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
2013
- Focarelli, Dario & Marqués-Ibáñez, David & Pozzolo, Alberto Franco, 2011, "Are universal banks better underwriters? Evidence from the last days of the Glass-Steagall Act," Working Paper Series, European Central Bank, number 1287, Jan.
- Bindseil, Ulrich & Jabłecki, Juliusz, 2011, "A structural model of central bank operations and bank intermediation," Working Paper Series, European Central Bank, number 1312, Mar.
- Boissay, Frédéric, 2011, "Financial imbalances and financial fragility," Working Paper Series, European Central Bank, number 1317, Apr.
- Schwaab, Bernd & Koopman, Siem Jan & Lucas, André, 2011, "Systemic risk diagnostics: coincident indicators and early warning signals," Working Paper Series, European Central Bank, number 1327, Apr.
- Marqués-Ibáñez, David & Carbó-Valverde, Santiago & Rodríguez Fernández, Francisco, 2011, "Securitization, bank lending and credit quality: the case of Spain," Working Paper Series, European Central Bank, number 1329, Apr.
- Ongena, Steven & Kara, Alper & Marqués-Ibáñez, David, 2011, "Securitization and lending standards: evidence from the wholesale loan market," Working Paper Series, European Central Bank, number 1362, Jul.
- Hilberg, Björn & Hollmayr, Josef, 2011, "Asset prices, collateral and unconventional monetary policy in a DSGE model," Working Paper Series, European Central Bank, number 1373, Aug.
- Nyborg, Kjell G. & Fecht, Falko & Rocholl, Jörg, 2011, "The price of liquidity: the effects of market conditions and bank characteristics," Working Paper Series, European Central Bank, number 1376, Sep.
- Schmiedel, Heiko & Bolt, Wilko & Foote, Elizabeth, 2011, "Consumer credit and payment cards," Working Paper Series, European Central Bank, number 1387, Oct.
- Creti, Anna & Verdier, Marianne, 2011, "Fraud, investments and liability regimes in payment platforms," Working Paper Series, European Central Bank, number 1390, Oct.
- Manganelli, Simone & Altunbas, Yener & Marqués-Ibáñez, David, 2011, "Bank risk during the financial crisis: do business models matter?," Working Paper Series, European Central Bank, number 1394, Nov.
- Rocholl, Jörg & Puri, Manju & Steffen, Sascha, 2011, "On the importance of prior relationships in bank loans to retail customers," Working Paper Series, European Central Bank, number 1395, Nov.
- Heider, Florian & Hoerova, Marie & Biais, Bruno, 2012, "Risk-sharing or risk-taking? Counterparty risk, incentives and margins," Working Paper Series, European Central Bank, number 1413, Jan.
- Ongena, Steven & Popov, Alexander & Brown, Martin & Yesin, Pinar, 2012, "Who needs credit and who gets credit in Eastern Europe?," Working Paper Series, European Central Bank, number 1421, Feb.
- Grüner, Hans Peter & Hartmann, Philipp & Fecht, Falko, 2012, "Financial integration, specialization and systemic risk," Working Paper Series, European Central Bank, number 1425, Feb.
- Gambacorta, Leonardo & Altunbas, Yener & Marqués-Ibáñez, David, 2012, "Do bank characteristics influence the effect of monetary policy on bank risk?," Working Paper Series, European Central Bank, number 1427, Mar.
- Heider, Florian & Inderst, Roman, 2012, "Loan prospecting," Working Paper Series, European Central Bank, number 1439, May.
- Corradin, Stefano, 2012, "Household leverage," Working Paper Series, European Central Bank, number 1452, Jul.
- Agur, Itai & Demertzis, Maria, 2012, "Excessive bank risk taking and monetary policy," Working Paper Series, European Central Bank, number 1457, Aug.
- Schwaab, Bernd & Koopman, Siem Jan & Lucas, André, 2012, "Dynamic factor models with macro, frailty and industry effects for US default counts: the credit crisis of 2008," Working Paper Series, European Central Bank, number 1459, Aug.
- Guarda, Paolo & Rouabah, Abdelaziz & Theal, John, 2012, "An MVAR framework to capture extreme events in macro-prudential stress tests," Working Paper Series, European Central Bank, number 1464, Aug.
- Chiţu, Livia, 2012, "Was unofficial dollarisation/euroisation an amplifier of the 'Great Recession' of 2007-09 in emerging economies," Working Paper Series, European Central Bank, number 1473, Sep.
- Marqués-Ibáñez, David & Hau, Harald & Langfield, Sam, 2012, "Bank ratings: what determines their quality?," Working Paper Series, European Central Bank, number 1484, Oct.
- Rannenberg, Ansgar, 2012, "Asymmetric information in credit markets, bank leverage cycles and macroeconomic dynamics," Working Paper Series, European Central Bank, number 1487, Oct.
- Ongena, Steven & Popov, Alexander & Udell, Gregory F., 2012, "When the cat's away the mice will play: does regulation at home affect bank risk taking abroad?," Working Paper Series, European Central Bank, number 1488, Nov.
- Zabczyk, Pawel & Andreasen, Martin M. & Ferman, Marcelo, 2012, "The business cycle implications of banks' maturity transformation," Working Paper Series, European Central Bank, number 1489, Nov.
- Horváth, Roman & Seidler, Jakub & Weill, Laurent, 2012, "Bank capital and liquidity creation: Granger-causality evidence," Working Paper Series, European Central Bank, number 1497, Nov.
- Maurin, Laurent & Toivanen, Mervi, 2012, "Risk, capital buffer and bank lending: a granular approach to the adjustment of euro area banks," Working Paper Series, European Central Bank, number 1499, Nov.
- Durré, Alain & Beaupain, Renaud, 2012, "Nonlinear liquidity adjustments in the euro area overnight money market," Working Paper Series, European Central Bank, number 1500, Dec.
