Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G28: Government Policy and Regulation
2015
- Stephan Barisitz & Zuzana Fungáčová, 2015, "Ukraine: struggling banking sector amid substantial uncertainty," Financial Stability Report, Oesterreichische Nationalbank (Austrian Central Bank), issue 29, pages 72-92.
- Georg Lehecka & Eva Ubl, 2015, "Analyzing the systemic risks of alternative investment funds based on AIFMD reporting: a primer," Financial Stability Report, Oesterreichische Nationalbank (Austrian Central Bank), issue 30, pages 62-70.
- Stephan Barisitz, 2015, "The Russian banking sector – heightened risks in a difficult environment," Financial Stability Report, Oesterreichische Nationalbank (Austrian Central Bank), issue 30, pages 71-84.
- Matteo Crosignani, 2015, "Why Are Banks Not Recapitalized During Crises?," Working Papers, Oesterreichische Nationalbank (Austrian Central Bank), number 203, Jun.
- Bogdan Tatiana, 2015, "Functional Analysis Of The Health Sector In Romania," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 1, pages 717-723, July.
- Nichita Ramona-Anca, 2015, "Knowledge Is Power. Improving Tax Compliance By Means Of Boosting Tax Literacy," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 1, pages 770-774, July.
- Trenca Ioan & Petria Nicolae & Corovei Emilia, 2015, "Idiosyncratic Risk And Systemic Risk In The European Banking System," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 1, pages 912-919, July.
- Andone Diana, 2015, "Aggregate Rating Model In Romanian Tourism," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 2, pages 361-369, December.
- David S. Evans & Howard Chang & Steven Joyce, 2015, "The Impact Of The U.S. Debit-Card Interchange Fee Regulation On Consumer Welfare," Journal of Competition Law and Economics, Oxford University Press, volume 11, issue 1, pages 23-67.
- Antonio Di Cesare & Philip A. Stork & Casper G. de Vries, 2015, "Risk Measures for Autocorrelated Hedge Fund Returns," Journal of Financial Econometrics, Oxford University Press, volume 13, issue 4, pages 868-895.
- Yaprak Tavman, 2015, "A comparative analysis of macroprudential policies," Oxford Economic Papers, Oxford University Press, volume 67, issue 2, pages 334-355.
- Sumit Agarwal & Souphala Chomsisengphet & Neale Mahoney & Johannes Stroebel, 2015, "Regulating Consumer Financial Products: Evidence from Credit Cards," The Quarterly Journal of Economics, President and Fellows of Harvard College, volume 130, issue 1, pages 111-164.
- Robert Engle & Eric Jondeau & Michael Rockinger, 2015, "Systemic Risk in Europe," Review of Finance, European Finance Association, volume 19, issue 1, pages 145-190.
- Vasso Ioannidou & Steven Ongena & José-Luis Peydró, 2015, "Monetary Policy, Risk-Taking, and Pricing: Evidence from a Quasi-Natural Experiment," Review of Finance, European Finance Association, volume 19, issue 1, pages 95-144.
- Guillaume Plantin, 2015, "Shadow Banking and Bank Capital Regulation," The Review of Financial Studies, Society for Financial Studies, volume 28, issue 1, pages 146-175.
- Joel Shapiro & David Skeie, 2015, "Information Management in Banking Crises," The Review of Financial Studies, Society for Financial Studies, volume 28, issue 8, pages 2322-2363.
- Michael J. Fishman & Jonathan A. Parker, 2015, "Valuation, Adverse Selection, and Market Collapses," The Review of Financial Studies, Society for Financial Studies, volume 28, issue 9, pages 2575-2607.
- Cibotariu Irina-ªtefana, 2015, "Theoretical Approaches on Financing through Programs in Social Assistance Field," Ovidius University Annals, Economic Sciences Series, Ovidius University of Constantza, Faculty of Economic Sciences, volume 0, issue 1, pages 139-142, May.
- Drãniceanu Doina Ana, 2015, "Terms and Conditions for a Romanian Sovereign Wealth Fund," Ovidius University Annals, Economic Sciences Series, Ovidius University of Constantza, Faculty of Economic Sciences, volume 0, issue 1, pages 27-31, May.
- Oros Olivera Ecaterina, 2015, "Expected Credit Losses - IFRS 9 and Basel III moving towards convergence?," Ovidius University Annals, Economic Sciences Series, Ovidius University of Constantza, Faculty of Economic Sciences, volume 0, issue 1, pages 872-876, May.
