The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry

The purpose of this study is to examine the wealth effect of the Risk-Based Capital (RBC) regulation on the U.S. commercial banking industry. The RBC plan was first proposed in January 1986, and its final form was announced on July 11, 1988. This plan resulted from dissatisfaction with the old capit...

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Bibliographic Details
Main Author: Zoubi, Marwan M. Sharif (Marwan Mohd Sharif)
Other Authors: Karafiath, Imre, 1955-
Format: Others
Language:English
Published: University of North Texas 1994
Subjects:
Online Access:https://digital.library.unt.edu/ark:/67531/metadc278264/
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spelling ndltd-unt.edu-info-ark-67531-metadc2782642020-07-15T07:09:31Z The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry Zoubi, Marwan M. Sharif (Marwan Mohd Sharif) banking wealth risk-based capital Banks and banking -- United States. Bank capital -- Law and legislation -- United States. The purpose of this study is to examine the wealth effect of the Risk-Based Capital (RBC) regulation on the U.S. commercial banking industry. The RBC plan was first proposed in January 1986, and its final form was announced on July 11, 1988. This plan resulted from dissatisfaction with the old capital regulation, which did not account for asset risk and off-balance sheet activities. The present study hypothesizes that the new regulation restricted bank optimal behavior and, therefore, adversely affected stock prices. The second and third hypotheses suggest that investors used company specific information, Net Tier 1 and Total risk-based capital ratios respectively, in valuing stocks of the affected bank holding companies. Hypotheses four and five suggest that abnormal returns are proportionally related to the levels of Net Tier 1 or Total RBC ratio. Both the traditional event study and the portfolio time-series regression, with RBC ratios (Net Tier 1 or Total) as the weight factors, are used in this study. University of North Texas Karafiath, Imre, 1955- Brown, Robert William Cole, C. Steven 1994-08 Thesis or Dissertation vii, 140 leaves Text call-no: 379 N81d no.4011 untcat: b1824508 local-cont-no: 1002720766-zoubi https://digital.library.unt.edu/ark:/67531/metadc278264/ ark: ark:/67531/metadc278264 English United States Public Copyright Copyright is held by the author, unless otherwise noted. All rights reserved. Zoubi, Marwan M. Sharif (Marwan Mohd Sharif)
collection NDLTD
language English
format Others
sources NDLTD
topic banking
wealth
risk-based capital
Banks and banking -- United States.
Bank capital -- Law and legislation -- United States.
spellingShingle banking
wealth
risk-based capital
Banks and banking -- United States.
Bank capital -- Law and legislation -- United States.
Zoubi, Marwan M. Sharif (Marwan Mohd Sharif)
The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry
description The purpose of this study is to examine the wealth effect of the Risk-Based Capital (RBC) regulation on the U.S. commercial banking industry. The RBC plan was first proposed in January 1986, and its final form was announced on July 11, 1988. This plan resulted from dissatisfaction with the old capital regulation, which did not account for asset risk and off-balance sheet activities. The present study hypothesizes that the new regulation restricted bank optimal behavior and, therefore, adversely affected stock prices. The second and third hypotheses suggest that investors used company specific information, Net Tier 1 and Total risk-based capital ratios respectively, in valuing stocks of the affected bank holding companies. Hypotheses four and five suggest that abnormal returns are proportionally related to the levels of Net Tier 1 or Total RBC ratio. Both the traditional event study and the portfolio time-series regression, with RBC ratios (Net Tier 1 or Total) as the weight factors, are used in this study.
author2 Karafiath, Imre, 1955-
author_facet Karafiath, Imre, 1955-
Zoubi, Marwan M. Sharif (Marwan Mohd Sharif)
author Zoubi, Marwan M. Sharif (Marwan Mohd Sharif)
author_sort Zoubi, Marwan M. Sharif (Marwan Mohd Sharif)
title The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry
title_short The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry
title_full The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry
title_fullStr The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry
title_full_unstemmed The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry
title_sort wealth effect of the risk-based capital regulation on the commercial banking industry
publisher University of North Texas
publishDate 1994
url https://digital.library.unt.edu/ark:/67531/metadc278264/
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