Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G21: Banks; Other Depository Institutions; Micro Finance Institutions; Mortgages
2016
- Tsvetelina Nedialkova-Shtereva, 2016, "Characteristic features in setting up the marketing mix, position and segments of the banking sector," Economic Thought journal, Bulgarian Academy of Sciences - Economic Research Institute, issue 3, pages 103-119.
- Lutz G. Arnold & Benedikt Booker & Gregor Dorfleitner & Michaela Röhe, 2016, "Refinancing MFIs with Market Power: Theory and Evidence," Working Papers, Bavarian Graduate Program in Economics (BGPE), number 162, Jan.
- Kenjiro Hori & Jorge Martin Ceron, 2016, "Removing Moral Hazard and Agency Costs in Banks: Beyond CoCo Bonds," Birkbeck Working Papers in Economics and Finance, Birkbeck, Department of Economics, Mathematics & Statistics, number 1603, Feb.
- Antonio Cortina & Santiago Fernandez de Lis, 2016, "El modelo de negocio de los bancos espanoles en America Latina," Working Papers, BBVA Bank, Economic Research Department, number 16/03, Feb.
- Alfonso Ugarte, 2016, "Long and short-run components in explanatory variables and different panel-data estimates," Working Papers, BBVA Bank, Economic Research Department, number 16/10, May.
- Patricia Palhau Mora & Michael Januska, 2016, "On the Nexus of Monetary Policy and Financial Stability: Is the Financial System More Resilient?," Discussion Papers, Bank of Canada, number 16-12, DOI: 10.34989/sdp-2016-12.
- Héctor Pérez Saiz & Gabriel Xerri, 2016, "Credit Risk and Collateral Demand in a Retail Payment System," Discussion Papers, Bank of Canada, number 16-16, DOI: 10.34989/sdp-2016-16.
- Corey Garriott & Kyle Gray, 2016, "Canadian Repo Market Ecology," Discussion Papers, Bank of Canada, number 16-8, DOI: 10.34989/sdp-2016-8.
- Fuchun Li & Héctor Pérez Saiz, 2016, "Measuring Systemic Risk Across Financial Market Infrastructures," Staff Working Papers, Bank of Canada, number 16-10, DOI: 10.34989/swp-2017-10.
- Toni Ahnert & Kartik Anand & Prasanna Gai & James Chapman, 2016, "Asset Encumbrance, Bank Funding and Financial Fragility," Staff Working Papers, Bank of Canada, number 16-16, DOI: 10.34989/swp-2017-16.
- Leo de Haan & Maarten van Oordt, 2016, "Timing of Banks’ Loan Loss Provisioning During the Crisis," Staff Working Papers, Bank of Canada, number 16-27, DOI: 10.34989/swp-2017-27.
- Miguel Ampudia & Michael Ehrmann, 2016, "Financial Inclusion—What’s it Worth?," Staff Working Papers, Bank of Canada, number 16-30, DOI: 10.34989/swp-2017-30.
- H. Evren Damar & Adi Mordel, 2016, "International Banking and Cross-Border Effects of Regulation: Lessons from Canada," Staff Working Papers, Bank of Canada, number 16-34, DOI: 10.34989/swp-2017-34.
- Radoslav Raykov, 2016, "To Share or Not to Share? Uncovered Losses in a Derivatives Clearinghouse," Staff Working Papers, Bank of Canada, number 16-4, DOI: 10.34989/swp-2017-4.
- Thibaut Duprey, 2016, "Bank Screening Heterogeneity," Staff Working Papers, Bank of Canada, number 16-56, DOI: 10.34989/swp-2017-56.
- Jose Fique, 2016, "A Microfounded Design of Interconnectedness-Based Macroprudential Policy," Staff Working Papers, Bank of Canada, number 16-6, DOI: 10.34989/swp-2017-6.
- Teodora Paligorova & João Santos, 2016, "Non-Bank Investors and Loan Renegotiations," Staff Working Papers, Bank of Canada, number 16-60, DOI: 10.34989/swp-2017-60.
- Cameron MacDonald & Maarten van Oordt & Robin Scott, 2016, "Implementing Market-Based Indicators to Monitor Vulnerabilities of Financial Institutions," Staff Analytical Notes, Bank of Canada, number 16-5, DOI: 10.34989/san-2016-5.
- Sergio Rubens Stancato de Souza & Thiago Christiano Silva & Benjamin Miranda Tabak & Solange Maria Guerra, 2016, "Evaluating Systemic Risk using Bank Default Probabilities in Financial Networks," Working Papers Series, Central Bank of Brazil, Research Department, number 426, Apr.
- Gaston Giordana & Jean-Baptiste Gossé, 2016, "La provision forfaitaire permet-elle de réduire la procyclicalité de l'activité bancaire au Luxembourg ?," BCL working papers, Central Bank of Luxembourg, number 101, Oct.
- Hasan DINCER & Serhat YUKSEL & Mustafa Tevfik KARTAL, 2016, "Evaluating the Corporate Governance Based Performance of Participation Banks in Turkey with the House of Quality Using an Integrated Hesitant Fuzzy MCDM," Journal of BRSA Banking and Financial Markets, Banking Regulation and Supervision Agency, volume 10, issue 1, pages 9-33.
- Elmas YALDIZ HANEDAR, 2016, "Does a Competitive Banking Sector Promote Access to Credit by Firms?," Journal of BRSA Banking and Financial Markets, Banking Regulation and Supervision Agency, volume 10, issue 2, pages 9-27.
- Javier Mencía & Jesús Saurina, 2016, "Macroprudential policy: objectives, instruments and indicators," Occasional Papers, Banco de España, number 1601, Jan.
- Christian Castro & Ángel Estrada & Jorge Martínez, 2016, "The countercyclical capital buffer in spain: an analysis of key guiding indicators," Working Papers, Banco de España, number 1601, Jan.
- Luna Azahara Romo González, 2016, "The drivers of European banks’ US dollar debt issuance: opportunistic funding in times of crisis?," Working Papers, Banco de España, number 1611, Jul.
- Bing Xu & Adrian van Rixtel & Honglin Wang, 2016, "Do banks extract informational rents through collateral?," Working Papers, Banco de España, number 1616, Aug.
