Supervisory stress tests
B Hirtle, A Lehnert
Annual Review of Financial Economics 7 (1), 339-355, 2015
1122015
The role of retail banking in the US banking industry: risk, return, and industry structure
T Clark, AA Dick, B Hirtle, KJ Stiroh, R Williams
Economic Policy Review 13 (3), 2007
942007
Stock market reaction to financial statement certification by bank holding company CEOs
B Hirtle
Journal of Money, Credit and Banking, 1263-1291, 2006
692006
What market risk capital reporting tells us about bank risk
B Hirtle
Economic Policy Review 9 (3), 2003
642003
Factors affecting the competitiveness of internationally active financial institutions
B Hirtle
Federal Reserve Bank of New York Quarterly Review 16 (1), 38-51, 1991
631991
Supervising large, complex financial institutions: What do supervisors do?
TM Eisenbach, A Haughwout, B Hirtle, A Kovner, DO Lucca, MC Plosser
FRB of New York Staff Report, 2015
622015
Bank holding company dividends and repurchases during the financial crisis
B Hirtle
FRB of New York Staff Report, 2014
572014
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Artikelen 1–20