- Loredana Ciurlãu & Genu Alexandru Cãruntu, 2015, "The Role of Foreign Banks in Ensure Performance the Romanian Banking System," Ovidius University Annals, Economic Sciences Series, Ovidius University of Constantza, Faculty of Economic Sciences, volume 0, issue 2, pages 406-409, May.
- Luiza – Corina Mihai, 2015, "The Economic Impact of the Collective Dismissal Procedure Performed at the Level of an Insolvent Employer," Ovidius University Annals, Economic Sciences Series, Ovidius University of Constantza, Faculty of Economic Sciences, volume 0, issue 2, pages 475-480, May.
- Tobias Niedrig & Helmut Gründl, 2015, "The Effects of Contingent Convertible (CoCo) Bonds on Insurers’ Capital Requirements Under Solvency II," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, volume 40, issue 3, pages 416-443, July.
- Claudia M Buch & Linda S Goldberg, 2015, "International Banking and Liquidity Risk Transmission: Lessons from Across Countries," IMF Economic Review, Palgrave Macmillan;International Monetary Fund, volume 63, issue 3, pages 377-410, November.
- Xiaoqing Maggie Fu & Yongjia Rebecca Lin & Philip Molyneux, 2015, "Bank Competition and Financial Stability in Asia Pacific," Palgrave Macmillan Studies in Banking and Financial Institutions, Palgrave Macmillan, chapter 3, "Bank Competition, Efficiency and Liquidity Creation in Asia Pacific", DOI: 10.1057/9781137533845_3.
- Emilia Klepczarek, 2015, "Disclosure of risk information in the European banking sector," Working Papers, Institute of Economic Research, number 18/2015, Mar, revised Mar 2015.
- Iwona Koza, 2015, "The modern challenges of regional development and socio-economic potential of town districts belonging to North macro-region of Poland," Working Papers, Institute of Economic Research, number 66/2015, Apr, revised Apr 2015.
- Malgorzata Olszak & Mateusz Pipien & Sylwia Roszkowska, 2015, "The impact of capital ratio on lending of EU banks – the role of bank specialization and capitalization," Working Papers, Institute of Economic Research, number 83/2015, Apr, revised Apr 2015.
- Lentner, Csaba & Szegedi, Krisztina & Tatay, Tibor, 2015, "Corporate Social Responsibility in the Banking Sector," Public Finance Quarterly, Corvinus University of Budapest, volume 60, issue 1, pages 95-103.
- Mark Hayes, 2015, "Keynes, the Pope and the IMF," Working Papers, Post Keynesian Economics Society (PKES), number PKWP1502, Mar.
- Ojo, Marianne, 2015, "The unintended consequences and challenges of the Basel III Leverage Ratio: supplementary leverage ratios," MPRA Paper, University Library of Munich, Germany, number 61330, Jan.
- Langedijk, Sven & Monokroussos, George & Papanagiotou, Evangelia, 2015, "Benchmarking Liquidity Proxies: Accounting for Dynamics and Frequency Issues," MPRA Paper, University Library of Munich, Germany, number 61865, Jan.
- De Koning, Kees, 2015, "The evil force of borrowing and the weakness of Quantitative Easing," MPRA Paper, University Library of Munich, Germany, number 61970, Feb.
- George, Emmanuel & Ojeaga, Paul & Adekola, Adetunji & Matthews, Oluwatoyin, 2015, "What Does FDI Inflow Mean For Emerging African Economies? Measuring the Regional Effects of FDI in Africa," MPRA Paper, University Library of Munich, Germany, number 62195, Jan.
- Marianne, Ojo, 2015, "Long term funding and regulation: facilitating financial stability and development in low income developing countries," MPRA Paper, University Library of Munich, Germany, number 62383, Feb.
- Papanikolaou, Nikolaos, 2015, "The road towards the establishment of the European Banking Union," MPRA Paper, University Library of Munich, Germany, number 62463, Feb.
- Ozili, Peterson K, 2015, "Credit Smoothing and Determinants of Loan Loss Reserves. Evidence from Europe, US, Asia and Africa," MPRA Paper, University Library of Munich, Germany, number 62641, Mar.
- Heinrich, Gregor, 2015, "Designing a Financial Stability Architecture for a Regionally Integrated Financial Space: The European Experience," MPRA Paper, University Library of Munich, Germany, number 63225, Mar.