- Adrian van Rixtel & Luna Romo González & Jing Yang, 2016, "The determinants of long-term debt issuance by European banks: evidence of two crises," Working Papers, Banco de España, number 1621, Oct.
- Emilia Bonaccorsi di Patti & Roberto Felici & Federico Maria Signoretti, 2016, "Euro area significant banks: main differences and recent performance," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 306, Jan.
- Luisa Carpinelli & Giuseppe Cascarino & Silvia Giacomelli & Valerio Vacca, 2016, "The management of non-performing loans: a survey among the main Italian banks," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 311, Feb.
- Giacomo Ricotti & Marco Burroni & Vincenzo Cuciniello & Elena Padovani & Elena Pisano & Stefania Zotteri, 2016, "The tax burden on banks over the period 2006-2014," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 314, Feb.
- Danilo Liberati & Valerio Vacca, 2016, "With (more than) a little help from my bank. Loan-to-value ratios and access to mortgages in Italy," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 315, Feb.
- Federica Ciocchetta & Wanda Cornacchia & Roberto Felici & Michele Loberto, 2016, "Assessing financial stability risks from the real estate market in Italy," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 323, Mar.
- Maria Lucia Stefani & Valerio Vacca & Daniele Coin & Silvia Del Prete & Cristina Demma & Maddalena Galardo & Iconio Garri & Sauro Mocetti & Dario Pellegrino, 2016, "When local banks lend to local communities: evidence from Italy (2007-2014)," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 324, Mar.
- Michele Lanotte & Giacomo Manzelli & Anna Maria Rinaldi & Marco Taboga & Pietro Tommasino, 2016, "Easier said than done? Reforming the prudential treatment of banks� sovereign exposures," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 326, Apr.
- Federico Barbiellini Amidei & Riccardo De Bonis & Miria Rocchelli & Alessandra Salvio & Massimiliano Stacchini, 2016, "Monetary aggregates in Italy since 1861: evidence from a new dataset," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 328, Apr.
- Massimiliano Affinito & Giorgio Albareto & Raffaele Santioni, 2016, "Purchases of sovereign debt securities by Italian banks during the crisis: the role of balance-sheet conditions," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 330, Jun.
- Annalisa Bucalossi & Antonio Scalia, 2016, "Leverage ratio, central bank operations and repo market," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 347, Jul.
- Alessandro Notarpietro & Lisa Rodano, 2016, "The evolution of bad debts in Italy during the global financial crisis and the sovereign debt crisis: a counterfactual analysis," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 350, Sep.
- Simone Auer & Emidio Cocozza & Andrea COlabella, 2016, "The financial systems in Russia and Turkey: recent developments and challenges," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 358, Oct.
- Massimo Coletta & Raffaele Santioni, 2016, "Bank bonds in Italian households� portfolios," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 359, Oct.
- Pierluigi Bologna & Anatoli Segura, 2016, "Integrating stress tests within the Basel III capital framework: a macroprudentially coherent approach," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 360, Oct.
- Steve Bond & Kyung Yeon Ham & Giorgia Maffini & Andrea Nobili & Giacomo Ricotti, 2016, "Regulation, tax and capital structure: evidence from administrative data on Italian banks," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 361, Oct.
- Ugo Albertazzi & Alessandro Notarpietro & Stefano Siviero, 2016, "An inquiry into the determinants of the profitability of Italian banks," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 364, Oct.
- Sandra Natoli & Paolo Piselli & Ivan Triglia & Francesco Vercelli, 2016, "L'Archivio Storico del Credito in Italia," Quaderni di storia economica (Economic History Working Papers), Bank of Italy, Economic Research and International Relations Area, number 36, Feb.
- Sara Cecchetti & Marco Rocco & Laura Sigalotti, 2016, "Contagion and fire sales in banking networks," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1050, Jan.
- Valentina Michelangeli & Enrico Sette, 2016, "How does bank capital affect the supply of mortgages? Evidence from a randomized experiment," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1051, Feb.
- Raffaello Bronzini & Alessio D'Ignazio, 2016, "Bank internationalization and firm exports: evidence from matched firm-bank data," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1055, Feb.
- Guglielmo Barone & Guido de Blasio & Sauro Mocetti, 2016, "The real effects of credit crunch in the Great Recession: evidence from Italian provinces," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1057, Feb.
- Lorenzo Burlon & Davide Fantino & Andrea Nobili & Gabriele Sene, 2016, "The quantity of corporate credit rationing with matched bank-firm data," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1058, Feb.
- Edoardo Rainone & Francesco Vacirca, 2016, "Estimating the money market microstructure with negative and zero interest rates," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1059, Feb.
- Anatoli Segura & Javier Suarez, 2016, "How excessive is banks’ maturity transformation?," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1065, Apr.
- Ines Buono & Sara Formai, 2016, "The heterogeneous response of domestic sales and exports to bank credit shocks," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1066, Jun.
- Davide Arnaudo & Giacinto Micucci & Massimiliano Rigon & Paola Rossi, 2016, "Should I stay or should I go? Firms’ mobility across banks in the aftermath of financial turmoil," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1086, Oct.
- Michele Loberto & Francesco Zollino, 2016, "Housing and credit markets in Italy in times of crisis," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1087, Oct.
- Giorgio Albareto & Roberto Felici & Enrico Sette, 2016, "Does credit scoring improve the selection of borrowers and credit quality?," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1090, Oct.
- Ugo Albertazzi & Margherita Bottero & Leonardo Gambacorta & Steven Ongena, 2016, "Asymmetric information and the securitization of SME loans," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1091, Dec.
- David Loschiavo, 2016, "Household debt and income inequality: evidence from Italian survey data," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1095, Dec.
- Nuguer Victoria & Cuadra Gabriel, 2016, "Risky Banks and Macroprudential Policy for Emerging Economies," Working Papers, Banco de México, number 2016-06, Jun.
- Alexander Guarín-López & Ignacio Lozano-Espitia, 2016, "Credit Funding and Banking Fragility: An Empirical Analysis for Emerging Economies," Borradores de Economia, Banco de la Republica de Colombia, number 931, Mar, DOI: 10.32468/be.931.
