Loyola University Chicago

- Navigation -

Loyola University Chicago

Quinlan School of Business

Faculty

George Kaufman

Title/s: John F. Smith, Jr. Professor

Office #: Maguire 566

Phone: 312.915.7075

E-mail: gkaufma@LUC.edu

External Webpage: http://www.luc.edu/faculty/gkaufma/

Degrees

 

Research Interests

Professional & Community Affiliations

Courses Taught

Awards

Selected Publications

Refereed Articles

Kaufman, G. G. “Resolving Insolvent Large Complex Financial Institutions: A Better Way.” The Banking Law Journal. (2011).

Kaufman, G. G. Shadow Financial Regulatory Committee. Journal of Applied Finance. (2011).

Kaufman, G. G., R. Eisenbeis. "Cross-Border Banking and Financial Stability in the EU." Journal of Financial Stability. (2008).

Kaufman, G.G., E. Brewer, L. Wall. "Bank Capital Ratios Across Countries: Why Do They Vary." Journal of Financial Services Research. (2008).

Kaufman, G.G. "Deposit Insurance: The Wrong Policy for Minimizing The Costs of Bank Failures." Journal of Economic Asymmetries. (2007).

Kaufman, G.G. "A Proposal for Efficiently Resolving Out-of-the-Money Swap Positions at Large Insolvent Banks." Journal of Banking Regulation. (2007).

Kaufman, G.G. "Some Further Thoughts About the Road to Safer Banking. Economic Review." Federal Reserve Bank of Atlanta. (2007).

Kaufman, G.G., C. Johnson. "A Bank by Any Other Name..." Economic Perspectives (Federal Reserve Bank of Chicago). (2007).

Kaufman, G.G., & R. Bliss. "U.S. Corporate and Bank Bankruptcy Regimes: A Comparison and Evaluation." Virginia Law and Business Review. (2007).

Kaufman, G.G. "Some Further Thoughts About the Road to Safer Banking." Economic Review (Federal Reserve Bank of Atlanta). (2007).

Kaufman, G.G., R. Bliss. "U.S. Corporate and Bank Insolvency Regimes: An Economic Comparison and Evaluation." Economic Perspectives (Federal Reserve Bank of Chicago). (2006).

Kaufman, G.G., & R. Bliss. "Derivatives and Systemic Risk: Netting, Collateral, and Closeout." Journal of Financial Stability. (2006).

Kaufman, G.G. "Duration: What is all the Disagreement About." Journal of Applied Finance. (2006).

Kaufman, G.G. "Using Efficient Bank Insolvency Resolution to Solve the Deposit Insurance Problem." Journal of Banking Regulation. (2006).

Kaufman, G.G., R. Eisenbeis. "Bank Crisis Resolution and Foreign-Owned Banks." Economic Review (Federal Reserve Bank of Atlanta). (2005).

Book

Kaufman, G. G. The Role of Central Banks in Financial Stability. World Scientific. 2013.

Kaufman, G. G. The Social Value of the Financial Sector: Too Big To Fail or Just Too Big?. World Scientific. 2013.

Malliaris, A., D. Evanoff, G.G. Kaufman.  New Perspectives on Asset Price Bubbles:  Theory, Evidence and Policy. Oxford University Press, 2012.

Malliaris, A., G.G. Kaufman, D. Evanoff.  New Perspectives on Asset Price Bubbles;  An Overview. Eds. A. G. Malliaris, Doug Evanoff and George Kaufman. Oxford: Oxford University Press, 2012. 3-10.

Kaufman, G.G. Macroprudential Regulatory Policies: The New Road to Financial Stability? World Scientific, 2011.

 Kaufman, G.G. New Perspectives on Asset Price Bubbles. Oxford University Press, 2011.

Kaufman, G.G. The International Financial Crisis: Have the Rules of the Game Changed?. World Scientific, 2011.

Bliss, R., G.G. Kaufman. Financial Institutions and Markets - The Financial Crisis:  An Early Retrospective. 2010.

Kaufman, G.G., D. Evanoff, D. Hoelscher. Globalization and Systemic Risk. 2009.

Kaufman, G.G., D. Evanoff, P. Hartmann. The First Credit Market Turmoil of the 21st Century. 2009.