- Mavrozacharakis, Emmanouil, 2015, "Das ökonomische und politische Dilemma Europas
[The economic and political dilemma of Europe]," MPRA Paper, University Library of Munich, Germany, number 63323, Mar. - Marianne, Ojo, 2015, "Long term funding and regulation: facilitating financial stability and development (low income developing countries)," MPRA Paper, University Library of Munich, Germany, number 63406, Feb.
- Sapovadia, Vrajlal, 2015, "Value, Kinetic & Safety Fund for Corporate: Lessons Learnt From Economic Crisis & All Time Answer To the Bailout," MPRA Paper, University Library of Munich, Germany, number 63576, Apr.
- Hamdi, Helmi & Hakimi, Abdelaziz, 2015, "Corruption, FDI and Growth: All the truths of a corrupted regime before and after the social upsurge in Tunisia," MPRA Paper, University Library of Munich, Germany, number 63748, Apr.
- hakimi, Abdelaziz & Hamdi, Helmi, 2015, "Trade liberalization, FDI inflows, Environmental quality and Economic growth: A comparative analysis between Tunisia and Morocco," MPRA Paper, University Library of Munich, Germany, number 63799, Apr.
- Catalan, Mario & Demekas, Dimitri, 2015, "Challenges for Systemic Risk Assessment in Low-Income Countries," MPRA Paper, University Library of Munich, Germany, number 64125.
- BOUKEF JLASSI, NABILA & Hamdi, Helmi, 2015, "The relationship between Financial liberalization, Financial Stability and Capital Control: Evidence from a multivariate framework for developing countries," MPRA Paper, University Library of Munich, Germany, number 64328.
- RACHDI, Houssem & Hakimi, Abdelaziz & Hamdi, Helmi, 2015, "Financial Liberalization, Banking Crisis and Economic Growth in MENA Region: Do Institutions Matter?," MPRA Paper, University Library of Munich, Germany, number 64562, May.
- SBIA, Rashid & Al Rousan, Sahel, 2015, "Does Financial Development Induce Economic Growth in UAE? The Role of Foreign Direct Investment and Capitalization," MPRA Paper, University Library of Munich, Germany, number 64599.
- Gadzhieva, Sevil, 2015, "Национальная Система Платежных Карт: Текущее Состояние И Перспективы Развития
[National payment card system: status and prospects of development]," MPRA Paper, University Library of Munich, Germany, number 64778, May. - Tóth, József, 2015, "The Financial Background of the European Deposit Guarantee Schemes and the Resolution Mechanism," MPRA Paper, University Library of Munich, Germany, number 64794, Jun.
- Arayssi, Mahmoud, 2015, "Captive Funds and Banks' Capital," MPRA Paper, University Library of Munich, Germany, number 64912, May.
- Jha, Chandan Kumar, 2015, "Financial Reforms and Corruption," MPRA Paper, University Library of Munich, Germany, number 65420, Jun.
- Zhou, Tim, 2015, "Failed bank auctions and externalities," MPRA Paper, University Library of Munich, Germany, number 65587, Jul.
- SIDIBE, Tidiani, 2015, "Yards implementation of Basel prudential framework and IFRS: some ideas for African banks
[The yards of implementation of Basel prudential and IFRS: some ideas for African banks]," MPRA Paper, University Library of Munich, Germany, number 65848, Jul. - Neagu, Florian & Tatarici, Luminita & Mihai, Irina, 2015, "Implementing Loan-to-Value and Debt Service-To-Income measures: A decade of Romanian experience," MPRA Paper, University Library of Munich, Germany, number 65988.
- Nedelchev, Miroslav, 2015, "Coordination of banking regulation in the EU," MPRA Paper, University Library of Munich, Germany, number 66073, revised 2015.
- Cheng, Gong & Mevis, Dirk, 2015, "What happened to profitability? Shocks, challenges and perspectives for euro area banks," MPRA Paper, University Library of Munich, Germany, number 66150, Aug.
- Musgrave, Ralph S., 2015, "If banks do not have a 100% capital ratio, they are subsidised," MPRA Paper, University Library of Munich, Germany, number 66612, Sep.
- Gu, Xian & Kowalewski, Oskar, 2015, "Creditor rights and corporate bond market," MPRA Paper, University Library of Munich, Germany, number 67022, Aug.
- Nwachukwu, Jacinta & Asongu, Simplice, 2015, "The Determinants of Interest Rates in Microbanks: Age and Scale," MPRA Paper, University Library of Munich, Germany, number 67298, Feb.
- Fiordelisi, Franco & Mare, Davide Salvatore & Molyneux, Philip, 2015, "State-Aid, Stability and Competition in European Banking," MPRA Paper, University Library of Munich, Germany, number 67473, Sep.