- Felipe Clavijo Ramírez, 2016, "Determinantes de la morosidad de la cartera de microcrédito en Colombia," Borradores de Economia, Banco de la Republica de Colombia, number 951, Jul, DOI: 10.32468/be.951.
- Jose E. Gomez-Gonzalez & Ali M. Kutan & Jair N. Ojeda-Joya & María Camila Ortiz, 2016, "The Bank Lending Channel of Monetary Policy: Does the Financial Structure of Banks Matter," Borradores de Economia, Banco de la Republica de Colombia, number 953, Aug, DOI: 10.32468/be.953.
- Oscar Valencia & Daniel Osorio & Pablo Garay, 2016, "The Role of Capital Requirements and Credit Composition in the Transmission of Macroeconomic and Financial Shocks," Borradores de Economia, Banco de la Republica de Colombia, number 954, Aug, DOI: 10.32468/be.954.
- Ana María Iregui-Bohórquez & Ligia Alba Melo-Becerra & María Teresa Ramírez-Giraldo & Ana María Tribín-Uribe, 2016, "Determinantes del acceso al crédito formal e informal: Evidencia de los hogares de ingresos medios y bajos en Colombia," Borradores de Economia, Banco de la Republica de Colombia, number 956, Aug, DOI: 10.32468/be.956.
- Carlos León & José Fernando Moreno & Jorge Cely, 2016, "Whose Balance Sheet is this? Neural Networks for Banks’ Pattern Recognition," Borradores de Economia, Banco de la Republica de Colombia, number 959, Sep, DOI: 10.32468/be.959.
- Ana María Iregui-Bohórquez & Ligia Alba Melo-Becerra & María Teresa Ramírez-Giraldo & Ana María Tribín-Uribe, 2016, "Ahorro de los hogares de ingresos medios y bajos de las zonas urbana y rural en Colombia," Borradores de Economia, Banco de la Republica de Colombia, number 960, Sep, DOI: 10.32468/be.960.
- Felipe Clavijo Ramírez & Jorge Luis Hurtado Guarín & Oscar Fernando Jaulín Méndez & Javier Pirateque Niño, 2016, "El requerimiento de capital contracíclico en Colombia," Borradores de Economia, Banco de la Republica de Colombia, number 963, Oct, DOI: 10.32468/be.963.
- Imran Riaz Malik & Attaullah Shah, 2016, "Resumption of Single Stock Futures (SSFs) with Stringent Regulations and their Impact on the Risk Characteristics of the Underlying Stocks," Business & Economic Review, Institute of Management Sciences, Peshawar, Pakistan, volume 8, issue 2, pages 1-22, October, DOI: dx.doi.org/10.22547/BER/8.2.1.
- Naimat U Khan & Sajjad Khan, 2016, "Weak Form of Efficient Market Hypothesis: Evidence from Pakistan," Business & Economic Review, Institute of Management Sciences, Peshawar, Pakistan, volume 8, issue SE, pages 1-18, March, DOI: dx.doi.org/10.22547/BER/8.SE.1.
- Khurshid Djalilov & Jens Hölscher, 2016, "Comparative Analyses Of The Banking Environment In Transition Countries," Economic Annals, Faculty of Economics and Business, University of Belgrade, volume 61, issue 208, pages 7-26, January -.
- Harguindeguy P. & Point E., 2016, "Le financement des professionnels de l’immobilier par les banques françaises au premier semestre de 2015," Analyse et synthèse, Banque de France, number 58.
- Point E., 2016, "Analyse de l’évolution sur longue période des portefeuilles de crédits à la clientèle non bancaire," Analyse et synthèse, Banque de France, number 61.
- Adenot C. & Avisoa E. & Guilmo J. & Offner J. & Point E., 2016, "La situation des grands groupes bancaires français à fin 2015," Analyse et synthèse, Banque de France, number 63.
- Harguindeguy, P. & Point, E., 2016, "Le financement des professionnels de l’immobilier par les banques françaises au deuxième semestre de 2015," Analyse et synthèse, Banque de France, number 68.
- Ginéfri, S. & Point, E., 2016, "Le financement de l’habitat en 2015," Analyse et synthèse, Banque de France, number 71.
- Harguindeguy, P. & Point, E., 2016, "Le financement des professionnels de l’immobilier par les banques françaises au premier semestre de 2016," Analyse et synthèse, Banque de France, number 76.
- Mattia Girotti, 2016, "How Monetary Policy Changes Bank Liability Structure and Funding Cost," Working papers, Banque de France, number 590.
- Alejandro Bernales & M. di Filippo, 2016, "The Information Contained in Money Market Interactions: Unsecured vs. Collateralized Lending," Working papers, Banque de France, number 598.
- Matthieu Bussière & Julia Schmidt & Frédéric Vinas, 2016, "International Banking and Cross-Border Effects of Regulation: Lessons from France," Working papers, Banque de France, number 599.
- Olivier de Bandt & Mohammed Chahad, 2016, "A DGSE Model to Assess the Post-Crisis Regulation of Universal Banks," Working papers, Banque de France, number 602.
- Adrian Penalver, 2016, "Optimal Monitoring of Long-Term Loan Contracts," Working papers, Banque de France, number 613.
- Avouyi-Dovi, S. & Lecat, R. & O’Donnell, C. & Bureau, B. & Villetelle, J.-P., 2016, "Les crédits aux entreprises à taux particulièrement bas en France," Bulletin de la Banque de France, Banque de France, issue 203, pages 5-18.
- Burdeau, E. & Potier, L., 2016, "Crédits à l’habitat : taux d’intérêt, durée des crédits et profil des emprunteurs," Bulletin de la Banque de France, Banque de France, issue 206, pages 5-18.
- F. Vinas, 2016, "The real effects of universal banking on firms’ investment: Micro-evidence from 2004-2009," Débats Economiques et financiers, Banque de France, number 21.
- I. Argimon & M. Dietsch & A. Estrada, 2016, "Prudential filters, portfolio composition and capital ratios in European banks," Débats Economiques et financiers, Banque de France, number 22.
- M. Dietsch & K. Düllmann & H. Fraisse & P. Koziol & C. Ott, 2016, "Support for the SME Supporting Factor - Multi-country empirical evidence on systematic risk factor for SME loans," Débats Economiques et financiers, Banque de France, number 23.