Kaufman, G.G., R. Bliss. Financial Institutions and Markets : 2007-2008-The Year of Crisis. 2009.

Kaufman, G.G., R. Bliss. Financial Institutions and Markets: Current Issues in Financial Markets. 2008.

Kaufman, G.G., D. Evanoff, R. LaBrosse, International Financial Instability: Global Banking and National Regulation. 2007.

Kaufman, G.G., G. Caprio, D. Evanoff, Cross-Border Banking: Regulatory Challenges. 2006.

Kaufman, G.G. and D. Evanoff, Systemic Financial Crises: Resolving Large Bank Insolvencies. 2005.

Monograph

Kaufman, G.G. The Financial Turmoil of 2007-09: Sinners and Their Sins. (2010).

Kaufman, G.G.  A Program for Minimizing the Private and Public Costs of Bank Failures. (2007).

Book Chapters

Kaufman, G.G. "Deposit Insurance Revised Edition". Oxford Press, 2013.

Malliaris, A., G.G. Kaufman, D. Evanoff. "New Perspectives on Asset Price Bubbles: An Overview." New Perspectives on Asset Price Bubbles. Eds. A. G. Malliaris, Doug Evanoff and George Kaufman. Oxford: Oxford University Press, 2012. 3-10. 

Kaufman, G.G. "Commentary on Robert Shiller and Randall Kroszner." Reforming the U.S. Financial Markets. MIT Press, 2011.

Kaufman, G.G. "Living Wills: Putting the Caboose Before the Engine." Managing Risk in the Financial System. Ed. Edward Elgar. 2011.

 Kaufman, G.G. "Resolving Large Complex Insolvent Financial Institutions Within and Across Jurisdictions." Managing Risk in the Financial System. Ed. Edward Elgar. 2011.

Kaufman, G.G. "Runs on Chartered and Shadow Banks: The Mechanics and Implications." Financial Contagion. Wiley, 2011.

Kaufman, G.G. "The World of Unintended Consequences: A Post Mortem on Regulation Q and Prologue for the Future." Financial Institutions, Systems and Markets. Ed. Edward Elgar. 2011.

Bliss, R., G.G. Kaufman. "Basel II Has Been a Costly Distraction on the Road to Minimizing the Societal Cost of Bank Failures and Financial Crises." Financial Institutions and Markets - The Financial Crisis: An Early Retrospective. 2010.

Kaufman, G.G., R. Eisenbeis. "Deposit Insurance.", The Oxford Handbook of Banking. 2010.

Kaufman, G.G., R. Eisenbeis. "The Demise of UK's Northern Rock and Large U.S. Financial Institutions: Public Policy Lessons."  Lessons from the Financial Crisis. 2010.

Malliaris, A., G.G. Kaufman. "The Financial Crisis of 2007-09: Missing Financial Regulation or Absentee Regulators?" Ed. Robert Kolb. Lessons from the Financial Crisis: Causes, Consequences, and Our Economic Future. Hoboken, New Jersey: John Wiley and Sons, Inc., 2010. 337-343.

Kaufman, G.G., A.G. Malliaris. "The Financial Crisis of 2007-09: Missing Financial Regulations or Absentee Regulators." Lessons from the Financial Crisis. 2010.

Kaufman, G.G. "The Financial Turmoil of 2007-XX: Causes, Culprits and Consequences." Financial Crisis Management and Bank Resolution. 2009.

Kaufman, G.G., R. Eisenbeis. "Lessons From The Demise Of The UK's Northern Rock and the US' Countrywide and Indy Mac." The Failure of Northern Rock.  2009.

Kaufman, G.G. "Bank Fragility: Perception and Historical Evidence." Towards A New Framework for Financial Stability.  2009.

Kaufman, G.G., R. Eisenbeis. "Cross-Border Banking: Challenges for Deposit Insurance and Financial Stability in the European Union." Building the Financial Foundations of the Euro Experiences and Challenges 2008.

Kaufman, G.G., C. Johnson. "When a Bank is not a Bank: The Case of Industrial Loan Companies." Financial Institutions and Markets.  2008.

Kaufman, George. G., R. Eisenbeis. "Challenges for Deposit Insurance and Finance Stability in Cross-Border Banking with Emphasis on the European Union." Cross-Border Banking: Regulatory Challenges. World Scientific, 2006.