- Agafonova, Maria, 2015, "Формирование Эффективной Долговой Политики В Области Государственного Внутреннего Долга
[Formation of the effective debt policy in a sphere of the state internal debt]," MPRA Paper, University Library of Munich, Germany, number 67487, Oct. - Tóth, József, 2015, "Rules of remuneration of material risk takers and their implementation in the European Banks," MPRA Paper, University Library of Munich, Germany, number 67758, Nov.
- Ledenyov, Dimitri O. & Ledenyov, Viktor O., 2015, "Quantum money," MPRA Paper, University Library of Munich, Germany, number 67982, Nov.
- Papafilis, Michalis-Panayiotis & Psillaki, Maria & Margaritis, Dimitris, 2015, "Interdependence between Sovereign and Bank CDS Spreads in Eurozone during the European Debt Crisis - The PSI Effect," MPRA Paper, University Library of Munich, Germany, number 68037, Nov.
- Shaikh, Salman Ahmed, 2015, "Financial Inclusiveness in Islamic Banking: Comparison of Ideals and Practices Based on Maqasid-e-Shari’ah," MPRA Paper, University Library of Munich, Germany, number 68745, Nov.
- Inderst, Georg, 2015, "Social infrastructure investment: private finance and institutional investors," MPRA Paper, University Library of Munich, Germany, number 69504, Dec.
- Jaelani, Aan, 2015, "Zakah Management for Poverty Alleviation in Indonesia and Brunei Darussalam," MPRA Paper, University Library of Munich, Germany, number 69646, Oct, revised 10 Nov 2015.
- Ganchev, Alexander, 2015, "Hedge funds - evolution and perspectives," MPRA Paper, University Library of Munich, Germany, number 70050, Dec.
- Nakashima, Kiyotaka, 2015, "An Econometric Evaluation of Bank Recapitalization Programs with Bank- and Loan-level Data," MPRA Paper, University Library of Munich, Germany, number 70704, Sep.
- Kronick, Jeremy, 2015, "Do Loan-to-Value Ratio Regulation Changes Affect Canadian Mortgage Credit?," MPRA Paper, University Library of Munich, Germany, number 73671, Apr.
- Ghassan, Hassan B. & Taher, Farid B., 2015, "Financial Stability of Islamic and Conventional Banks in Saudi Arabia: Evidence using Pooled and Panel Models," MPRA Paper, University Library of Munich, Germany, number 75460, Jan, revised Jan 2015.
- Jaroslav Tichý, 2015, "Risks of Mortgage Loans in the Czech Republic," ACTA VSFS, University of Finance and Administration, volume 9, issue 1, pages 59-73.
- Martin Mandel & Vladimír Tomšík, 2015, "Dynamika a rovnováha úspor, investic a úvěru v hospodářském cyklu: příklad České republiky
[Dynamics and Balance of Savings, Investments, and Credits in Business Cycle: The Case of the Czech Republic]," Politická ekonomie, Prague University of Economics and Business, volume 2015, issue 1, pages 32-56, DOI: 10.18267/j.polek.987. - Naďa Blahová & Karel Brůna, 2015, "Ekonomické a regulatorní podmínky řízení likvidity v bankovním sektoru České republiky v kontextu aplikace poměru likvidního krytí
[Economic and Regulatory Conditions of Liquidity Management in the Czech Banking Sector in the Context of Applicatio," Politická ekonomie, Prague University of Economics and Business, volume 2015, issue 6, pages 689-713, DOI: 10.18267/j.polek.1021. - Aleš Melecký & Martin Melecký & Monika Šulganová, 2015, "Úvěry v selhání a makroekonomika: modelování systémového kreditního rizika v České republice
[Non-Performing Loans and The Macroeconomy: Modeling the Systemic Credit Risk in the Czech Republic]," Politická ekonomie, Prague University of Economics and Business, volume 2015, issue 8, pages 921-947, DOI: 10.18267/j.polek.1045. - Daniel Karl Dietzer, 2015, "Financial Market Regulation in Germany - Capital Requirements of Financial Institutions," PSL Quarterly Review, Economia civile, volume 68, issue 272, pages 57-86.
- Claudia Curi & Ana Lozano-Vivas & Valentin Zelenyuk, 2015, "Foreign bank diversification and efficiency prior to and during the financial crisis: Does one business model fit all?," CEPA Working Papers Series, School of Economics, University of Queensland, Australia, number WP042015, Apr.