- Ehrmann, Michael & Stracca, Livio & Soudan, Michel, 2012, "Explaining EU citizens’ trust in the ECB in normal and crisis times," Working Paper Series, European Central Bank, number 1501, Dec.
- Castrén, Olli & Rancan, Michela, 2013, "Macro-networks: an application to the euro area financial accounts," Working Paper Series, European Central Bank, number 1510, Feb.
- Hauptmeier, Sebastian & Cimadomo, Jacopo & Zimmermann, Tom, 2013, "Fiscal consolidations and bank balance sheets," Working Paper Series, European Central Bank, number 1511, Feb.
- Smets, Frank & Collard, Fabrice & Boissay, Frédéric, 2013, "Booms and systemic banking crises," Working Paper Series, European Central Bank, number 1514, Feb.
- Beck, Roland & Jakubik, Petr & Piloiu, Anamaria, 2013, "Non-performing loans: what matters in addition to the economic cycle?," Working Paper Series, European Central Bank, number 1515, Feb.
- Abildgren, Kim & Vølund Buchholst, Birgitte & Staghøj, Jonas, 2013, "Bank-firm relationships and the survival of non-financial firms during the financial crisis 2008-2009," Working Paper Series, European Central Bank, number 1516, Feb.
- Thomas, Carlos & Nuño, Galo, 2013, "Bank leverage cycles," Working Paper Series, European Central Bank, number 1524, Mar.
- Ciccarelli, Matteo & Maddaloni, Angela & Peydró, José-Luis, 2013, "Heterogeneous transmission mechanism: monetary policy and financial fragility in the euro area," Working Paper Series, European Central Bank, number 1527, Mar.
- Sarkisyan, Anna & Casu, Barbara, 2013, "Retained interests in securitisations and implications for bank solvency," Working Paper Series, European Central Bank, number 1538, Apr.
- Bolt, Wilko & Humphrey, David, 2013, "Competition in bank-provided payment services," Working Paper Series, European Central Bank, number 1539, Apr.
- Popov, Alexander & Corradin, Stefano, 2013, "House prices, home equity and entrepreneurships," Working Paper Series, European Central Bank, number 1544, May.
- Derviz, Alexis, 2013, "Bubbles, bank credit and macroprudential policies," Working Paper Series, European Central Bank, number 1551, Jun.
- Gropp, Reint & Gruendl, Christian & Guettler, Andre, 2013, "Hidden gems and borrowers with dirty little secrets: investment in soft information, borrower self-selection and competition," Working Paper Series, European Central Bank, number 1555, Jun.
- Beyer, Andreas & Alter, Adrian, 2013, "The dynamics of spillover effects during the European sovereign debt crisis," Working Paper Series, European Central Bank, number 1558, Jun.
- Maddaloni, Angela & Peydró, José-Luis, 2013, "Monetary policy, macroprudential policy and banking stability: evidence from the euro area," Working Paper Series, European Central Bank, number 1560, Jul.
- Eisenschmidt, Jens & Carpenter, Seth & Demiralp, Selva, 2013, "The effectiveness of the non-standard policy measures during the financial crises: the experiences of the federal reserve and the European Central Bank," Working Paper Series, European Central Bank, number 1562, Jul.
- De Santis, Roberto A. & Surico, Paolo, 2013, "Bank lending and monetary transmission in the euro area," Working Paper Series, European Central Bank, number 1568, Jul.
- Schmiedel, Heiko & Hasan, Iftekhar & De Renzis, Tania, 2013, "Retail payments and the real economy," Working Paper Series, European Central Bank, number 1572, Aug.
- Duca, John & Muellbauer, John, 2013, "Tobin LIVES: Integrating evolving credit market architecture into flow of funds based macro-models," Working Paper Series, European Central Bank, number 1581, Aug.
- Neagu, Florian & Mihai, Irina, 2013, "Sudden stop of capital flows and the consequences for the banking sector and the real economy," Working Paper Series, European Central Bank, number 1591, Sep.
- Costeiu, Adrian & Neagu, Florian, 2013, "Bridging the banking sector with the real economy: a financial stability perspective," Working Paper Series, European Central Bank, number 1592, Sep.
- Popov, Alexander, 2013, "Monetary policy, bank capital and credit supply: a role for discouraged and informally rejected firms," Working Paper Series, European Central Bank, number 1593, Sep.
- Peltonen, Tuomas A. & Vuillemey, Guillaume, 2013, "Disentangling the bond-CDS nexus: a stress test model of the CDS market," Working Paper Series, European Central Bank, number 1599, Oct.
- Detken, Carsten & Peltonen, Tuomas A. & Schudel, Willem & Behn, Markus, 2013, "Setting countercyclical capital buffers based on early warning models: would it work?," Working Paper Series, European Central Bank, number 1604, Nov.
- Affinito, Massimiliano, 2013, "Central bank refinancing, interbank markets and the hypothesis of liquidity hoarding: evidence from a euro-area banking system," Working Paper Series, European Central Bank, number 1607, Nov.
- Bindseil, Ulrich, 2013, "Central bank collateral, asset fire sales, regulation and liquidity," Working Paper Series, European Central Bank, number 1610, Nov.
- Kok, Christoffer & Schepens, Glenn, 2013, "Bank reactions after capital shortfalls," Working Paper Series, European Central Bank, number 1611, Nov.
- Grothe, Magdalena, 2013, "Market pricing of credit rating signals," Working Paper Series, European Central Bank, number 1623, Dec.
- David Miles & Jing Yang & Gilberto Marcheggiano, 2013, "Optimal Bank Capital," Economic Journal, Royal Economic Society, volume 123, issue 567, pages 1-37, March.