Kaufman, G.G. & S. Seelig. "Minimizing Post-Resolution Costs in Bank Failures.", Global Banking Issues. Nova Publishers, 2005.

Kaufman, George. G. "The Development and Structure of Financial Markets in Europe." European-American Trade and Financial Alliances. Ed. Edward Elgar. 2005.

Presentation of Refereed Papers

Kaufman, G.G. "Resolving Insolvent Large Complex Financial Institutions: A Better Way."  The Banking Law Journal. 2011.

Kaufman, G.G. "Why Do Capital Ratios Vary Across Large Banks?" Finance-Law Conference. Bacconi University,  Italy. 2008.

Kaufman, G.G.  "Discussant." University of Groningen. Netherlands. 2008.

Kaufman, G.G.  "How US Resolves Bank Insolvencies." Cass Business SchoolLondon, United Kingdom. 2008.

Kaufman, G.G.  "How US Resolves Bank Insolvencies." Cass Business School. London, United Kingdom. 2008.

Kaufman, G.G.  "Bank Vs Corporate Bankruptcy Regimes." University of Zurich. Zurich, Switzerland. 2008.

Kaufman, G.G.  "Discussant." International Banking, Economics and Finance Association. Honolulu, Hawaii. 2008.

Kaufman, G.G. "Discussant." North American Economic and Finance Association. 2008.

Kaufman, G.G. "The Financial Crisis of 2008: Causes, Culprits and Consequences." Coatings Trade Federation. Zurich, Switzerland. 2008.

Kaufman, G.G. "US Bank Bankruptcy Code." London School of Economics. London, United Kingdom. 2008.

Kaufman, G.G. "Why Do Large Bank Capital Ratios Vary Across Countries?" Financial Management Association. Dallas, Texas. 2008.

Kaufman, G.G. "Bank Risks and Bankruptcy." ERM Conference. Chicago, Illinois. 2008.

Kaufman, G.G. "US Bank Bankruptcy Code." Bank of England. London, United Kingdom. 2008.

Kaufman, G.G. "Why Do Large Bank Capital Ratios Vary Across Countries?" Financial Management Association. Dallas, Texas. 2008.

Kaufman, G.G., E. Brewer,  L. Wall. "Bank Capital and Bank Profitability." Federal Reserve Bank of Chicago, Bank Structure Conference. Chicago, Illinois. 2007.

Kaufman, G.G. "Banking Reform: 20 Years Back and 20 Years Forward." Federal Reserve Bank of Atlanta. Atlanta, Georgia. 2007.

Kaufman, G.G., R. Bliss. "Comparison of U.S. Banking and Corporate Bankruptcy Codes." European meetings of Financial Management Association, Barcelona, Spain. 2007.

Kaufman, G.G. "Deposit Insurance: The Wrong Policy for Minimizing the Cost of Bank Failures." Athenian Forum. Chicago, Illinois. 2007.

Kaufman, G.G. "Bank Deposit Insurance is a Second Best Solution." Indiana State University. Terre Haute, Indiana. 2007.

Kaufman, G.G. "Bank Deposit Insurance is a Second Best Solution." University of New Mexico. Albuquerque, New Mexico. 2007.

Kaufman, G.G, C. Johnson. "A Bank by Any Other Name..." Federal Reserve Bank of Chicago. Chicago, Illinois. 2007.

Kaufman, G.G., R. Eisenbeis. "Cross-Border Banking and Challenges for the EU." European meetings of Financial Management Association. Barcelona, Spain. 2007.

Kaufman, G.G., R. Bliss. "Comparing U.S. Bank and Corporate Bankruptcy Codes." Conference at Bacconi University. Milan, Italy. 2007.

Kaufman, G.G., R. Eisenbeis. "Cross-Border Banking and Challenges for the EU." Bank of Finland and Journal of Financial Stability Conference. Helsinki, Finland. 2007.

Kaufman, G.G.  "Lessons from U.S. Banking Crisis." Bank of Estonia. Tallinn, Estonia. 2007.

Kaufman, G.G.  "Cross-Border Banking in the EU."  European Commission Conference. Brussels, Belgium. 2006.