- O. de Bandt & B. Camara & A. Maitre & P. Pessarossi, 2016, "Optimal capital, regulatory requirements and bank performance in times of crisis: Evidence from France," Débats Economiques et financiers, Banque de France, number 24.
- E. Avisoa, 2016, "European banks’ technical efficiency and performance: do business models matter? The case of European co-operatives banks," Débats Economiques et financiers, Banque de France, number 25.
- S. Avouyi-Dovi. & R. Lecat. & C. O’Donnell. & B. Bureau. & J.-P. Villetelle., 2016, "Corporate loans at particularly low rates in France," Quarterly selection of articles - Bulletin de la Banque de France, Banque de France, issue 41, pages 27-39, spring.
- Paolo Emilio Mistrulli & Leonardo Gambacorta & Patrick Bolton & Xavier Freixas, 2015, "Relationship and Transaction Lending in a Crisis," Working Papers, Barcelona School of Economics, number 714, Sep.
- Marcela Eslava & Xavier Freixas, 2016, "Public Development Banks and Credit Market Imperfections," Working Papers, Barcelona School of Economics, number 874, Feb.
- Joachim Jungherr, 2016, "Bank Opacity and Financial Crises," Working Papers, Barcelona School of Economics, number 882, Feb.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & José M. Marín & Ozlem Akin & José-Luis Peydró, 2016, "Anticipating the Financial Crisis: Evidence from Insider Trading in Banks," Working Papers, Barcelona School of Economics, number 906, May.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & Nicholas S. Coleman & Ozlem Akin & José-Luis Peydró & Christian Fons-Rosen, 2016, "Political Connections: Evidence From Insider Trading Around TARP," Working Papers, Barcelona School of Economics, number 935, Oct.
- Luca Nocciola & Dawid Zochowski, 2016, "Cross-border spillovers from macroprudential policy in the euro area," BIS Papers chapters, Bank for International Settlements, in: Bank for International Settlements, "Macroprudential policy".
- Horvath, Roman & Seidler, Jakub & Weill, Laurent, 2016, "How bank competition influences liquidity creation," Economic Modelling, Elsevier, volume 52, issue PA, pages 155-161, DOI: 10.1016/j.econmod.2014.11.032.
- Kato, Ryo & Tsuruga, Takayuki, 2016, "The safer, the riskier: A model of financial instability and bank leverage," Economic Modelling, Elsevier, volume 52, issue PA, pages 71-77, DOI: 10.1016/j.econmod.2015.04.016.
- Havranek, Tomas & Irsova, Zuzana & Lesanovska, Jitka, 2016, "Bank efficiency and interest rate pass-through: Evidence from Czech loan products," Economic Modelling, Elsevier, volume 54, issue C, pages 153-169, DOI: 10.1016/j.econmod.2016.01.004.
- Wijesiri, Mahinda, 2016, "Weathering the storm: ownership structure and performance of microfinance institutions in the wake of the global financial crisis," Economic Modelling, Elsevier, volume 57, issue C, pages 238-247, DOI: 10.1016/j.econmod.2016.05.011.
- Ashraf, Badar Nadeem & Bibi, Bushra & Zheng, Changjun, 2016, "How to regulate bank dividends? Is capital regulation an answer?," Economic Modelling, Elsevier, volume 57, issue C, pages 281-293, DOI: 10.1016/j.econmod.2016.05.005.
- Belke, Ansgar & Haskamp, Ulrich & Setzer, Ralph, 2016, "Regional bank efficiency and its effect on regional growth in “normal” and “bad” times," Economic Modelling, Elsevier, volume 58, issue C, pages 413-426, DOI: 10.1016/j.econmod.2015.12.020.
- García-Posada, Miguel & Marchetti, Marcos, 2016, "The bank lending channel of unconventional monetary policy: The impact of the VLTROs on credit supply in Spain," Economic Modelling, Elsevier, volume 58, issue C, pages 427-441, DOI: 10.1016/j.econmod.2016.05.002.
- Akhtaruzzaman, Md & Shamsuddin, Abul, 2016, "International contagion through financial versus non-financial firms," Economic Modelling, Elsevier, volume 59, issue C, pages 143-163, DOI: 10.1016/j.econmod.2016.07.003.
- Imam, Patrick & Kpodar, Kangni, 2016, "Islamic banking: Good for growth?," Economic Modelling, Elsevier, volume 59, issue C, pages 387-401, DOI: 10.1016/j.econmod.2016.08.004.
- Groslambert, Bertrand & Chiappini, Raphaël & Bruno, Olivier, 2016, "Desperately seeking cash: Evidence from bank output measurement," Economic Modelling, Elsevier, volume 59, issue C, pages 495-507, DOI: 10.1016/j.econmod.2016.07.022.
- Lee, Chi-Chuan & Huang, Tai-Hsin, 2016, "Productivity changes in pre-crisis Western European banks: Does scale effect really matter?," The North American Journal of Economics and Finance, Elsevier, volume 36, issue C, pages 29-48, DOI: 10.1016/j.najef.2015.11.005.
- Poghosyan, Tigran & Werger, Charlotte & de Haan, Jakob, 2016, "Size and support ratings of US banks," The North American Journal of Economics and Finance, Elsevier, volume 37, issue C, pages 236-247, DOI: 10.1016/j.najef.2016.05.006.
- Süer, Ömür & Levent, Haluk & Şen, Süleyman, 2016, "Foreign entry and the Turkish banking system in 2000s," The North American Journal of Economics and Finance, Elsevier, volume 37, issue C, pages 420-435, DOI: 10.1016/j.najef.2016.03.003.
- Han, I & Liang, Hsin-Yu & Chan, Kam C., 2016, "Locational concentration and institutional diversification: Evidence from foreign direct investments in the banking industry," The North American Journal of Economics and Finance, Elsevier, volume 38, issue C, pages 185-199, DOI: 10.1016/j.najef.2016.10.013.
- Lutz, Chandler, 2016, "Systematically important banks and increased capital requirements in the Dodd-Frank era," Economics Letters, Elsevier, volume 138, issue C, pages 75-77, DOI: 10.1016/j.econlet.2015.11.034.