- Iyer, Rajkamal & Khwaja, Asim Ijaz & Luttmer, Erzo F. P. & Shue, Kelly, 2013, "Screening Peers Softly: Inferring the Quality of Small Borrowers," Working Paper Series, Harvard University, John F. Kennedy School of Government, number rwp13-017, May.
- Merrill, Craig B. & Nadauld, Taylor & Sherlund, Shane M., 2013, "Why Did Financial Institutions Sell RMBS at Fire Sale Prices during the Financial Crisis?," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2013-02, Feb.
- DeAngelo, Harry & Stulz, Rene M., 2013, "Why High Leverage Is Optimal for Banks," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2013-08, May.
- Bulow, Jeremy & Klemperer, Paul, 2013, "Market-Based Bank Capital Regulation," Research Papers, Stanford University, Graduate School of Business, number 2132, Aug.
- Allen, Franklin & Babus, Ana & Carletti, Elena, 2013, "Asset Commonality, Debt Maturity and Systemic Risk," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 10-30, Feb.
- Schuermann, Til, 2013, "Stress Testing Banks," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 12-08, Feb.
- Barth, James R. & Caprio, Gerard, Jr. & Levine, Ross, 2013, "Bank Regulation and Supervision in 180 Countries from 1999 to 2011," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-04, Jan.
- Zenios, Stavros A., 2013, "The Cyprus Debt: Perfect Crisis and a Way Forward," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-09, Mar.
- Allen, Franklin & Carletti, Elena, 2013, "Deposits and Bank Capital Structure," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-13, Mar.
- Hughes, Joseph P. & Mester, Loretta J., 2013, "Who Said Large Banks Don't Experience Scale Economies? Evidence from a Risk-Return-Driven Cost Function," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-17, Apr.
- DeAngelo, Harry & Stulz, Rene M., 2013, "Why High Leverage Is Optimal for Banks," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-20, May.
- Deng, Saiying & Elyasiani, Elyas & Mao, Connie X., 2013, "BHC Derivatives Usage, Cost of Debt and Lending Patterns," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-23, Jan.
- Elyasiani, Elyas & Zhang, Ling, 2013, "Bank Holding Company Performance, Risk and "Busy" Board of Directors," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-24.
- Allen, Franklin & Jackowicz, Krzysztof & Kowalewski, Oskar, 2013, "The Effects of Foreign and Government Ownership on Bank Lending Behavior during a Crisis in Central and Eastern Europe," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-25.
- Fischer, Ronald & Valenzuela, Patricio, 2013, "Financial Openness, Market Structure and Private Credit: An Empirical Investigation," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-26.
- Duane, Michael & Schuermann, Til & Reynolds, Peter, 2013, "Stress Testing Bank Profitability," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 13-30, Sep.
- Karlan, Dean & Zinman, Jonathan, 2013, "Long-Run Price Elasticities of Demand for Credit: Evidence from a Countrywide Field Experiment in Mexico," Working Papers, Yale University, Department of Economics, number 115, May.
- Angelucci, Manuela & Karlan, Dean & Zinman, Jonathan, 2013, "Win Some Lose Some? Evidence from a Randomized Microcredit Program Placement Experiment by Compartamos Banco," Working Papers, Yale University, Department of Economics, number 117, May.
- Karlan, Dean & Ratan, Aishwarya Lakshmi & Zinman, Jonathan, 2013, "Savings by and for the Poor: A Research Review and Agenda," Working Papers, Yale University, Department of Economics, number 118, Oct.
- Karlan, Dean & Osman, Adam & Zinman, Jonathan, 2013, "Follow the Money: Methods for Identifying Consumption and Investment Responses to a Liquidity Stock," Working Papers, Yale University, Department of Economics, number 126, Nov.
- Metin AKTAS, 2013, "Stability of the Participation Banking Sector Against the Economic Crisis in Turkey," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 1, pages 180-190.
- Song l KAK LL ACARAVCI & Ahmet Ertugrul ALIM, 2013, "Turkish Banking Sector's Profitability Factors," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 1, pages 27-41.
- Karan S. Thagunna & Shashank Poudel, 2013, "Measuring Bank Performance of Nepali Banks: A Data Envelopment Analysis (DEA) Perspective," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 1, pages 54-65.
- Ali Said, 2013, "Risks and Efficiency in the Islamic Banking Systems: The Case of Selected Islamic Banks in MENA Region," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 1, pages 66-73.
- Ali Said, 2013, "Evaluating the Overall Technical Efficiency of Islamic Banks Operating in the MENA Region During the Financial Crisis," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 2, pages 426-434.
- Afifa Hakam & Filali Adib Fatine & Firano Zakaria, 2013, "Determinants of Banking Competition in Morocco and Evaluation of the Structural Reforms," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 2, pages 447-465.
- In s Ayadi & Abderrazak Ellouze, 2013, "Market Structure and Performance of Tunisian Banks," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 2, pages 345-354.
- G lin Vardar, 2013, "Efficiency and Stock Performance of Banks in Transition Countries: Is There A Relationship?," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 2, pages 355-369.
- Muhamad Muda & Amir Shaharuddin & Abdelhakim Embaya, 2013, "Comparative Analysis of Profitability Determinants of Domestic and Foreign Islamic Banks in Malaysia," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 3, pages 559-569.
- Selim Yildirim & Bilge Kagan zdemir & Burhan Dogan, 2013, "Financial Development and Economic Growth Nexus in Emerging European Economies: New Evidence from Asymmetric Causality," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 3, pages 710-722.
- mer skenderoglu & Serpil Tomak, 2013, "Competition and Stability: An Analysis of the Turkish Banking System," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 3, pages 752-762.