- Marcelo Fernandes & Deniz Igan & Marcelo Pinheiro, 2015, "March Madness in Wall Street: (What) Does the Market Learn from Stress Tests?," Working Papers, Queen Mary University of London, School of Economics and Finance, number 771, Dec.
- Emmanuel Farhi & Jean Tirole, 2016, "Deadly Embrace: Sovereign and Financial Balance Sheets Doom Loops," Working Paper, Harvard University OpenScholar, number 164191, Jan.
- Régis Breton & Laurent Clerc, 2015, "Reforming the Structures of the EU Banking Sector: Risks and Challenges," Bankers, Markets & Investors, ESKA Publishing, issue 135, pages 37-48, March-Apr.
- Todd Keister & Vijay Narasiman, 2015, "Online Appendix to "Expectations vs. Fundamentals- driven Bank Runs: When Should Bailouts be Permitted?"," Online Appendices, Review of Economic Dynamics, number 13-73.
- Todd Keister & Vijay Narasiman, 2015, "Code and data files for "Expectations vs. Fundamentals- driven Bank Runs: When Should Bailouts be Permitted?"," Computer Codes, Review of Economic Dynamics, number 13-73, revised .
- Gaetano Antinolfi & Francesca Carapella & Charles Kahn & Antoine Martin & David Mills & Ed Nosal, 2015, "Repos, Fire Sales, and Bankruptcy Policy," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 18, issue 1, pages 21-31, January, DOI: 10.1016/j.red.2014.06.002.
- Thomas Philippon & Joseba Martinez & Miguel de Faria e Castro, 2015, "Runs versus Lemons: Information Disclosure and Fiscal Capacity," 2015 Meeting Papers, Society for Economic Dynamics, number 1146.
- Frederic Malherbe, 2015, "Optimal Capital Requirements over the Business and Financial Cycles," 2015 Meeting Papers, Society for Economic Dynamics, number 1154.
- Robert Hunt & Viktar Fedaseyeu, 2015, "The Economics of Debt Collection: Enforcement of Consumer Credit Contracts," 2015 Meeting Papers, Society for Economic Dynamics, number 1244.
- Dimitrios Tsomocos & Alexandros Vardoulakis & Anil Kashyap, 2015, "How does macroprudential regulation change bank credit supply?," 2015 Meeting Papers, Society for Economic Dynamics, number 1338.
- Gregor Matvos & Ali Hortacsu & Mark Egan, 2015, "Deposit Competition and Financial Fragility: Evidence from the US Banking Sector," 2015 Meeting Papers, Society for Economic Dynamics, number 1363.
- Marcin Kolasa, 2015, "On the Limits of Macroprudential Policy," 2015 Meeting Papers, Society for Economic Dynamics, number 207.
- Nina Boyarchenko & Tobias Adrian, 2015, "Intermediary Balance Sheets," 2015 Meeting Papers, Society for Economic Dynamics, number 239.
- Tim Landvoigt & Stijn Van Nieuwerburgh & Vadim Elenev, 2015, "Phasing out the GSEs," 2015 Meeting Papers, Society for Economic Dynamics, number 977.
- Tudor Gherasim Smirna & Mihai-Vladimir Topan, 2015, "The Struggles for the Establishment of the National Bank of Moldavia In Light of the Theory of Political Entrepreneurship," Romanian Economic Journal, Department of International Business and Economics from the Academy of Economic Studies Bucharest, volume 18, issue 56, pages 167-180, June,.
- Donatella Baiardi & Claudio Morana, 2015, "Financial Deepening And Income Distribution Inequality In The Euro Area," Working Paper series, Rimini Centre for Economic Analysis, number 15-44, Nov.
- Vikram Nehru, 2015, "Developing Myanmar’s Finance Sector to Support Rapid, Inclusive, and Sustainable Economic Growth," ADB Economics Working Paper Series, Asian Development Bank, number 430, Apr.
- Gemma Estrada & Marcus Noland & Donghyun Park & Arief Ramayandi, 2015, "Financing Asia’s Growth," ADB Economics Working Paper Series, Asian Development Bank, number 438, Jul.
- Minsoo Lee & Ruben Carlo Asuncion & Jungsuk Kim, 2015, "Effectiveness of Macroprudential Policies in Developing Asia: An Empirical Analysis," ADB Economics Working Paper Series, Asian Development Bank, number 439, Jul.
- Michael Zamorski & Minsoo Lee, 2015, "Enhancing Bank Supervision in Asia: Lessons Learned from the Financial Crisis," ADB Economics Working Paper Series, Asian Development Bank, number 443, Aug.
