Pregled bibliografske jedinice broj: 934449
Bank’s choice of loan portfolio under high regulation – example of Croatia
Bank’s choice of loan portfolio under high regulation – example of Croatia // FIP - Financije i pravo, 2 (2014), 1; 29-44 (međunarodna recenzija, članak, znanstveni)
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Naslov
Bank’s choice of loan portfolio under high regulation – example of Croatia
Autori
Vidaković, Neven
Izvornik
FIP - Financije i pravo (1849-241X) 2
(2014), 1;
29-44
Vrsta, podvrsta i kategorija rada
Radovi u časopisima, članak, znanstveni
Ključne riječi
credit ; central bank regulation ; dynamic programming ; bayesian learning
Sažetak
This paper investigates the behavior of banks when faced with high regulation and provides a theoretical framework for analysis of the impact of high regulation on the choice of the bank’s portfolio structure. The model shows the banks have a learning framework in which the banks learn the central bank’s true model and adjust their credit policies to existing regulatory regime.
Izvorni jezik
Engleski
Znanstvena područja
Ekonomija
POVEZANOST RADA
Ustanove:
Zagrebačka škola ekonomije i managementa, Zagreb,
EFFECTUS veleučilište
Profili:
Neven Vidaković
(autor)
Citiraj ovu publikaciju:
Uključenost u ostale bibliografske baze podataka::
- EconLit