Supplementary Submission to the Financial System Inquiry References

Dale, R. (1996), ‘The Last Barriers Come Down’, Financial Regulation Report, December.

Edwards, F.R. (1993), ‘Financial Markets in Transition – Or the Decline of Commercial Banking’, Changing Capital Markets: Implications for Monetary Policy. A Symposium Sponsored by The Federal Reserve Bank of Kansas City.

Edwards, F.R. and Mishkin, F.S. (1995), ‘The Decline of Traditional Banking: Implications for Financial Stability and Regulatory Policy’, FRBNY Economic Policy Review, July.

Final Report of the Committee of Inquiry: Australian Financial System, September 1981 (Campbell Committee).

Folkerts-Landau, D. and Gerber, P. (1981), ‘What Role for the ECB in Europe's Financial Markets’. Alfred Steinherr, Ed, ‘30 Years of European Monetary Integration’, sponsored by the ECU Banking Association.

Garcia, C. (1996), ‘Deposit Insurance: Obtaining the Benefits and Avoiding the Pitfalls’, IMF Working Paper WP/96/83.

Gray, B.L. (1996), ‘The Role of Disclosure in Bank Supervision’, Seventh Melbourne Money & Finance Conference, November.

Greenspan, A. (1996), Address to the American Bankers Association, 5 March.

Johnston, R.A. (1985), ‘Prudential Supervision of Banks’, Reserve Bank Bulletin, March.

Kaufman, H. (1996), ‘The Impact of Structural Changes on Financial Excesses’, The Bank Credit Analysis, October.

Kyei, A. (1995), ‘Deposit Protection Arrangements: A Survey’, IMF Working Paper WP/95/134, December.

Rajan, R.G. (1996), ‘Why Banks Have a Future: Towards a New Theory of Commercial Banking’, Journal of Applied Corporate Finance, Volume 9, No. 2, Summer 1996.

Santmire, Glenn F. (1996), ‘Are Banks a Thing of the Past?’, Leaders, October/November/December.

Thompson, G.J. (1996), ‘Regulatory Policy Issues in Australia’, Malcolm Edey, Ed, The Future of the Financial System, Proceedings of a Conference, Reserve Bank, July.