- Aaron Batten & Poullang Doung & Enerelt Enkhbold & Gemma Estrada & Jan Hansen & George Luarsabishvili & Md. Golam Mortaza & Donghyun Park, 2015, "The Financial Systems of Financially Less Developed Asian Economies: Key Features and Reform Priorities," ADB Economics Working Paper Series, Asian Development Bank, number 450, Sep.
- Niny Khor & Ryan Jacildo & Ruth Tacneng, 2015, "Assessing Mandated Credit Programs: Case Study of the Magna Carta in the Philippines," ADB Economics Working Paper Series, Asian Development Bank, number 463, Nov.
- Naoyuki Yoshino & Farhad Taghizadeh-Hesary & Farhad Nili, 2015, "Estimating Dual Deposit Insurance Premium Rates and Forecasting Non-performing Loans: Two New Models," ADBI Working Papers, Asian Development Bank Institute, number 510, Jan.
- Peter Morgan & Paulo Jose Regis & Nimesh Salike, 2015, "Loan-to-Value Policy as a Macroprudential Tool: The Case of Residential Mortgage Loans in Asia," ADBI Working Papers, Asian Development Bank Institute, number 528, Jun.
- Doris Neuberger, 2015, "Financial Inclusion, Regulation, and Education in Germany," ADBI Working Papers, Asian Development Bank Institute, number 530, Jul.
- Naoyuki Yoshino & Peter Morgan & Ganeshan Wignaraja, 2015, "Financial Education in Asia: Assessment and Recommendations," ADBI Working Papers, Asian Development Bank Institute, number 534, Aug.
- Tulus Tambunan, 2015, "Financial Inclusion, Financial Education, and Financial Regulation: A Story from Indonesia," ADBI Working Papers, Asian Development Bank Institute, number 535, Sep.
- Kanittha Tambunlertchai, 2015, "Financial Inclusion, Financial Regulation, and Financial Education in Thailand," ADBI Working Papers, Asian Development Bank Institute, number 537, Sep.
- Sue Lewis & Dominic Lindley, 2015, "Financial Inclusion, Financial Education, and Financial Regulation in the United Kingdom," ADBI Working Papers, Asian Development Bank Institute, number 544, Oct.
- Mikhail Mamonov, 2015, "Microeconomic modification of an industry-wide Boone indicator: Market power of Russian banks revisited," Applied Econometrics, Russian Presidential Academy of National Economy and Public Administration (RANEPA), volume 39, issue 3, pages 18-44.
- Tita Deitiana, 2015, "The Determinant of CSR Disclosure of Mining Industry Listed in Indonesia Stock Exchange," Asian Business Review, Asian Business Consortium, volume 5, issue 3, pages 141-148.
- Jugnu Ansari, 2015, "Product Diversification And Bank Risk Taking Behavior: An Empirical Evidence From Indian Banking System," Working Papers, Centre for Advanced Financial Research and Learning (CAFRAL), number 022343, Jun.
- Abd Elrahman Elzahi, 2015, "Islamic Microfinance: Moving Beyond Financial Inclusion," Working Papers, The Islamic Research and Teaching Institute (IRTI), number 1435-11, Jan.
- Abd Elrahman Elzahi Saaid Ali, 2015, "The Regulatory and Supervision Framework of Microfinance in Kenya," Working Papers, The Islamic Research and Teaching Institute (IRTI), number 1436-9, Jul.
- Steven L. Schwarcz, 2015, "The governance structure of shadow banking: rethinking assumptions about limited liability," Journal of Financial Perspectives, EY Global FS Institute, volume 3, issue 1, pages 101-140.
- Roy Choudhury, 2015, "Rethinking the treasury operating model," Journal of Financial Perspectives, EY Global FS Institute, volume 3, issue 1, pages 141-156.
- Banerjee, Sreejata & Velamuri, Malathi, 2015, "The conundrum of profitability versus soundness for banks by ownership type: Evidence from the Indian banking sector," Review of Financial Economics, Elsevier, volume 26, issue C, pages 12-24, DOI: 10.1016/j.rfe.2015.04.001.
- Bissoondoyal-Bheenick, Emawtee & Brooks, Robert & Treepongkaruna, Sirimon, 2015, "Do asset backed securities ratings matter on average?," Research in International Business and Finance, Elsevier, volume 33, issue C, pages 32-43, DOI: 10.1016/j.ribaf.2014.05.004.