- Zongjun Wang & Gongkhonkwa Rujira, 2013, "The Dynamic Relationship of Stock Indexes on Interbank Money Market Rates: Evidence from Thailand," International Journal of Economics and Financial Issues, Econjournals, volume 3, issue 4, pages 827-843.
- Utku GÜGERCIN & Fatma Nur IPLIK, 2013, "Yöneticilerin Eðitim Seviyeleri Ýle Firmalarýn Risk Ýþtahý Arasýndaki Ýliþkiyi Belirlemeye Yönelik Bir Araþtýrma," Isletme ve Iktisat Calismalari Dergisi, Econjournals, volume 1, issue 2, pages 44-53.
- Fenton Ontañon, Rodrigo & Padilla, Ramón, 2013, "Financiamiento de la banca comercial para las micro, pequeñas y medianas empresas en México," Revista CEPAL, Naciones Unidas Comisión Económica para América Latina y el Caribe (CEPAL), December.
- Fenton Ontañon, Rodrigo & Padilla, Ramón, 2013, "Commercial bank financing for micro-enterprises and SMEs in Mexico," Revista CEPAL, Naciones Unidas Comisión Económica para América Latina y el Caribe (CEPAL), December.
- Ronald Fischer & Patricio Valenzuela, 2013, "Financial Openness, Market Structure and Private Credit: An Empirical Investigation," Documentos de Trabajo, Centro de Economía Aplicada, Universidad de Chile, number 297.
- Chatterji, S. & Ghosal, S., 2013, "Liquidity, moral hazard and bank crises," SIRE Discussion Papers, Scottish Institute for Research in Economics (SIRE), number 2013-85.
- Shin, Dong Jin & Kim, Brian H.S., 2013, "Bank consolidation and competitiveness: Empirical evidence from the Korean banking industry," Journal of Asian Economics, Elsevier, volume 24, issue C, pages 41-50, DOI: 10.1016/j.asieco.2012.07.004.
- Khoi, Phan Dinh & Gan, Christopher & Nartea, Gilbert V. & Cohen, David A., 2013, "Formal and informal rural credit in the Mekong River Delta of Vietnam: Interaction and accessibility," Journal of Asian Economics, Elsevier, volume 26, issue C, pages 1-13, DOI: 10.1016/j.asieco.2013.02.003.
- Hadad, Muliaman D. & Hall, Maximilian J.B. & Santoso, Wimboh & Simper, Richard, 2013, "Economies of scale and a process for identifying hypothetical merger potential in Indonesian commercial banks," Journal of Asian Economics, Elsevier, volume 26, issue C, pages 42-51, DOI: 10.1016/j.asieco.2013.04.006.
- Soedarmono, Wahyoe & Tarazi, Amine, 2013, "Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia," Journal of Asian Economics, Elsevier, volume 29, issue C, pages 91-100, DOI: 10.1016/j.asieco.2013.09.003.
- LI, Qiang & Zeng, Yong & Zhang, Bo, 2013, "Market characteristics and entry modes of foreign banks," China Economic Review, Elsevier, volume 24, issue C, pages 26-41, DOI: 10.1016/j.chieco.2012.10.002.
- Pessarossi, Pierre & Weill, Laurent, 2013, "Choice of corporate debt in China: The role of state ownership," China Economic Review, Elsevier, volume 26, issue C, pages 1-16, DOI: 10.1016/j.chieco.2013.03.005.
- Fungáčová, Zuzana & Pessarossi, Pierre & Weill, Laurent, 2013, "Is bank competition detrimental to efficiency? Evidence from China," China Economic Review, Elsevier, volume 27, issue C, pages 121-134, DOI: 10.1016/j.chieco.2013.09.004.
- Jia, Xiangping & Xiang, Cheng & Huang, Jikun, 2013, "Microfinance, self-employment, and entrepreneurs in less developed areas of rural China," China Economic Review, Elsevier, volume 27, issue C, pages 94-103, DOI: 10.1016/j.chieco.2013.09.001.
- Hilscher, Jens & Şişli-Ciamarra, Elif, 2013, "Conflicts of interest on corporate boards: The effect of creditor-directors on acquisitions," Journal of Corporate Finance, Elsevier, volume 19, issue C, pages 140-158, DOI: 10.1016/j.jcorpfin.2012.10.001.
- Ghosh, Suman & Van Tassel, Eric, 2013, "Funding microfinance under asymmetric information," Journal of Development Economics, Elsevier, volume 101, issue C, pages 8-15, DOI: 10.1016/j.jdeveco.2012.09.005.
- Baland, Jean-Marie & Somanathan, Rohini & Wahhaj, Zaki, 2013, "Repayment incentives and the distribution of gains from group lending," Journal of Development Economics, Elsevier, volume 105, issue C, pages 131-139, DOI: 10.1016/j.jdeveco.2013.07.008.
- Guha, Brishti & Chowdhury, Prabal Roy, 2013, "Micro-finance competition: Motivated micro-lenders, double-dipping and default," Journal of Development Economics, Elsevier, volume 105, issue C, pages 86-102, DOI: 10.1016/j.jdeveco.2013.07.006.
- Kollmann, Robert & Ratto, Marco & Roeger, Werner & in′t Veld, Jan, 2013, "Fiscal policy, banks and the financial crisis," Journal of Economic Dynamics and Control, Elsevier, volume 37, issue 2, pages 387-403, DOI: 10.1016/j.jedc.2012.09.007.
- Ladley, Daniel, 2013, "Contagion and risk-sharing on the inter-bank market," Journal of Economic Dynamics and Control, Elsevier, volume 37, issue 7, pages 1384-1400, DOI: 10.1016/j.jedc.2013.03.009.