Kaufman, G.G.  "Resolving Large Bank Insolvencies in the EU." European Central Bank - Bank of Spain Conference. Madrid, Spain. 2006.

Kaufman, G.G.  "Basel II: Not the Way to Go." Financial Management Association. Salt Lake City, Utah. 2006.

Kaufman, G.G. "Basel II: Inferior to PCA for U.S." Midwest Finance Association. Chicago, Illinois. 2006.

Kaufman, G.G. "Basel II is a Costly Diversion." FDIC Conference. Washington, District of Columbia. 2006.

 Kaufman, G.G. "Regulation Q: A Retrospective." American Enterprise Institute. Washington, District of Columbia. 2006. 

Kaufman, G.G., R. Bliss. "Comparing Bank and Corporate Bankruptcy Codes." Federal Reserve Bank of Chicago Seminar. Chicago, Illinois. 2006.

Kaufman, G.G., R. Bliss. "Comparing Bank and Corporate Bankruptcy Codes." American Institute for Economic Research. Great Barrington, Massachusetts. 2006.

Kaufman, G.G. "Bank Safety and Soundness: Past, Present, and Future." Federal Reserve Bank of San Francisco Conference. San Francisco, California. 2006.

Kaufman, G.G. "Resolving Large Bank Insolvencies in the EU." European Central Bank - Bank of Spain Conference. Madrid, Spain. 2006.

Kaufman, G.G. "Efficient Resolution of Insolvent Banks." Financial Management Association. Stockholm, Sweden. 2006.

Kaufman, G.G. "Cross-Border Banking in the EU." London School of Economics Conference. London, United Kingdom. 2006.

Kaufman, G.G., R. Eisenbeis. "Cross-Border Banking Challenges." Bank Norway Conference. Oslo, Norway. 2005.

Kaufman, G.G. "Efficient Bank Insolvency Resolution." Taiwan Economics Association Keynote Paper. Taipei, Taiwan. 2005.

Kaufman, G.G. "Efficient Bank Insolvency Resolution and Deposit Insurance." International Association of Deposit Insurers Annual Meeting. Taipei, Taiwan. 2005.

Kaufman, G.G. "Resolving Bank Insolvencies Efficiently." Mexico Deposit Insurance Agency Conference. Mexico City, Mexico. 2005.

Kaufman, G.G., R. Bliss. "Bank and Corporate Insolvency Resolution." Allied Social Science Association Meetings. Boston, Massachusetts. 2005.

Kaufman, G.G. "Basel II Problems." Pacific Basin Finance Conference, Rutgers University. New Brunswick, New Jersey. 2005.

Kaufman, G.G. "Limitations of Basel II." American Institute for Economic Research. Great Barrington, Massachusetts. 2005.

Kaufman, G.G. "Limitations of Basel II Agreement." Conference at London School of Economics. London, United Kingdom. 2005.

Kaufman, G.G., and R. Bliss. "Comparing Bank and Corporate Bankruptcy Codes." Seminar at FDIC. Washington, District of Columbia. 2005.

Kaufman, G.G. "Resolving Bank Insolvencies Efficiently." Central Bank of Guatemala Conference. Guatemala City, Guatemala. 2005.

Kaufman, G.G., R. Eisenbeis. "Deposit Insurance and Cross Border Banking." Federal Reserve Bank of Chicago and World Bank International Conference. Chicago, Illinois. 2005.

Kaufman, G.G. "Too Big to Fail in Banking." Wake Forest University. 2005.

Kaufman, G.G., R. Bliss. "Comparing Bank and Corporate Bankruptcy Codes." North American Economic and Finance Association/Western Economic Association. San Francisco, California. 2005.

Kaufman, G.G., R. Bliss. "Comparing Bank and Corporate Bankruptcy Codes." North American Economic and Finance Association/Western Economic Association. San Francisco, California. 2005.

Kaufman, G.G.,  R. Bliss. "The Economics of Netting at Commercial Banks." Federal Reserve Bank of Chicago Seminar. Chicago, Illinois. 2005.

Loyola

Quinlan School of Business · 820 N. Michigan Ave., Chicago, IL 60611
Phone: 312.915.7057 · quinlan@luc.edu · Privacy Policy

Notice of Non-discriminatory Policy