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Banking Law and Regulation

Cato Studies


"Would a Stricter Fed Policy and Financial Regulation Have Averted the Financial Crisis?," by Jagadeesh Gokhale and Peter Van Doren, Policy Analysis no. 648, October 8, 2009

"Bright Lines and Bailouts: To Bail or Not To Bail, That Is the Question," by Vern McKinley and Gary Gegenheimer, Policy Analysis no. 637, April 20, 2009

"How Did We Get into This Financial Mess?," by Lawrence H. White, Briefing Paper no. 110, November 18, 2008

"Freddie Mac and Fannie Mae: An Exit Strategy for the Taxpayer," by Arnold Kling, Briefing Paper no. 106, September 8, 2008

"FASB: Making Financial Statements Mysterious," by T.J. Rodgers, Briefing Paper no. 105, August 19, 2008

"The Quality of Corporate Financial Statements and Their Auditors before and after Enron," by George Benston, Policy Analysis no. 497, November 6, 2003

"The Uses and Abuses of Structured Finance," by Barbara Kavanagh, Policy Analysis no. 479, July 29, 2003

"Empire of the Sun: An Economic Interpretation of Enron's Energy Business," by Christopher Culp and Steve H. Hanke, Policy Analysis no. 470, February 20, 2003

"Accounting at Energy Firms after Enron: Is the "Cure" Worse Than the "Disease"?," by Richard Bassett and Mark Storrie, Policy Analysis no. 469, February 12, 2003

"Corporate Accounting: Congress and FASB Ignore Business," by T.J. Rodgers, Briefing Paper no. 77, October 25, 2002

"International Banking Regulation: Where's the Market Discipline in Basel II?," by L. Jacobo Rodríguez, Policy Analysis no. 455, October 15, 2002

"Did Enron Pillage California?," by Jerry Taylor and Peter Van Doren, Briefing Paper no. 72, August 22, 2002

"Online Travel Services: The Antitrust Assault on Orbitz--and on Consumers," by James V. DeLong, Policy Analysis no. 441, June 4, 2002

"FDIC Reform: Don't Put Taxpayers Back at Risk," by George G. Kaufman, Policy Analysis no. 432, April 16, 2002

"The Antitrust Terrible 10: Why the Most Reviled "Anti-competitive" Business Practices Can Benefit Consumers in the New Economy," by Clyde Wayne Crews Jr., Policy Analysis no. 405, June 28, 2001

"Microsoft's Appealing Case," by Robert A. Levy and Alan Reynolds, Policy Analysis no. 385, November 9, 2000

"Microsoft's "Applications Barrier to Entry:" The Missing 70,000 Programs," by Richard B. McKenzie, Policy Analysis no. 380, August 31, 2000

"Securities Markets Regulation: Time to Move to a Market-Based Approach," by Dale Oesterle, Policy Analysis no. 374, June 21, 2000

"Constitutional and Antitrust Violations of the Multistate Tobacco Settlement," by Thomas C. O'Brien, Policy Analysis no. 371, May 18, 2000

"The Community Reinvestment Act: Looking for Discrimination That Isn't There," by George Benston, Policy Analysis no. 354, October 6, 1999

"Microsoft Redux: Anatomy of a Baseless Lawsuit," by Robert A. Levy, Policy Analysis no. 352, September 30, 1999

"Too Big to Fail? Long-Term Capital Management and the Federal Reserve," by Kevin Dowd, Briefing Paper no. 52, September 23, 1999

"Bank Regulation: Will Regulators Catch Up with the Market?," by Randall S. Kroszner, Briefing Paper no. 45, March 12, 1999

"Dismal Science Fictions: Network Effects, Microsoft, and Antitrust Speculation," by Stan Liebowitz and Stephen E. Margolis, Policy Analysis no. 324, October 27, 1998

"The Government's War on Mergers: The Fatal Conceit of Antitrust Policy," by William F. Shughart II, Policy Analysis no. 323, October 22, 1998

"Microsoft and the Browser Wars: Fit to Be Tied," by Robert A. Levy, Policy Analysis no. 296, February 19, 1998

"10 Myths About Financial Derivatives," by Thomas F. Siems, Policy Analysis no. 283, September 11, 1997

"How Rent Control Drives Out Affordable Housing," by William Tucker, Policy Analysis no. 274, May 21, 1997

"Polluting Our Principles: Environmental Prosecutions and the Bill of Rights," by Tim Lynch, Policy Analysis no. 223, April 20, 1995

"Judging the 1991 Reform Effort: Do U.S. Banks Have a Future?," by Catherine England, Policy Analysis no. 149, February 12, 1991

"Market Squabbles: SEC v. CFTC," by Charles M. Seeger, Briefing Paper no. 10, June 13, 1990

"SEC's Insider Trading Proposal: Good Politics, Bad Policy," by Jonathan R. Macey, Policy Analysis no. 101, March 31, 1988

"The Case for Free Banking: Then and Now," by George A. Selgin, Policy Analysis no. 60, October 21, 1985

"Private Deposit Insurance: Stabilizing the Banking System," by Catherine England, Policy Analysis no. 54, June 21, 1985

"Antitrust Policy: Reform or Repeal?," by Dominick Armentano, Policy Analysis no. 21, January 18, 1983

"The Savings & Loan Industry: Averting Collapse," by Joe Stilwell, Policy Analysis no. 7, February 15, 1982



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