- Baglioni, Angelo & Cherubini, Umberto, 2013, "Within and between systemic country risk. Theory and evidence from the sovereign crisis in Europe," Journal of Economic Dynamics and Control, Elsevier, volume 37, issue 8, pages 1581-1597, DOI: 10.1016/j.jedc.2013.02.005.
- Schäfer, Rudi & Koivusalo, Alexander F.R., 2013, "Dependence of defaults and recoveries in structural credit risk models," Economic Modelling, Elsevier, volume 30, issue C, pages 1-9, DOI: 10.1016/j.econmod.2012.08.033.
- Sjölander, Pär, 2013, "A ridge bootstrap method for analyzing APT effects on the mortgage loan market," Economic Modelling, Elsevier, volume 30, issue C, pages 844-855, DOI: 10.1016/j.econmod.2012.09.044.
- Tsai, Jeng-Yan, 2013, "Optimal bank interest margins under capital regulation in a call-option utility framework," Economic Modelling, Elsevier, volume 31, issue C, pages 557-565, DOI: 10.1016/j.econmod.2012.12.024.
- Chen, Pei-Fen & Liu, Ping-Chin, 2013, "Bank ownership, performance, and the politics: Evidence from Taiwan," Economic Modelling, Elsevier, volume 31, issue C, pages 578-585, DOI: 10.1016/j.econmod.2012.12.006.
- Wong, Kit Pong, 2013, "Fixed versus variable rate loans under state-dependent preferences," Economic Modelling, Elsevier, volume 31, issue C, pages 659-663, DOI: 10.1016/j.econmod.2013.01.006.
- Castro, Vítor, 2013, "Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSI," Economic Modelling, Elsevier, volume 31, issue C, pages 672-683, DOI: 10.1016/j.econmod.2013.01.027.
- Gander, James P., 2013, "Integrating bank profit and risk-avoidance decisions for selected European countries: A micro–macro analysis," Economic Modelling, Elsevier, volume 31, issue C, pages 717-722, DOI: 10.1016/j.econmod.2013.01.014.
- Drumond, Inês & Jorge, José, 2013, "Loan interest rates under risk-based capital requirements: The impact of banking market structure," Economic Modelling, Elsevier, volume 32, issue C, pages 602-607, DOI: 10.1016/j.econmod.2013.02.017.
- Lin, Jyh-Horng & Hung, Wei-Ming, 2013, "A barrier option framework for bank interest margin management under anticipatory regret aversion," Economic Modelling, Elsevier, volume 33, issue C, pages 794-801, DOI: 10.1016/j.econmod.2013.06.007.
- Imran, Kashif & Nishat, Mohammed, 2013, "Determinants of bank credit in Pakistan: A supply side approach," Economic Modelling, Elsevier, volume 35, issue C, pages 384-390, DOI: 10.1016/j.econmod.2013.07.022.
- Bernhofer, Dominik & van Treeck, Till, 2013, "New evidence of heterogeneous bank interest rate pass-through in the euro area," Economic Modelling, Elsevier, volume 35, issue C, pages 418-429, DOI: 10.1016/j.econmod.2013.07.020.
- Tsai, Jeng-Yan, 2013, "Bank interest margin management based on a path-dependent Cobb–Douglas utility framework," Economic Modelling, Elsevier, volume 35, issue C, pages 751-762, DOI: 10.1016/j.econmod.2013.08.037.
- Han, Jae-Joon & Kang, Kyeong-Hoon & Won, Seungyeon, 2013, "Fund expenses and vertical structures of the fund industry," Economic Modelling, Elsevier, volume 35, issue C, pages 856-864, DOI: 10.1016/j.econmod.2013.08.033.
- Shehzad, Choudhry Tanveer & De Haan, Jakob, 2013, "Was the 2007 crisis really a global banking crisis?," The North American Journal of Economics and Finance, Elsevier, volume 24, issue C, pages 113-124, DOI: 10.1016/j.najef.2012.04.002.
- Quijano, Margot, 2013, "Financial fragility, uninsured deposits, and the cost of debt," The North American Journal of Economics and Finance, Elsevier, volume 24, issue C, pages 159-175, DOI: 10.1016/j.najef.2012.10.001.
- Larsson, Carl F., 2013, "What did Frederick the great know about financial engineering? A survey of recent covered bond market developments and research," The North American Journal of Economics and Finance, Elsevier, volume 25, issue C, pages 22-39, DOI: 10.1016/j.najef.2013.01.001.
- da Silva, Marcos Soares & Divino, Jose Angelo, 2013, "The role of banking regulation in an economy under credit risk and liquidity shock," The North American Journal of Economics and Finance, Elsevier, volume 26, issue C, pages 266-281, DOI: 10.1016/j.najef.2013.02.005.
- Pelizzon, Loriana & Sartore, Domenico, 2013, "Deciphering the Libor and Euribor Spreads during the subprime crisis," The North American Journal of Economics and Finance, Elsevier, volume 26, issue C, pages 565-585, DOI: 10.1016/j.najef.2013.02.022.
- Lee, Tung-Hao & Chih, Shu-Hwa, 2013, "Does financial regulation affect the profit efficiency and risk of banks? Evidence from China's commercial banks," The North American Journal of Economics and Finance, Elsevier, volume 26, issue C, pages 705-724, DOI: 10.1016/j.najef.2013.05.005.
- Iregui, Ana María & Otero, Jesús, 2013, "Testing the law of one price in retail banking: An analysis for Colombia using a pair-wise approach," Economics Letters, Elsevier, volume 118, issue 1, pages 29-32, DOI: 10.1016/j.econlet.2012.09.013.
- Matsuoka, Tarishi, 2013, "Sunspot bank runs in competitive versus monopolistic banking systems," Economics Letters, Elsevier, volume 118, issue 2, pages 247-249, DOI: 10.1016/j.econlet.2012.11.002.