- Khediri, Karim Ben & Charfeddine, Lanouar & Youssef, Slah Ben, 2015, "Islamic versus conventional banks in the GCC countries: A comparative study using classification techniques," Research in International Business and Finance, Elsevier, volume 33, issue C, pages 75-98, DOI: 10.1016/j.ribaf.2014.07.002.
- Zvonimir Savic, 2015, "EU fondovi i Junckerov program kao poticajni alati investicija i ukupnog gospodarskog razvoja," Ekonomija Economics, Rifin d.o.o., volume 22, issue 1, pages 53-74.
- Danielsson, Jon & James, Kevin R. & Valenzuela, Marcela & Zer, Ilknur, 2015, "Can we prove a bank guilty of creating systemic risk? A minority report," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 119462, Sep.
- Matta, Rafael & Perotti, Enrico, 2015, "Insecure debt," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 65099, Jul.
- Lyndon Moore & Sturla Fjesme & Neil Galpin, 2015, "The vicar, the widow, or the gentleman: who gets allocated IPO shares?," Working Papers, Economic History Society, number 15011, Mar.
- Peña Cerezo, Miguel Ángel & Rodríguez Castellanos, Arturo & Ibáñez Hernández, Francisco Jaime, 2015, "Does rating shopping exist in spanish securitization issues?," Cuadernos de Gestión, Universidad del País Vasco - Instituto de Economía Aplicada a la Empresa (IEAE).
- Cristina Dorofti & Petr Jakubik, 2015, "Insurance Sector Profitability and the Macroeconomic Environment," EIOPA Financial Stability Report - Thematic Articles, EIOPA, Risks and Financial Stability Department, number 4, Jun.
- Casper Christophersen & Juan Zschiesche, 2015, "Macroprudential Objectives and Instruments for Insurance – An Initial Discussion," EIOPA Financial Stability Report - Thematic Articles, EIOPA, Risks and Financial Stability Department, number 5, Jun.
- Elia Berdin & Matteo Sottocornola, 2015, "Assessing Systemic Risk of the European Insurance Industry," EIOPA Financial Stability Report - Thematic Articles, EIOPA, Risks and Financial Stability Department, number 6, Dec.
- Sajid M. Chaudhry & Andrew W. Mullineux & Natasha Agarwal, 2015, "Balancing the Regulation and Taxation of Banking," Books, Edward Elgar Publishing, number 16668, ISBN: ARRAY(0x69fa6100).
- James E. McNulty & Aigbe Akhigbe, 2015, "Toward a Better Measure of Bank Corporate Governance," Advances in Financial Economics, Emerald Group Publishing Limited, "International Corporate Governance", DOI: 10.1108/S1569-373220150000018004.
- Poonam Gupta & Kalpana Kochhar & Sanjaya Panth, 2015, "Bank ownership and the effects of financial liberalization: evidence from India," Indian Growth and Development Review, Emerald Group Publishing Limited, volume 8, issue 1, pages 109-138, April, DOI: 10.1108/IGDR-08-2014-0028.
- Katina Gregory & Gerhard Hambusch, 2015, "Factors driving risk in the US banking industry," International Journal of Managerial Finance, Emerald Group Publishing Limited, volume 11, issue 3, pages 388-410, June, DOI: 10.1108/IJMF-02-2015-0017.
- Madhu Sehrawat & A K Giri, 2015, "Financial development and income inequality in India: an application of ARDL approach," International Journal of Social Economics, Emerald Group Publishing Limited, volume 42, issue 1, pages 64-81, January, DOI: 10.1108/IJSE-09-2013-0208.
- Md. Dulal Miah & Kashfia Sharmeen, 2015, "Relationship between capital, risk and efficiency," International Journal of Islamic and Middle Eastern Finance and Management, Emerald Group Publishing Limited, volume 8, issue 2, pages 203-221, June, DOI: 10.1108/IMEFM-03-2014-0027.
- Michel Roux, 2015, "Finance Otherwise: The End of Banks?," International Symposia in Economic Theory and Econometrics, Emerald Group Publishing Limited, "Monetary Policy in the Context of the Financial Crisis: New Challenges and Lessons", DOI: 10.1108/S1571-038620150000024027.
- P. K. Gupta & Sanjeev Gupta, 2015, "Corporate frauds in India – perceptions and emerging issues," Journal of Financial Crime, Emerald Group Publishing Limited, volume 22, issue 1, pages 79-103, January, DOI: 10.1108/JFC-07-2013-0045.
