Utilize este identificador para referenciar este registo: http://hdl.handle.net/10071/9871
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dc.contributor.authorAbreu, J. F.-
dc.contributor.authorGulamhussen, M.-
dc.date.accessioned2015-09-25T17:01:27Z-
dc.date.available2015-09-25T17:01:27Z-
dc.date.issued2013-
dc.identifier.issn1042-4431por
dc.identifier.urihttps://ciencia.iscte-iul.pt/public/pub/id/9963-
dc.identifier.urihttp://hdl.handle.net/10071/9871-
dc.descriptionWOS:000320679800004 (Nº de Acesso Web of Science)-
dc.description.abstractIn the aftermath of the global financial meltdown, regulators initiated a process to strengthen the regulation of too-big-to-fail (TBTF) banks with two goals: first, to increase the ability of these banks to absorb future financial shocks and second, to weaken the market expectation of public support for these banks in the event of a future financial crisis, thereby reducing the moral hazard problem associated with TBTF banks. We use an event study approach to analyze the market reaction to the official designation of a list of banks as TBTF by the Financial Stability Board (FSB) (on November 4, 2011). We do not find abnormal returns surrounding the FSB public announcement, which indicates that identifying the TBTF banks did not reduce the moral hazard problem.por
dc.language.isoengpor
dc.publisherElsevier Sciencepor
dc.rightsembargoedAccesspor
dc.subjectToo-big-to-failpor
dc.subjectBankspor
dc.subjectRegulationpor
dc.titleThe stock market reaction to the public announcement of a supranational list of too-big-to-fail banks during the financial crisispor
dc.typearticleen_US
dc.pagination49-72por
dc.publicationstatusPublicadopor
dc.peerreviewedSimpor
dc.relation.publisherversionThe definitive version is available at: http://dx.doi.org/10.1016/j.intfin.2013.01.003por
dc.journalJournal of International Financial Markets, Institutions and Moneypor
dc.distributionInternacionalpor
dc.volume25por
dc.number1por
degois.publication.firstPage49por
degois.publication.lastPage72por
degois.publication.issue1por
degois.publication.titleJournal of International Financial Markets, Institutions and Moneypor
dc.date.updated2015-09-25T17:00:37Z-
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