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Jens Hagendorff

Personal Details

First Name:Jens
Middle Name:
Last Name:Hagendorff
Suffix:
RePEc Short-ID:pha899
[This author has chosen not to make the email address public]

Affiliation

Business School
King's College London

London, United Kingdom
http://www.kcl.ac.uk/business
RePEc:edi:dmkcluk (more details at EDIRC)

Research output

as
Jump to: Working papers Articles Chapters Books

Working papers

  1. Jens Hagendorff & Maria J. Nieto & Larry D. Wall, 2012. "The safety and soundness effects of bank M&A in the EU," FRB Atlanta Working Paper 2012-13, Federal Reserve Bank of Atlanta.
  2. Jens Hagendorff & María J. Nieto & Larry D. Wall, 2012. "The safety and soundness effects of bank M&As in the EU: does prudential regulation have any impact?," Working Papers 1236, Banco de España.
  3. M.F. Thraya & J. Hagendorff, 2010. "Controlling Shareholders and the Acquisition Premiums Paid in European Takeover Bids," Post-Print halshs-00534763, HAL.
  4. Jens Hagendorff & Ignacio Hernando & María J. Nieto & Larry D. Wall, 2010. "What do premiums paid for bank M&As reflect? The case of the European Union," Working Papers 1011, Banco de España.

Articles

  1. Hagendorff, Jens & Nguyen, Duc Duy & Sila, Vathunyoo, 2022. "Does marriage equality promote credit access? Evidence from same-sex marriage laws," Journal of Corporate Finance, Elsevier, vol. 77(C).
  2. Jens Hagendorff & Nhan Le & Duc Duy Nguyen, 2022. "The Walls Have Ears: Local Information Environments and Corporate Fraud," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 54(8), pages 2377-2410, December.
  3. Hagendorff, Jens & Saunders, Anthony & Steffen, Sascha & Vallascas, Francesco, 2021. "The wolves of Wall Street? Managerial attributes and bank risk," Journal of Financial Intermediation, Elsevier, vol. 47(C).
  4. Lim, Ivan & Hagendorff, Jens & Armitage, Seth, 2019. "Is the fox guarding the henhouse? Bankers in the Federal Reserve, bank leverage and risk-shifting," Journal of Corporate Finance, Elsevier, vol. 58(C), pages 478-504.
  5. Hagendorff, Jens & Keasey, Kevin & Vallascas, Francesco, 2018. "When Banks Grow Too Big for Their National Economies: Tail Risks, Risk Channels, and Government Guarantees," Journal of Financial and Quantitative Analysis, Cambridge University Press, vol. 53(5), pages 2041-2066, October.
  6. Duc Duy Nguyen & Jens Hagendorff & Arman Eshraghi, 2018. "Does a CEO’s Cultural Heritage Affect Performance under Competitive Pressure?," The Review of Financial Studies, Society for Financial Studies, vol. 31(1), pages 97-141.
  7. Srivastav, Abhishek & Armitage, Seth & Hagendorff, Jens & King, Tim, 2018. "Better safe than sorry? CEO inside debt and risk-taking in bank acquisitions," Journal of Financial Stability, Elsevier, vol. 36(C), pages 208-224.
  8. Sila, Vathunyoo & Gonzalez, Angelica & Hagendorff, Jens, 2017. "Independent director reputation incentives and stock price informativeness," Journal of Corporate Finance, Elsevier, vol. 47(C), pages 219-235.
  9. Sila, Vathunyoo & Gonzalez, Angelica & Hagendorff, Jens, 2016. "Women on board: Does boardroom gender diversity affect firm risk?," Journal of Corporate Finance, Elsevier, vol. 36(C), pages 26-53.
  10. Duc Duy Nguyen & Jens Hagendorff & Arman Eshraghi, 2016. "Can Bank Boards Prevent Misconduct?," Review of Finance, European Finance Association, vol. 20(1), pages 1-36.
  11. Bjoern Hagendorff & Jens Hagendorff & Kevin Keasey, 2015. "The Impact of Mega‐Catastrophes on Insurers: An Exposure‐Based Analysis of the U.S. Homeowners’ Insurance Market," Risk Analysis, John Wiley & Sons, vol. 35(1), pages 157-173, January.
  12. Jens Hagendorff & Maria J. Nieto, 2015. "The Safety and Soundness Effects of Bank M&A in the EU: Does Prudential Regulation Have any Impact?," European Financial Management, European Financial Management Association, vol. 21(3), pages 462-490, June.
  13. Srivastav, Abhishek & Armitage, Seth & Hagendorff, Jens, 2014. "CEO inside debt holdings and risk-shifting: Evidence from bank payout policies," Journal of Banking & Finance, Elsevier, vol. 47(C), pages 41-53.
  14. Hagendorff, Bjoern & Hagendorff, Jens & Keasey, Kevin & Gonzalez, Angelica, 2014. "The risk implications of insurance securitization: The case of catastrophe bonds," Journal of Corporate Finance, Elsevier, vol. 25(C), pages 387-402.
  15. Bjoern Hagendorff & Jens Hagendorff & Kevin Keasey, 2013. "The Shareholder Wealth Effects of Insurance Securitization: Preliminary Evidence from the Catastrophe Bond Market," Journal of Financial Services Research, Springer;Western Finance Association, vol. 44(3), pages 281-301, December.
  16. Francesco Vallascas & Jens Hagendorff, 2013. "The Risk Sensitivity of Capital Requirements: Evidence from an International Sample of Large Banks," Review of Finance, European Finance Association, vol. 17(6), pages 1947-1988.
  17. Jens Hagendorff & Kevin Keasey, 2012. "The value of board diversity in banking: evidence from the market for corporate control," The European Journal of Finance, Taylor & Francis Journals, vol. 18(1), pages 41-58, January.
  18. Hagendorff, Jens & Hernando, Ignacio & Nieto, Maria J. & Wall, Larry D., 2012. "What do premiums paid for bank M&As reflect? The case of the European Union," Journal of Banking & Finance, Elsevier, vol. 36(3), pages 749-759.
  19. Iain Clacher & Jens Hagendorff, 2012. "Do Announcements About Corporate Social Responsibility Create or Destroy Shareholder Wealth? Evidence from the UK," Journal of Business Ethics, Springer, vol. 106(3), pages 253-266, March.
  20. Hagendorff, Jens & Vallascas, Francesco, 2011. "CEO pay incentives and risk-taking: Evidence from bank acquisitions," Journal of Corporate Finance, Elsevier, vol. 17(4), pages 1078-1095, September.
  21. Vallascas, Francesco & Hagendorff, Jens, 2011. "The impact of European bank mergers on bidder default risk," Journal of Banking & Finance, Elsevier, vol. 35(4), pages 902-915, April.
  22. Paul Kato & Jens Hagendorff, 2010. "Distance to default, subordinated debt, and distress indicators in the banking industry," Accounting and Finance, Accounting and Finance Association of Australia and New Zealand, vol. 50(4), pages 853-870, December.
  23. Jens Hagendorff & Kevin Keasey, 2009. "Post‐merger strategy and performance: evidence from the US and European banking industries," Accounting and Finance, Accounting and Finance Association of Australia and New Zealand, vol. 49(4), pages 725-751, December.
  24. Hagendorff, Jens & Collins, Michael & Keasey, Kevin, 2008. "Investor protection and the value effects of bank merger announcements in Europe and the US," Journal of Banking & Finance, Elsevier, vol. 32(7), pages 1333-1348, July.
  25. Jens Hagendorff & Michael Collins & Kevin Keasey, 2007. "Bank Governance and Acquisition Performance," Corporate Governance: An International Review, Wiley Blackwell, vol. 15(5), pages 957-968, September.
  26. Jens Hagendorff & Michael Collins & Kevin Keasey, 2007. "Bank deregulation and acquisition activity: the cases of the US, Italy and Germany," Journal of Financial Regulation and Compliance, Emerald Group Publishing Limited, vol. 15(2), pages 199-209, May.
  27. Hagendorff, Jens & Hudson, Robert & Keasey, Kevin, 2006. "Electronic trading platforms and the cost-effective distribution of open market option (OMO) pension annuities," International Journal of Information Management, Elsevier, vol. 26(3), pages 187-195.
    RePEc:eme:jfrcpp:13581980710744084 is not listed on IDEAS