- Yang, Zhaojun & Zhang, Hai, 2013, "Optimal capital structure with an equity-for-guarantee swap," Economics Letters, Elsevier, volume 118, issue 2, pages 355-359, DOI: 10.1016/j.econlet.2012.11.023.
- Pérez Montes, Carlos, 2013, "Market financing of bail-out targets," Economics Letters, Elsevier, volume 118, issue 2, pages 385-388, DOI: 10.1016/j.econlet.2012.12.003.
- Arnold, Lutz G. & Booker, Benedikt, 2013, "Good intentions pave the way to … the local moneylender," Economics Letters, Elsevier, volume 118, issue 3, pages 466-469, DOI: 10.1016/j.econlet.2012.12.027.
- Louis, Philippe & Van Laere, Elisabeth & Baesens, Bart, 2013, "Understanding and predicting bank rating transitions using optimal survival analysis models," Economics Letters, Elsevier, volume 119, issue 3, pages 280-283, DOI: 10.1016/j.econlet.2013.02.033.
- Hwang, Sangyeon & Im, Hyejoon, 2013, "Financial shocks and trade finance: Evidence from Korea," Economics Letters, Elsevier, volume 120, issue 1, pages 104-107, DOI: 10.1016/j.econlet.2013.04.005.
- D’Espallier, Bert & Hudon, Marek & Szafarz, Ariane, 2013, "Unsubsidized microfinance institutions," Economics Letters, Elsevier, volume 120, issue 2, pages 174-176, DOI: 10.1016/j.econlet.2013.04.021.
- Damjanovic, Vladislav, 2013, "Endogenous risk in monopolistic competition," Economics Letters, Elsevier, volume 120, issue 2, pages 220-223, DOI: 10.1016/j.econlet.2013.04.027.
- Bucher, Monika & Dietrich, Diemo & Hauck, Achim, 2013, "Business cycles, bank credit and crises," Economics Letters, Elsevier, volume 120, issue 2, pages 229-231, DOI: 10.1016/j.econlet.2013.04.029.
- Tabacco, Giovanni Alberto, 2013, "A new way to assess banking competition," Economics Letters, Elsevier, volume 121, issue 2, pages 167-169, DOI: 10.1016/j.econlet.2013.07.028.
- Zimper, Alexander, 2013, "On the welfare equivalence of asset markets and banking in Diamond Dybvig economies," Economics Letters, Elsevier, volume 121, issue 3, pages 356-359, DOI: 10.1016/j.econlet.2013.09.023.
- Fischer, Ronald & Valenzuela, Patricio, 2013, "Financial openness, market structure and private credit: An empirical investigation," Economics Letters, Elsevier, volume 121, issue 3, pages 478-481, DOI: 10.1016/j.econlet.2013.10.009.
- Poghosyan, Tigran, 2013, "Financial intermediation costs in low income countries: The role of regulatory, institutional, and macroeconomic factors," Economic Systems, Elsevier, volume 37, issue 1, pages 92-110, DOI: 10.1016/j.ecosys.2012.07.003.
- Toyofuku, Kenta, 2013, "Stability or restructuring? Macroeconomic dynamics under soft budget constraint problems," Economic Systems, Elsevier, volume 37, issue 4, pages 625-649, DOI: 10.1016/j.ecosys.2013.07.004.
- Inderst, Roman, 2013, "Prudence as a competitive advantage: On the effects of competition on banks' risk-taking incentives," European Economic Review, Elsevier, volume 60, issue C, pages 127-143, DOI: 10.1016/j.euroecorev.2012.10.001.
- Fungáčová, Zuzana & Herrala, Risto & Weill, Laurent, 2013, "The influence of bank ownership on credit supply: Evidence from the recent financial crisis," Emerging Markets Review, Elsevier, volume 15, issue C, pages 136-147, DOI: 10.1016/j.ememar.2013.02.002.
- Davydov, Denis & Vähämaa, Sami, 2013, "Debt source choices and stock market performance of Russian firms during the financial crisis," Emerging Markets Review, Elsevier, volume 15, issue C, pages 148-159, DOI: 10.1016/j.ememar.2013.01.001.
- Fosu, Samuel, 2013, "Banking competition in Africa: Subregional comparative studies," Emerging Markets Review, Elsevier, volume 15, issue C, pages 233-254, DOI: 10.1016/j.ememar.2013.02.001.
- Prokopczuk, Marcel & Siewert, Jan B. & Vonhoff, Volker, 2013, "Credit risk in covered bonds," Journal of Empirical Finance, Elsevier, volume 21, issue C, pages 102-120, DOI: 10.1016/j.jempfin.2012.12.003.
- Nguyen, Tu, 2013, "The disciplinary effect of subordinated debt on bank risk taking," Journal of Empirical Finance, Elsevier, volume 23, issue C, pages 117-141, DOI: 10.1016/j.jempfin.2013.05.005.
- Li, Li & Zhang, Yu, 2013, "Are there diversification benefits of increasing noninterest income in the Chinese banking industry?," Journal of Empirical Finance, Elsevier, volume 24, issue C, pages 151-165, DOI: 10.1016/j.jempfin.2013.10.004.
- Choroś-Tomczyk, Barbara & Härdle, Wolfgang Karl & Okhrin, Ostap, 2013, "Valuation of collateralized debt obligations with hierarchical Archimedean copulae," Journal of Empirical Finance, Elsevier, volume 24, issue C, pages 42-62, DOI: 10.1016/j.jempfin.2013.08.001.
- Calomiris, Charles W. & Mason, Joseph R. & Weidenmier, Marc & Bobroff, Katherine, 2013, "The effects of reconstruction finance corporation assistance on Michigan's banks' survival in the 1930s," Explorations in Economic History, Elsevier, volume 50, issue 4, pages 526-547, DOI: 10.1016/j.eeh.2013.07.006.
