NATIONAL BUREAU OF ECONOMIC RESEARCH
NATIONAL BUREAU OF ECONOMIC RESEARCH

Pillar 1 versus Pillar 2 under Risk Management

Loriana Pelizzon, Stephen Schaefer

Chapter in NBER book The Risks of Financial Institutions (2006), Mark Carey and René M. Stulz, editors (p. 377 - 416)
Conference held October 22-23, 2004
Published in January 2007 by University of Chicago Press
© 2006 by the National Bureau of Economic Research

download in pdf format
   (350 K)

email paper

This paper is available as PDF (350 K) or via email.

Machine-readable bibliographic record - MARC, RIS, BibTeX

Users who downloaded this chapter also downloaded these:
Pelizzon and Schaefer w11666 Pillar 1 vs. Pillar 2 Under Risk Management
Carey and Stulz Introduction to "The Risks of Financial Institutions"
de Fontnouvelle, Rosengren, and Jordan Implications of Alternative Operational Risk Modeling Techniques
Allen and Gale Systemic Risk and Regulation
O'Brien and Berkowitz Estimating Bank Trading Risk. A Factor Model Approach
 
Publications
Activities
Meetings
Data
People
About

Support
National Bureau of Economic Research, 1050 Massachusetts Ave., Cambridge, MA 02138; 617-868-3900; email: info@nber.org

Contact Us