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
- Aleksanyan, Lilia & Huiban, Jean-Pierre, 2016, "Economic and financial determinants of firm bankruptcy: evidence from the French food industry," Review of Agricultural, Food and Environmental Studies, Institut National de la Recherche Agronomique (INRA), volume 97, issue 2, DOI: 10.22004/ag.econ.277766.
- Конурбаева Наталья // Konurbayeva Natalya & Нурханова Оксана // Nurkhanova Oxana & Хакимжанов Сабит // Khakimzhanov Sabit, 2021, "Оценка качества ссудного портфеля по данным на уровне займа // Assessing the quality of loan portfolio based on the loan level data," Working Papers, National Bank of Kazakhstan, number #2021-7.
- Хакимжанов Сабит// Khakimzhanov Sabit & Миллер Алия // Miller Aliya & Джусангалиева Камилла // Jussangaliyeva Kamilla & Тазетдинова Динара // Tazetdinova Dinara, 2022, "Казахстанский рынок депозитов населения: проблемы и решения // Kazakhstan's retail deposit market: problems and solutions," Working Papers, National Bank of Kazakhstan, number #2022-1.
- Tomohiko Inui & Keiko Ito & Daisuke Miyakawa, None, "Japanese Small and Medium-Sized Enterprises’ Export Decisions: The Role of Overseas Market Information," Chapters, Economic Research Institute for ASEAN and East Asia (ERIA), chapter 2, in: Chin Hee Hahn & Dionisius A. Narjoko, "Globalization and Performance of Small and Large Firms".
- Kristian S. Blickle & Quirin Fleckenstein & Sebastian Hillenbrand & Anthony Saunders, 2020, "Do Lead Arrangers Retain Their Lead Shares?," Staff Reports, Federal Reserve Bank of New York, number 922, May.
- Nicola Branzoli & Fulvia Fringuellotti, 2020, "The Effect of Bank Monitoring on Loan Repayment," Staff Reports, Federal Reserve Bank of New York, number 923, May.
- M. Koetter, 2004, "The Stability of Efficiency Rankings when Risk-Preference are Different," Working Papers, Utrecht School of Economics, number 04-08.
- C.J.M. Kool, 2006, "An Analysis of Financial Stability Indicators in European Banking: The Role of Common Factors," Working Papers, Utrecht School of Economics, number 06-12, Dec.
- C.J.M. Kool, 2006, "Financial Stability in European Banking: The Role of Common Factors," Working Papers, Utrecht School of Economics, number 06-13, Jun.
- M. Koetter & J.W.B. Bos & C. Economidou & J. Kolari, 2007, "Do Technology and Efficiency Differences determine Productivity?," Working Papers, Utrecht School of Economics, number 07-14, May.
- J.W.B. Bos & M. Koetter, 2007, "Handling Losses in Translog Profit Models," Working Papers, Utrecht School of Economics, number 07-17, Jun.
- J.A. Bikker & L. Spierdijk & P. Finnie, 2007, "The Impact of Market Structure, Contestability and Institutional Environment on Banking Competition," Working Papers, Utrecht School of Economics, number 07-29.
- J.A. Bikker & L. Spierdijk, 2008, "How Banking Competition changed over Time," Working Papers, Utrecht School of Economics, number 08-04, Feb.
- M. van Leuvensteijn & C. Kok Sørensen & J.A. Bikker & A.A.R.J.M. van Rixtel, 2008, "Impact of bank competition on the interest rate pass-through in the euro area," Working Papers, Utrecht School of Economics, number 08-08, Mar.
- J.A. Bikker, 2008, "Sizing up performance measures in the financial services sector," Working Papers, Utrecht School of Economics, number 08-36, Dec.
- J.A. Bikker & L. Spierdijk, 2009, "Measuring and explaining competition in the financial sector," Working Papers, Utrecht School of Economics, number 09-01, Feb.
- J.W.B. Bos & J. Kolari & R. van Lamoen, 2009, "Competition and Innovation: Evidence from Financial Services," Working Papers, Utrecht School of Economics, number 09-16.
- I. Arnold & C.J.M. Kool & K. Raabe, 2011, "Industry Effects of Bank Lending in Germany," Working Papers, Utrecht School of Economics, number 11-21.
- Brown, Martin & Graf, Roman, 2013, "Financial Literacy, Household Investment and Household Debt: Evidence from Switzerland," Working Papers on Finance, University of St. Gallen, School of Finance, number 1301, Jan.
- Klaus Duellmann & Martin Scheicher & Christian Schmieder, None, "Asset correlations and credit portfolio risk: an empirical analysis," Journal of Credit Risk, Journal of Credit Risk.
- Georges Dionne & Samir Saissi Hassani, None, "Hidden Markov regimes in operational loss data: application to the recent financial crisis," Journal of Operational Risk, Journal of Operational Risk.
- Marco Migueis, None, "Forward-looking and incentive-compatible operational risk capital framework," Journal of Operational Risk, Journal of Operational Risk.
- Filippo Curti & Marco Migueis & Robert Stewart, None, "Benchmarking operational risk stress testing models," Journal of Operational Risk, Journal of Operational Risk.
- Filippo Curti & Marco Migueis, None, "The information value of past losses in operational risk," Journal of Operational Risk, Journal of Operational Risk.
- Jean-David Fermanian & Olivier Scaillet, None, "Nonparametric estimation of copulas for time series," Journal of Risk, Journal of Risk.
- Deyan Radev, None, "Assessing systemic fragility: a probabilistic perspective," Journal of Risk, Journal of Risk.
- Wilko Bolt & David Humphrey, None, "Competition in bank-provided payment services," Journal of Financial Market Infrastructures, Journal of Financial Market Infrastructures.
- Anneke Kosse & Zhentong Lu, None, "Transmission of cyber risk through the Canadian wholesale payment system," Journal of Financial Market Infrastructures, Journal of Financial Market Infrastructures.
- Iñaki Aldasoro & Perry Mehrling & Daniel H. Neilson, None, "On par: a money view of stablecoins," Journal of Financial Market Infrastructures, Journal of Financial Market Infrastructures.
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