- Sahin, Cenkhan & de Haan, Jakob, 2016, "Market reactions to the ECB’s Comprehensive Assessment," Economics Letters, Elsevier, volume 140, issue C, pages 1-5, DOI: 10.1016/j.econlet.2015.12.011.
- Cozarenco, Anastasia & Hudon, Marek & Szafarz, Ariane, 2016, "What type of microfinance institutions supply savings products?," Economics Letters, Elsevier, volume 140, issue C, pages 57-59, DOI: 10.1016/j.econlet.2016.01.013.
- Fricke, Daniel, 2016, "Has the banking system become more homogeneous? Evidence from banks’ loan portfolios," Economics Letters, Elsevier, volume 142, issue C, pages 45-48, DOI: 10.1016/j.econlet.2016.02.024.
- Aguila, Emma & Angrisani, Marco & Blanco, Luisa R., 2016, "Ownership of a bank account and health of older Hispanics," Economics Letters, Elsevier, volume 144, issue C, pages 41-44, DOI: 10.1016/j.econlet.2016.04.013.
- Andrieş, Alin Marius & Nistor, Simona, 2016, "Systemic risk, corporate governance and regulation of banks across emerging countries," Economics Letters, Elsevier, volume 144, issue C, pages 59-63, DOI: 10.1016/j.econlet.2016.04.031.
- Bertsatos, Georgios & Sakellaris, Plutarchos, 2016, "A dynamic model of bank valuation," Economics Letters, Elsevier, volume 145, issue C, pages 15-18, DOI: 10.1016/j.econlet.2016.05.014.
- Ohashi, Yoshihiro, 2016, "Deposit contract design with relatively partially honest agents," Economics Letters, Elsevier, volume 146, issue C, pages 21-23, DOI: 10.1016/j.econlet.2016.07.014.
- Pinter, Julien & Boissel, Charles, 2016, "The Eurozone deposit rates’ puzzle: Choosing the right benchmark," Economics Letters, Elsevier, volume 148, issue C, pages 33-36, DOI: 10.1016/j.econlet.2016.09.005.
- Gutiérrez, Emilio & Teshima, Kensuke, 2016, "Does household financial access facilitate law compliance? Evidence from Mexico," Economics Letters, Elsevier, volume 149, issue C, pages 120-124, DOI: 10.1016/j.econlet.2016.10.025.
- Ahamed, M. Mostak, 2016, "Does inclusive financial development matter for firms’ tax evasion? Evidence from developing countries," Economics Letters, Elsevier, volume 149, issue C, pages 15-19, DOI: 10.1016/j.econlet.2016.10.003.
- Malikov, Emir & Kumbhakar, Subal C. & Sun, Yiguo, 2016, "Varying coefficient panel data model in the presence of endogenous selectivity and fixed effects," Journal of Econometrics, Elsevier, volume 190, issue 2, pages 233-251, DOI: 10.1016/j.jeconom.2015.06.007.
- Andries, Natalia & Billon, Steve, 2016, "Retail bank interest rate pass-through in the euro area: An empirical survey," Economic Systems, Elsevier, volume 40, issue 1, pages 170-194, DOI: 10.1016/j.ecosys.2015.06.001.
- Niţoi, Mihai & Pochea, Maria Miruna, 2016, "Testing financial markets convergence in Central and Eastern Europe: A non-linear single factor model," Economic Systems, Elsevier, volume 40, issue 2, pages 323-334, DOI: 10.1016/j.ecosys.2016.02.002.
- Mihaylov, Mihail, 2016, "Determinants of loan interest rates in a country with a currency board: Evidence from Bulgaria," Economic Systems, Elsevier, volume 40, issue 3, pages 355-372, DOI: 10.1016/j.ecosys.2015.10.002.
- Bitar, Mohammad & Saad, Wadad & Benlemlih, Mohammed, 2016, "Bank risk and performance in the MENA region: The importance of capital requirements," Economic Systems, Elsevier, volume 40, issue 3, pages 398-421, DOI: 10.1016/j.ecosys.2015.12.001.
- Hou, Xiaohui & Wang, Qing, 2016, "Institutional quality, banking marketization, and bank stability: Evidence from China," Economic Systems, Elsevier, volume 40, issue 4, pages 539-551, DOI: 10.1016/j.ecosys.2016.01.003.
- Song, Joonhyuk & Ryu, Doojin, 2016, "Credit cycle and balancing the capital gap: Evidence from Korea," Economic Systems, Elsevier, volume 40, issue 4, pages 595-611, DOI: 10.1016/j.ecosys.2016.02.006.
- Aiyar, Shekhar & Calomiris, Charles W. & Wieladek, Tomasz, 2016, "How does credit supply respond to monetary policy and bank minimum capital requirements?," European Economic Review, Elsevier, volume 82, issue C, pages 142-165, DOI: 10.1016/j.euroecorev.2015.07.021.
- Demont, Timothée, 2016, "Microfinance spillovers: A model of competition in informal credit markets with an application to Indian villages," European Economic Review, Elsevier, volume 89, issue C, pages 21-41, DOI: 10.1016/j.euroecorev.2016.06.003.
- Casu, Barbara & Ferrari, Alessandra & Girardone, Claudia & Wilson, John O.S., 2016, "Integration, productivity and technological spillovers: Evidence for eurozone banking industries," European Journal of Operational Research, Elsevier, volume 255, issue 3, pages 971-983, DOI: 10.1016/j.ejor.2016.06.007.
- Athari, Seyed Alireza & Adaoglu, Cahit & Bektas, Eralp, 2016, "Investor protection and dividend policy: The case of Islamic and conventional banks," Emerging Markets Review, Elsevier, volume 27, issue C, pages 100-117, DOI: 10.1016/j.ememar.2016.04.001.
- Nguyen, My & Perera, Shrimal & Skully, Michael, 2016, "Bank market power, ownership, regional presence and revenue diversification: Evidence from Africa," Emerging Markets Review, Elsevier, volume 27, issue C, pages 36-62, DOI: 10.1016/j.ememar.2016.03.001.
