An Adverse-Selection Model of Bank Asset and Liability Management with Implications for the Transmission of Monetary Policy
- 1 January 1998
- journal article
- Published by Wiley in The RAND Journal of Economics
- Vol. 29 (3) , 466
- https://doi.org/10.2307/2556100
Abstract
No abstract availableAll Related Versions
This publication has 0 references indexed in Scilit: