Deposit insurance and risk taking

被引:33
作者
Allen, Franklin [1 ]
Carletti, Elena [2 ]
Leonello, Agnese [2 ]
机构
[1] Univ Penn, Philadelphia, PA 19104 USA
[2] European Univ Inst, Florence, Italy
关键词
public guarantees; credibility; asset values; sovereign default; G18; G38; E58; E61; BANK RUNS; LIQUIDITY; PANICS;
D O I
10.1093/oxrep/grr022
中图分类号
F [经济];
学科分类号
02 ;
摘要
We review the theory of deposit insurance, highlighting the underlying assumptions that were not satisfied during the recent financial crisis and that may have led to serious policy mistakes. In theoretical models, deposit insurance is mostly seen as an equilibrium selection device to avoid panic-based runs. In such a context, it is not drawn on and is thus costless and fully credible. However, if bank runs are linked to a fall in asset values, providing deposit insurance can be very costly and, as the case of Ireland has shown, can even threaten sovereign solvency. This perspective indicates a need for new research on the relation between bank failures, deposit insurance schemes, sovereign default, and currency depreciation, and for reforms of deposit insurance schemes.
引用
收藏
页码:464 / 478
页数:15
相关论文
共 38 条
  • [21] Bank Runs and Institutions: The Perils of Intervention
    Ennis, Huberto M.
    Keister, Todd
    [J]. AMERICAN ECONOMIC REVIEW, 2009, 99 (04) : 1588 - 1607
  • [22] FDIC, 1998, BRIEF HIST DEP INS U
  • [23] Freixas X., 1998, RES ECON, V52, P217, DOI DOI 10.1006/REEC.1998.0164
  • [24] FRIEDMAN MILTON, 1963, MONETARY HIST US 186, P441
  • [25] GARCIA GGH, 2000, IMF OCCASIONAL PAPER, V197
  • [26] BANKING PANICS AND BUSINESS CYCLES
    GORTON, G
    [J]. OXFORD ECONOMIC PAPERS-NEW SERIES, 1988, 40 (04): : 751 - 781
  • [27] Gropp R., 2004, Review of Finance, V8, P571, DOI 10.1093/rof/8.4.571
  • [28] Hovakimian Armen., 2003, Journal of Financial Services Research, V23, P177
  • [29] Deposit insurance and bank risk-taking: Evidence from internal loan ratings
    Ioannidou, Vasso P.
    Penas, Maria Fabiana
    [J]. JOURNAL OF FINANCIAL INTERMEDIATION, 2010, 19 (01) : 95 - 115
  • [30] DISTINGUISHING PANICS AND INFORMATION-BASED BANK RUNS - WELFARE AND POLICY IMPLICATIONS
    JACKLIN, CJ
    BHATTACHARYA, S
    [J]. JOURNAL OF POLITICAL ECONOMY, 1988, 96 (03) : 568 - 592