Access Statistics for Beverly Hirtle

Author contact details at EconPapers.

Working Paper File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A simple model of bank loan commitments and monetary policy 0 0 0 1 0 0 0 358
Assessing financial stability: the Capital and Loss Assessment under Stress Scenarios (CLASS) model 0 0 3 29 0 5 17 95
Bank holding company dividends and repurchases during the financial crisis 0 0 0 29 1 6 12 76
Bank loan commitments and the transmission of monetary policy 0 0 0 0 0 1 3 140
Credit derivatives and bank credit supply 0 0 2 542 3 7 20 1,711
Default and liquidity risk in the junk bond market 0 0 0 1 1 1 3 1,035
Derivatives, Portfolio Composition and Bank Holding Company Interest Rate Risk Exposure 0 0 1 590 2 6 7 2,005
Evaluating the information in the Federal Reserve stress tests 0 0 4 61 1 5 25 134
Financial market evolution and the interest sensitivity of output 0 0 0 0 0 0 3 153
How do stock repurchases affect bank holding company performance? 0 0 0 241 1 1 2 1,350
Macroprudential supervision of financial institutions: lessons from the SCAP 1 2 9 130 2 5 15 319
Parsing the content of bank supervision 0 0 0 27 1 3 9 56
Public disclosure and risk-adjusted performance at bank holding companies 0 0 0 138 2 4 10 554
Regulatory minimum capital standards for banks: current status and future prospects 0 0 0 0 0 0 3 9
Remarks at the Economic Press Briefing on Homeownership and Housing Wealth, Federal Reserve Bank of New York, New York City 0 0 1 15 1 1 5 8
Stock market reaction to financial statement certification by bank holding company CEOs 0 0 0 129 3 4 5 1,218
Structural and cyclical macroprudential objectives in supervisory stress testing: remarks at The Effects of Post-Crisis Banking Reforms, Federal Reserve Bank of New York, New York City 1 1 2 40 1 1 2 9
Supervising large, complex financial companies: what do supervisors do? 0 1 1 15 0 1 6 50
Supervisory stress tests 0 1 12 76 0 6 27 117
The impact of network size on bank branch performance 1 2 3 693 3 8 29 2,931
The impact of supervision on bank performance 3 4 11 51 13 31 55 133
The implicit liabilities of the Pension Benefit Guaranty Corporation 0 0 0 0 1 2 4 217
The past and future of supervisory stress testing design: remarks at the 2018 Federal Reserve Stress Testing Research Conference, Federal Reserve Bank of Boston 1 1 11 16 2 3 23 29
The return to retail and the performance of U.S. banks 3 3 8 209 8 9 19 577
Wage linkages in union bargaining settlements 0 0 0 0 0 0 2 194
Total Working Papers 10 15 68 3,033 46 110 306 13,478


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Assessing financial stability: The Capital and Loss Assessment under Stress Scenarios (CLASS) model 0 0 1 22 2 7 19 80
Bank capital requirements for market risk: the internal models approach 0 0 4 392 2 3 17 1,027
Bank holding company capital ratios and shareholder payouts 1 1 1 85 3 4 7 464
Commentary on 3 papers on issues in value-at-risk modeling and evaulation 0 0 0 23 0 0 0 67
Credit derivatives and bank credit supply 0 0 7 282 0 4 28 751
Derivatives, Portfolio Composition, and Bank Holding Company Interest Rate Risk Exposure 0 0 1 54 1 3 6 181
Estimating the funding gap of the Pension Benefit Guaranty Corporation 0 0 1 7 2 2 10 42
Evaluating the information in the federal reserve stress tests 1 2 8 25 5 10 38 90
Factors affecting the competitiveness of internationally active financial institutions 0 0 3 41 1 2 10 192
Financial market evolution and the interest sensitivity of output 0 0 1 4 1 2 7 38
Public disclosure and risk-adjusted performance at bank holding companies 0 0 1 2 1 2 11 33
Stock Market Reaction to Financial Statement Certification by Bank Holding Company CEOs 0 0 3 23 0 0 4 106
Stock repurchases and bank holding company performance 0 1 2 25 1 2 4 90
Supervising large, complex financial institutions: what do supervisors do? 1 1 4 8 3 4 14 32
Supervisory Stress Tests 0 0 4 36 2 2 12 94
Supervisory information and the frequency of bank examinations 0 1 4 96 3 7 24 368
The challenges of risk management in diversified financial companies 0 0 0 0 8 18 38 965
The challenges of risk management in diversified financial companies 0 0 2 715 2 4 21 2,312
The changing financial structure: challenges for supervisors and risk managers 0 0 0 87 0 0 0 325
The evolution of U.S. bank branch networks: growth, consolidation, and strategy 0 0 0 295 1 1 2 1,157
The growth of the financial guarantee market 0 0 1 52 2 2 5 226
The impact of network size on bank branch performance 3 4 6 87 7 14 23 289
The return to retail and the performance of US banks 1 1 1 94 4 5 12 272
The role of retail banking in the U.S. banking industry: risk, return, and industry structure 0 0 0 151 1 2 13 582
Trends in financial market concentration and their implications for market stability 1 2 3 140 4 9 19 515
Using credit risk models for regulatory capital: issues and options 0 0 0 285 0 1 1 891
What market risk capital reporting tells us about bank risk 0 0 0 173 0 1 6 705
Total Journal Articles 8 13 58 3,204 56 111 351 11,894


Statistics updated 2019-11-03