- Fakhfekh, Mohamed & Hachicha, Nejib & Jawadi, Fredj & Selmi, Nadhem & Idi Cheffou, Abdoulkarim, 2016, "Measuring volatility persistence for conventional and Islamic banks: An FI-EGARCH approach," Emerging Markets Review, Elsevier, volume 27, issue C, pages 84-99, DOI: 10.1016/j.ememar.2016.03.004.
- Nagano, Mamoru, 2016, "The bank–firm relationship during economic transition: The impacts on bank performance in emerging economies," Emerging Markets Review, Elsevier, volume 28, issue C, pages 117-139, DOI: 10.1016/j.ememar.2016.08.005.
- Cumming, Douglas & Rui, Oliver & Wu, Yiping, 2016, "Political instability, access to private debt, and innovation investment in China," Emerging Markets Review, Elsevier, volume 29, issue C, pages 68-81, DOI: 10.1016/j.ememar.2016.08.013.
- Caggiano, Giovanni & Calice, Pietro & Leonida, Leone & Kapetanios, George, 2016, "Comparing logit-based early warning systems: Does the duration of systemic banking crises matter?," Journal of Empirical Finance, Elsevier, volume 37, issue C, pages 104-116, DOI: 10.1016/j.jempfin.2016.01.005.
- Chortareas, Georgios & Kapetanios, George & Ventouri, Alexia, 2016, "Credit market freedom and cost efficiency in US state banking," Journal of Empirical Finance, Elsevier, volume 37, issue C, pages 173-185, DOI: 10.1016/j.jempfin.2016.03.002.
- Kräussl, Roman & Lehnert, Thorsten & Stefanova, Denitsa, 2016, "The European sovereign debt crisis: What have we learned?," Journal of Empirical Finance, Elsevier, volume 38, issue PA, pages 363-373, DOI: 10.1016/j.jempfin.2016.04.005.
- Smales, Lee A., 2016, "News sentiment and bank credit risk," Journal of Empirical Finance, Elsevier, volume 38, issue PA, pages 37-61, DOI: 10.1016/j.jempfin.2016.05.002.
- Kallestrup, René & Lando, David & Murgoci, Agatha, 2016, "Financial sector linkages and the dynamics of bank and sovereign credit spreads," Journal of Empirical Finance, Elsevier, volume 38, issue PA, pages 374-393, DOI: 10.1016/j.jempfin.2016.01.004.
- Ballester, Laura & Casu, Barbara & González-Urteaga, Ana, 2016, "Bank fragility and contagion: Evidence from the bank CDS market," Journal of Empirical Finance, Elsevier, volume 38, issue PA, pages 394-416, DOI: 10.1016/j.jempfin.2016.01.011.
- Croci, Ettore & Hertig, Gerard & Nowak, Eric, 2016, "Decision-making during the credit crisis: Did the Treasury let commercial banks fail?," Journal of Empirical Finance, Elsevier, volume 38, issue PA, pages 476-497, DOI: 10.1016/j.jempfin.2016.01.001.
- Stratmann, Thomas & Welborn, John W., 2016, "Informed short selling, fails-to-deliver, and abnormal returns," Journal of Empirical Finance, Elsevier, volume 38, issue PA, pages 81-102, DOI: 10.1016/j.jempfin.2016.05.006.
- Cabrera, Matias & Dwyer, Gerald P. & Samartín-Saénz, Margarita, 2016, "Government finances and bank bailouts: Evidence from European stock markets," Journal of Empirical Finance, Elsevier, volume 39, issue PB, pages 169-179, DOI: 10.1016/j.jempfin.2016.06.005.
- Beltratti, Andrea & Paladino, Giovanna, 2016, "Basel II and regulatory arbitrage. Evidence from financial crises," Journal of Empirical Finance, Elsevier, volume 39, issue PB, pages 180-196, DOI: 10.1016/j.jempfin.2016.02.006.
- Deloof, Marc & Vermoesen, Veronique, 2016, "The value of corporate boards during the Great Depression in Belgium," Explorations in Economic History, Elsevier, volume 62, issue C, pages 108-123, DOI: 10.1016/j.eeh.2016.07.002.
- Iwanicz-Drozdowska, Małgorzata & Witkowski, Bartosz, 2016, "Credit growth in Central, Eastern, and South-Eastern Europe: The case of foreign bank subsidiaries," International Review of Financial Analysis, Elsevier, volume 43, issue C, pages 146-158, DOI: 10.1016/j.irfa.2015.11.010.
- Green, Christopher & Bai, Ye & Murinde, Victor & Ngoka, Kethi & Maana, Isaya & Tiriongo, Samuel, 2016, "Overnight interbank markets and the determination of the interbank rate: A selective survey," International Review of Financial Analysis, Elsevier, volume 44, issue C, pages 149-161, DOI: 10.1016/j.irfa.2016.01.014.
- Calice, Giovanni & Ioannidis, Christos & Miao, RongHui, 2016, "A Markov switching unobserved component analysis of the CDX index term premium," International Review of Financial Analysis, Elsevier, volume 44, issue C, pages 189-204, DOI: 10.1016/j.irfa.2016.01.020.
- Bonini, Stefano & Dell'Acqua, Alberto & Fungo, Matteo & Kysucky, Vlado, 2016, "Credit market concentration, relationship lending and the cost of debt," International Review of Financial Analysis, Elsevier, volume 45, issue C, pages 172-179, DOI: 10.1016/j.irfa.2016.03.013.
- Vithessonthi, Chaiporn, 2016, "Deflation, bank credit growth, and non-performing loans: Evidence from Japan," International Review of Financial Analysis, Elsevier, volume 45, issue C, pages 295-305, DOI: 10.1016/j.irfa.2016.04.003.
- Drakos, Anastassios A. & Kouretas, Georgios P. & Tsoumas, Chris, 2016, "Ownership, interest rates and bank risk-taking in Central and Eastern European countries," International Review of Financial Analysis, Elsevier, volume 45, issue C, pages 308-319, DOI: 10.1016/j.irfa.2014.08.004.
- Li, Hui & Liu, Hong & Siganos, Antonios, 2016, "A comparison of the stock market reactions of convertible bond offerings between financial and non-financial institutions: Do they differ?," International Review of Financial Analysis, Elsevier, volume 45, issue C, pages 356-366, DOI: 10.1016/j.irfa.2014.06.004.