- Rose, Jonathan D. & Snowden, Kenneth A., 2013, "The New Deal and the origins of the modern American real estate loan contract," Explorations in Economic History, Elsevier, volume 50, issue 4, pages 548-566, DOI: 10.1016/j.eeh.2013.06.001.
- Lin, Che-Chun & Prather, Larry J. & Chu, Ting-Heng & Tsay, Jing-Tang, 2013, "Differential default risk among traditional and non-traditional mortgage products and capital adequacy standards," International Review of Financial Analysis, Elsevier, volume 27, issue C, pages 115-122, DOI: 10.1016/j.irfa.2012.11.005.
- Papadamou, Stephanos & Tzivinikos, Trifon, 2013, "The risk relevance of International Financial Reporting Standards: Evidence from Greek banks," International Review of Financial Analysis, Elsevier, volume 27, issue C, pages 43-54, DOI: 10.1016/j.irfa.2012.09.006.
- Jobst, Andreas A., 2013, "Multivariate dependence of implied volatilities from equity options as measure of systemic risk," International Review of Financial Analysis, Elsevier, volume 28, issue C, pages 112-129, DOI: 10.1016/j.irfa.2013.01.005.
- Amidu, Mohammed, 2013, "The effects of the structure of banking market and funding strategy on risk and return," International Review of Financial Analysis, Elsevier, volume 28, issue C, pages 143-155, DOI: 10.1016/j.irfa.2013.03.001.
- Leventis, Stergios & Hasan, Iftekhar & Dedoulis, Emmanouil, 2013, "The cost of sin: The effect of social norms on audit pricing," International Review of Financial Analysis, Elsevier, volume 29, issue C, pages 152-165, DOI: 10.1016/j.irfa.2013.03.006.
- Asimakopoulos, Ioannis & Athanasoglou, Panayiotis P., 2013, "Revisiting the merger and acquisition performance of European banks," International Review of Financial Analysis, Elsevier, volume 29, issue C, pages 237-249, DOI: 10.1016/j.irfa.2012.08.010.
- Akhigbe, Aigbe & McNulty, James E. & Stevenson, Bradley A., 2013, "How does transparency affect bank financial performance?," International Review of Financial Analysis, Elsevier, volume 29, issue C, pages 24-30, DOI: 10.1016/j.irfa.2013.01.007.
- Koutras, Vasileios M. & Drakos, Konstantinos, 2013, "A migration approach for USA banks' capitalization: Are the 00s the same with the 90s?," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 131-140, DOI: 10.1016/j.irfa.2013.06.005.
- Zhang, Jianhua & Jiang, Chunxia & Qu, Baozhi & Wang, Peng, 2013, "Market concentration, risk-taking, and bank performance: Evidence from emerging economies," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 149-157, DOI: 10.1016/j.irfa.2013.07.016.
- Beladi, Hamid & Quijano, Margot, 2013, "CEO incentives for risk shifting and its effect on corporate bank loan cost," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 182-188, DOI: 10.1016/j.irfa.2013.08.004.
- Barakat, Ahmed & Hussainey, Khaled, 2013, "Bank governance, regulation, supervision, and risk reporting: Evidence from operational risk disclosures in European banks," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 254-273, DOI: 10.1016/j.irfa.2013.07.002.
- Molyneux, Philip & Nguyen, Linh H. & Xie, Ru, 2013, "Foreign bank entry in South East Asia," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 26-35, DOI: 10.1016/j.irfa.2013.05.004.
- Battaglia, Francesca & Gallo, Angela, 2013, "Securitization and systemic risk: An empirical investigation on Italian banks over the financial crisis," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 274-286, DOI: 10.1016/j.irfa.2013.03.002.
- Hoque, Hafiz, 2013, "From the credit crisis to the sovereign debt crisis: Determinants of share price performance of global banks," International Review of Financial Analysis, Elsevier, volume 30, issue C, pages 334-350, DOI: 10.1016/j.irfa.2013.07.017.
- Rin, Marco Da & Hellmann, Thomas & Puri, Manju, 2013, "A Survey of Venture Capital Research," Handbook of the Economics of Finance, Elsevier, chapter 0, in: G.M. Constantinides & M. Harris & R. M. Stulz, "Handbook of the Economics of Finance", DOI: 10.1016/B978-0-44-453594-8.00008-2.
- Jarrow, Robert A., 2013, "The zero-lower bound on interest rates: Myth or reality?," Finance Research Letters, Elsevier, volume 10, issue 4, pages 151-156, DOI: 10.1016/j.frl.2013.08.003.
- Kopchak, Seth J., 2013, "The realized forward term premium in the repo market," Journal of Financial Markets, Elsevier, volume 16, issue 2, pages 253-278, DOI: 10.1016/j.finmar.2012.08.001.
- Lee, Seung Hwan, 2013, "Systemic liquidity shortages and interbank network structures," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 1-12, DOI: 10.1016/j.jfs.2012.12.001.
- Patro, Dilip K. & Qi, Min & Sun, Xian, 2013, "A simple indicator of systemic risk," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 105-116, DOI: 10.1016/j.jfs.2012.03.002.
- Jokivuolle, Esa & Virén, Matti, 2013, "Cyclical default and recovery in stress testing loan losses," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 139-149, DOI: 10.1016/j.jfs.2011.10.001.
- Scholnick, Barry & Massoud, Nadia & Saunders, Anthony, 2013, "The impact of wealth on financial mistakes: Evidence from credit card non-payment," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 26-37, DOI: 10.1016/j.jfs.2012.11.005.
- Agur, Itai, 2013, "Wholesale bank funding, capital requirements and credit rationing," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 38-45, DOI: 10.1016/j.jfs.2013.01.003.