Chapters

  1. Duc Duy Nguyen & Jens Hagendorff & Arman Eshraghi, 2016. "When Do Individual Bank Executives Matter for Bank Performance?," Contributions to Economics, in: Stefania P.S. Rossi & Roberto Malavasi (ed.), Financial Crisis, Bank Behaviour and Credit Crunch, edition 1, pages 125-138, Springer.
  2. Jens Hagendorff & Francesco Vallascas, 2012. "CEO Pay and Risk-taking in Banking: The Roles of Bonus Plans and Deferred Compensation in Curbing Bank Risk-taking," Chapters, in: James R. Barth & Chen Lin & Clas Wihlborg (ed.), Research Handbook on International Banking and Governance, chapter 9, Edward Elgar Publishing.

Books

  1. Hagendorff, Jens & Keasey, Kevin & Vallascas, Francesco, 2013. "Size, Risk, and Governance in European Banking," OUP Catalogue, Oxford University Press, number 9780199694891.

More information

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Statistics

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Co-authorship network on CollEc

NEP Fields

NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 5 papers announced in NEP. These are the fields, ordered by number of announcements, along with their dates. If the author is listed in the directory of specialists for this field, a link is also provided.
  1. NEP-BAN: Banking (4) 2010-04-17 2010-05-02 2012-09-30 2012-10-20
  2. NEP-CDM: Collective Decision-Making (1) 2010-11-20
  3. NEP-COM: Industrial Competition (1) 2012-10-20
  4. NEP-EEC: European Economics (1) 2012-10-20
  5. NEP-EUR: Microeconomic European Issues (1) 2010-05-02
  6. NEP-FMK: Financial Markets (1) 2010-05-02
  7. NEP-REG: Regulation (1) 2010-05-02

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