- Capelle-Blancard, Gunther & Havrylchyk, Olena, 2016, "The impact of the French securities transaction tax on market liquidity and volatility," International Review of Financial Analysis, Elsevier, volume 47, issue C, pages 166-178, DOI: 10.1016/j.irfa.2016.07.002.
- Abou-El-Sood, Heba, 2016, "Are regulatory capital adequacy ratios good indicators of bank failure? Evidence from US banks," International Review of Financial Analysis, Elsevier, volume 48, issue C, pages 292-302, DOI: 10.1016/j.irfa.2015.11.011.
- Tran, Vuong Thao & Lin, Chien-Ting & Nguyen, Hoa, 2016, "Liquidity creation, regulatory capital, and bank profitability," International Review of Financial Analysis, Elsevier, volume 48, issue C, pages 98-109, DOI: 10.1016/j.irfa.2016.09.010.
- Brighi, Paola & Venturelli, Valeria, 2016, "How functional and geographic diversification affect bank profitability during the crisis," Finance Research Letters, Elsevier, volume 16, issue C, pages 1-10, DOI: 10.1016/j.frl.2015.10.020.
- Kozłowski, Łukasz, 2016, "Synergy or downward competition? Interactions between small credit institutions in local markets," Finance Research Letters, Elsevier, volume 16, issue C, pages 66-74, DOI: 10.1016/j.frl.2015.10.011.
- Ferrer, Alex & Casals, José & Sotoca, Sonia, 2016, "Efficient estimation of unconditional capital by Monte Carlo simulation," Finance Research Letters, Elsevier, volume 16, issue C, pages 75-84, DOI: 10.1016/j.frl.2015.10.010.
- Andrieu, Guillaume & Staglianò, Raffaele, 2016, "The entrepreneur's choice of a venture capital firm: Empirical evidence from two VC fund portfolios," Finance Research Letters, Elsevier, volume 17, issue C, pages 141-145, DOI: 10.1016/j.frl.2016.03.008.
- Altunbaş, Yener & Tommaso, Caterina Di & Thornton, John, 2016, "Do better-capitalized banks lend less? Evidence from European banks," Finance Research Letters, Elsevier, volume 17, issue C, pages 246-250, DOI: 10.1016/j.frl.2016.03.022.
- Barra, Cristian & Destefanis, Sergio & Lubrano Lavadera, Giuseppe, 2016, "Risk and regulation: A difference-in-differences analysis for Italian local banks," Finance Research Letters, Elsevier, volume 17, issue C, pages 25-32, DOI: 10.1016/j.frl.2016.01.003.
- Capelle-Blancard, Gunther, 2016, "The abrogation of the “Impôt sur les opérations de bourse” did not foster the French stock market," Finance Research Letters, Elsevier, volume 17, issue C, pages 257-266, DOI: 10.1016/j.frl.2016.03.024.
- Dimitrios, Anastasiou & Helen, Louri & Mike, Tsionas, 2016, "Determinants of non-performing loans: Evidence from Euro-area countries," Finance Research Letters, Elsevier, volume 18, issue C, pages 116-119, DOI: 10.1016/j.frl.2016.04.008.
- Sohn, Bumjean & Park, Heungju, 2016, "Early warning indicators of banking crisis and bank related stock returns," Finance Research Letters, Elsevier, volume 18, issue C, pages 193-198, DOI: 10.1016/j.frl.2016.04.016.
- Bańbuła, Piotr & Iwanicz-Drozdowska, Małgorzata, 2016, "The systemic importance of banks – name and shame seems to work," Finance Research Letters, Elsevier, volume 18, issue C, pages 297-301, DOI: 10.1016/j.frl.2016.05.001.
- Aristei, David & Gallo, Manuela, 2016, "Does gender matter for firms' access to credit? Evidence from international data," Finance Research Letters, Elsevier, volume 18, issue C, pages 67-75, DOI: 10.1016/j.frl.2016.04.002.
- Noth, Felix & Ossandon Busch, Matias, 2016, "Foreign funding shocks and the lending channel: Do foreign banks adjust differently?," Finance Research Letters, Elsevier, volume 19, issue C, pages 222-227, DOI: 10.1016/j.frl.2016.08.003.
- Schiereck, Dirk & Kiesel, Florian & Kolaric, Sascha, 2016, "Brexit: (Not) another Lehman moment for banks?," Finance Research Letters, Elsevier, volume 19, issue C, pages 291-297, DOI: 10.1016/j.frl.2016.09.003.
- Barucci, Emilio & Baviera, Roberto & Milani, Carlo, 2016, "Is the Comprehensive Assessment able to capture banks’ risks?," Finance Research Letters, Elsevier, volume 19, issue C, pages 98-104, DOI: 10.1016/j.frl.2016.06.010.
- Kelly, Robert & O’Malley, Terence, 2016, "The good, the bad and the impaired: A credit risk model of the Irish mortgage market," Journal of Financial Stability, Elsevier, volume 22, issue C, pages 1-9, DOI: 10.1016/j.jfs.2015.09.005.
- Song, Wei-Ling & Uzmanoglu, Cihan, 2016, "TARP announcement, bank health, and borrowers’ credit risk," Journal of Financial Stability, Elsevier, volume 22, issue C, pages 22-32, DOI: 10.1016/j.jfs.2015.11.003.
- Kanagaretnam, Kiridaran & Zhang, Gaiyan & Zhang, Sanjian Bill, 2016, "CDS pricing and accounting disclosures: Evidence from U.S. bank holding corporations around the recent financial crisis," Journal of Financial Stability, Elsevier, volume 22, issue C, pages 33-44, DOI: 10.1016/j.jfs.2015.11.001.
- Mergaerts, Frederik & Vander Vennet, Rudi, 2016, "Business models and bank performance: A long-term perspective," Journal of Financial Stability, Elsevier, volume 22, issue C, pages 57-75, DOI: 10.1016/j.jfs.2015.12.002.
- Ho, Po-Hsin & Chen, Hung-Kun & Lin, Chih-Yung & Chi, Che-Wei, 2016, "Does monitoring by the media improve the performance of government banks?," Journal of Financial Stability, Elsevier, volume 22, issue C, pages 76-87, DOI: 10.1016/j.jfs.2015.12.006.