- Memmel, Christoph & Sachs, Angelika, 2013, "Contagion in the interbank market and its determinants," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 46-54, DOI: 10.1016/j.jfs.2013.01.001.
- Raviv, Alon & Sisli-Ciamarra, Elif, 2013, "Executive compensation, risk taking and the state of the economy," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 55-68, DOI: 10.1016/j.jfs.2012.12.003.
- Fratianni, Michele & Marchionne, Francesco, 2013, "The fading stock market response to announcements of bank bailouts," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 69-89, DOI: 10.1016/j.jfs.2013.01.004.
- Bartoli, Francesca & Ferri, Giovanni & Murro, Pierluigi & Rotondi, Zeno, 2013, "Bank–firm relations and the role of Mutual Guarantee Institutions at the peak of the crisis," Journal of Financial Stability, Elsevier, volume 9, issue 1, pages 90-104, DOI: 10.1016/j.jfs.2012.03.003.
- Ono, Arito & Uesugi, Iichiro & Yasuda, Yukihiro, 2013, "Are lending relationships beneficial or harmful for public credit guarantees? Evidence from Japan's Emergency Credit Guarantee Program," Journal of Financial Stability, Elsevier, volume 9, issue 2, pages 151-167, DOI: 10.1016/j.jfs.2013.01.005.
- Jiménez, Gabriel & Lopez, Jose A. & Saurina, Jesús, 2013, "How does competition affect bank risk-taking?," Journal of Financial Stability, Elsevier, volume 9, issue 2, pages 185-195, DOI: 10.1016/j.jfs.2013.02.004.
- Avgouleas, Emilios & Goodhart, Charles & Schoenmaker, Dirk, 2013, "Bank Resolution Plans as a catalyst for global financial reform," Journal of Financial Stability, Elsevier, volume 9, issue 2, pages 210-218, DOI: 10.1016/j.jfs.2011.12.002.
- van der Cruijsen, Carin & de Haan, Jakob & Jansen, David-Jan & Mosch, Robert, 2013, "Knowledge and opinions about banking supervision: Evidence from a survey of Dutch households," Journal of Financial Stability, Elsevier, volume 9, issue 2, pages 219-229, DOI: 10.1016/j.jfs.2011.11.002.
- Allen, Franklin & Carletti, Elena, 2013, "New theories to underpin financial reform," Journal of Financial Stability, Elsevier, volume 9, issue 2, pages 242-249, DOI: 10.1016/j.jfs.2011.07.001.
- Agur, Itai, 2013, "Multiple bank regulators and risk taking," Journal of Financial Stability, Elsevier, volume 9, issue 3, pages 259-268, DOI: 10.1016/j.jfs.2013.04.003.
- Dumontaux, Nicolas & Pop, Adrian, 2013, "Understanding the market reaction to shockwaves: Evidence from the failure of Lehman Brothers," Journal of Financial Stability, Elsevier, volume 9, issue 3, pages 269-286, DOI: 10.1016/j.jfs.2013.04.001.
- Buncic, Daniel & Melecky, Martin, 2013, "Macroprudential stress testing of credit risk: A practical approach for policy makers," Journal of Financial Stability, Elsevier, volume 9, issue 3, pages 347-370, DOI: 10.1016/j.jfs.2012.11.003.
- Chira, Inga & Madura, Jeff & Viale, Ariel M., 2013, "Bank exposure to market fear," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 451-459, DOI: 10.1016/j.jfs.2013.06.004.
- Schechtman, Ricardo, 2013, "Default matrices: A complete measurement of banks’ consumer credit delinquency," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 460-474, DOI: 10.1016/j.jfs.2013.07.001.
- Dheera-aumpon, Siwapong, 2013, "Connected lending and concentrated control," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 475-486, DOI: 10.1016/j.jfs.2013.07.005.
- Vollmer, Uwe & Wiese, Harald, 2013, "Minimum capital requirements, bank supervision and special resolution schemes. Consequences for bank risk-taking," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 487-497, DOI: 10.1016/j.jfs.2013.07.004.
- Saldías, Martín, 2013, "Systemic risk analysis using forward-looking Distance-to-Default series," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 498-517, DOI: 10.1016/j.jfs.2013.07.003.
- Engineer, Merwan H. & Schure, Paul & Gillis, Mark, 2013, "A positive analysis of deposit insurance provision: Regulatory competition among European Union countries," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 530-544, DOI: 10.1016/j.jfs.2013.10.001.
- Dewally, Michaël & Shao, Yingying, 2013, "Financial derivatives, opacity, and crash risk: Evidence from large US banks," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 565-577, DOI: 10.1016/j.jfs.2012.11.001.
- DeYoung, Robert & Kowalik, Michal & Reidhill, Jack, 2013, "A theory of failed bank resolution: Technological change and political economics," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 612-627, DOI: 10.1016/j.jfs.2012.09.003.
- Klomp, Jeroen, 2013, "Government interventions and default risk: Does one size fit all?," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 641-653, DOI: 10.1016/j.jfs.2012.09.001.
- Kim, Teakdong & Koo, Bonwoo & Park, Minsoo, 2013, "Role of financial regulation and innovation in the financial crisis," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 662-672, DOI: 10.1016/j.jfs.2012.07.002.
- Karim, Dilruba & Liadze, Iana & Barrell, Ray & Davis, E. Philip, 2013, "Off-balance sheet exposures and banking crises in OECD countries," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 673-681, DOI: 10.1016/j.jfs.2012.07.001.
- Koetter, Michael & Noth, Felix, 2013, "IT use, productivity, and market power in banking," Journal of Financial Stability, Elsevier, volume 9, issue 4, pages 695-704, DOI: 10.1016/j.jfs.2012.06.001.
Printed from https://ideas.repec.org/j/G21-154.html