- Hou, Xiaohui & Gao, Zhixian & Wang, Qing, 2016, "Internet finance development and banking market discipline: Evidence from China," Journal of Financial Stability, Elsevier, volume 22, issue C, pages 88-100, DOI: 10.1016/j.jfs.2016.01.001.
- Ayadi, Rym & Naceur, Sami Ben & Casu, Barbara & Quinn, Barry, 2016, "Does Basel compliance matter for bank performance?," Journal of Financial Stability, Elsevier, volume 23, issue C, pages 15-32, DOI: 10.1016/j.jfs.2015.12.007.
- Andrievskaya, Irina & Semenova, Maria, 2016, "Does banking system transparency enhance bank competition? Cross-country evidence," Journal of Financial Stability, Elsevier, volume 23, issue C, pages 33-50, DOI: 10.1016/j.jfs.2016.01.003.
- Pagano, Michael S. & Sedunov, John, 2016, "A comprehensive approach to measuring the relation between systemic risk exposure and sovereign debt," Journal of Financial Stability, Elsevier, volume 23, issue C, pages 62-78, DOI: 10.1016/j.jfs.2016.02.001.
- Kouretas, Georgios P. & Tsoumas, Chris, 2016, "Foreign bank presence and business regulations," Journal of Financial Stability, Elsevier, volume 24, issue C, pages 104-116, DOI: 10.1016/j.jfs.2016.04.006.
- Sander, Harald & Kleimeier, Stefanie & Heuchemer, Sylvia, 2016, "The resurgence of cultural borders during the financial crisis: The changing geography of Eurozone cross-border depositing," Journal of Financial Stability, Elsevier, volume 24, issue C, pages 12-26, DOI: 10.1016/j.jfs.2016.04.003.
- Luo, Yun & Tanna, Sailesh & De Vita, Glauco, 2016, "Financial openness, risk and bank efficiency: Cross-country evidence," Journal of Financial Stability, Elsevier, volume 24, issue C, pages 132-148, DOI: 10.1016/j.jfs.2016.05.003.
- Kupiec, Paul H., 2016, "Will TLAC regulations fix the G-SIB too-big-to-fail problem?," Journal of Financial Stability, Elsevier, volume 24, issue C, pages 158-169, DOI: 10.1016/j.jfs.2016.04.009.
- Cole, Rebel & Sokolyk, Tatyana, 2016, "Who needs credit and who gets credit? Evidence from the surveys of small business finances," Journal of Financial Stability, Elsevier, volume 24, issue C, pages 40-60, DOI: 10.1016/j.jfs.2016.04.002.
- Sedunov, John, 2016, "What is the systemic risk exposure of financial institutions?," Journal of Financial Stability, Elsevier, volume 24, issue C, pages 71-87, DOI: 10.1016/j.jfs.2016.04.005.
- Buch, Claudia M. & Koetter, Michael & Ohls, Jana, 2016, "Banks and sovereign risk: A granular view," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 1-15, DOI: 10.1016/j.jfs.2016.05.002.
- Loveland, Robert, 2016, "How prompt was regulatory corrective action during the financial crisis?," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 16-36, DOI: 10.1016/j.jfs.2016.05.004.
- Karmakar, Sudipto, 2016, "Macroprudential regulation and macroeconomic activity," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 166-178, DOI: 10.1016/j.jfs.2016.06.006.
- Souza, Sergio Rubens Stancato de, 2016, "Capital requirements, liquidity and financial stability: The case of Brazil," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 179-192, DOI: 10.1016/j.jfs.2015.10.001.
- Martínez, Constanza & León, Carlos, 2016, "The cost of collateralized borrowing in the Colombian money market: Does connectedness matter?," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 193-205, DOI: 10.1016/j.jfs.2015.10.003.
- Li, Hui & Liu, Hong & Siganos, Antonios & Zhou, Mingming, 2016, "Bank regulation, financial crisis, and the announcement effects of seasoned equity offerings of US commercial banks," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 37-46, DOI: 10.1016/j.jfs.2016.06.007.
- Ghosh, Amit, 2016, "How does banking sector globalization affect banking crisis?," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 70-82, DOI: 10.1016/j.jfs.2016.07.003.
- Fink, Kilian & Krüger, Ulrich & Meller, Barbara & Wong, Lui-Hsian, 2016, "The credit quality channel: Modeling contagion in the interbank market," Journal of Financial Stability, Elsevier, volume 25, issue C, pages 83-97, DOI: 10.1016/j.jfs.2016.06.002.
- Allen, Linda & Tang, Yi, 2016, "What’s the contingency? A proposal for bank contingent capital triggered by systemic risk," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 1-14, DOI: 10.1016/j.jfs.2016.06.005.
- Kara, Alper & Marques-Ibanez, David & Ongena, Steven, 2016, "Securitization and lending standards: Evidence from the European wholesale loan market," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 107-127, DOI: 10.1016/j.jfs.2016.07.004.
- Chen, Yan-Shing & Chen, Yehning & Lin, Chih-Yung & Sharma, Zenu, 2016, "Is there a bright side to government banks? Evidence from the global financial crisis," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 128-143, DOI: 10.1016/j.jfs.2016.08.006.
- Guizani, Brahim & Watanabe, Wako, 2016, "The effects of public capital infusions on banks’ risk-shifting to the deposit insurance system in Japan," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 15-30, DOI: 10.1016/j.jfs.2016.07.017.
- Brunetti, M. & Ciciretti, R. & Djordjevic, Lj., 2016, "The determinants of household’s bank switching," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 175-189, DOI: 10.1016/j.jfs.2016.08.004.
- Breitenlechner, Max & Scharler, Johann & Sindermann, Friedrich, 2016, "Banks’ external financing costs and the bank lending channel: Results from a SVAR analysis," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 228-246, DOI: 10.1016/j.jfs.2016.07.007.
- Eichler, Stefan & Sobański, Karol, 2016, "National politics and bank default risk in the eurozone," Journal of Financial Stability, Elsevier, volume 26, issue C, pages 247-256, DOI: 10.1016/j.jfs.2016.07.008.
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