- Christine Ann Brown & Kevin Davis & David Mayes, 2015, "Regulatory change in Australia and New Zealand following the global financial crisis," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 7, issue 1, pages 8-28, April, DOI: 10.1108/JFEP-11-2014-0072.
- Santi Gopal Maji & Utpal Kumar De, 2015, "Regulatory capital and risk of Indian banks: a simultaneous equation approach," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 7, issue 2, pages 140-156, May, DOI: 10.1108/JFEP-06-2014-0038.
- Michal Skorepa & Jakub Seidler, 2015, "Capital buffers based on banks’ domestic systemic importance: selected issues," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 7, issue 3, pages 207-220, August, DOI: 10.1108/JFEP-07-2014-0040.
- Kangbok Lee & Wenling Lu, 2015, "Do bank regulation and supervision matter?," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 7, issue 3, pages 275-288, August, DOI: 10.1108/JFEP-03-2015-0019.
- Jacob Kleinow & Tobias Nell, 2015, "Determinants of systemically important banks: the case of Europe," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 7, issue 4, pages 446-476, November, DOI: 10.1108/JFEP-07-2015-0042.
- Andrew Phiri, 2015, "Asymmetric cointegration and causality effects between financial development and economic growth in South Africa," Studies in Economics and Finance, Emerald Group Publishing Limited, volume 32, issue 4, pages 464-484, October, DOI: 10.1108/SEF-01-2014-0009.
- Eileen Appelbaum, 2015, "Private Equity and the SEC after Dodd-Frank," CEPR Reports and Issue Briefs, Center for Economic and Policy Research (CEPR), number 2015-02, Jan.
- Dean Baker & Nicole Woo, 2015, "The Incidence of Financial Transactions Taxes," CEPR Reports and Issue Briefs, Center for Economic and Policy Research (CEPR), number 2015-25, Dec.
- Pablo Gasós & Ernest Gnan & Morten Balling (ed.), 2015, "Challenges in Securities Markets Regulation: Investor Protection and Corporate Governance," SUERF Studies, SUERF - The European Money and Finance Forum, number 2015/1, ISBN: ARRAY(0x82180d50), May.
- Christian Beer & Ernest Gnan (ed.), 2015, "Asset-Liability Management with Ultra-Low Interest Rates," SUERF Studies, SUERF - The European Money and Finance Forum, number 2015/2, ISBN: ARRAY(0x82a45730), May.
- Esa Jokivuolle & Jouko Vilmunen (ed.), 2015, "Liquidity and Market Efficiency – Alive and well?," SUERF Studies, SUERF - The European Money and Finance Forum, number 2015/3, ISBN: ARRAY(0x824946b0), May.
- Keqing Liu, 2015, "Bank Equity and Macroprudential Policy," Discussion Papers, University of Exeter, Department of Economics, number 1503.
- Petr Macek & Petr Teply, 2015, "Credit Valuation Adjustment Modelling During a Global Low Interest Rate Environment," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2015/01, Jan, revised Jan 2015.
- Martina Jasova, 2015, "Banking Crises in Emerging Economies: Can Credit Variables Work as Early Warnings?," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2015/27, Nov, revised Nov 2015.
- Lilit Popoyan & Mauro Napoletano & Andrea Roventini, 2015, "Taming macroeconomic instability : monetary and macro prudential policy interactions in an agent-based model," Documents de Travail de l'OFCE, Observatoire Francais des Conjonctures Economiques (OFCE), number 2015-32, Dec.
- Nuno Teles, 2015, "Financialisation and neoliberalism; The case of water provision in Portugal," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper102, Jan.
- Egert Juuse & Rainer Kattel, 2015, "Implications of the Transformation of the State-Owned Banking System into System of Foreign-Owned Banks in New Member States for Macroeconomic and Financial Stability," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper103, Feb.
- Trevor Evans & Hansjorg Herr, 2015, "Synthesisof sectoral studies of the currency, energy, and residential property markets," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper113, Sep.
- Alfred Janc & Pawel Marszalek, 2015, "Effects of internationalization, privatisation and demutualization of the financial sector on supply of finance and stability," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper119, Sep.
- Claire Greene & Mi Luo, 2015, "Consumers' Use of Overdraft Protection," Consumer Payments Research Data Reports, Federal Reserve Bank of Atlanta, number 2015-08, Nov.
- W. Scott Frame & Kristopher Gerardi & Paul S. Willen, 2015, "The failure of supervisory stress testing: Fannie Mae, Freddie Mac, and OFHEO," FRB Atlanta Working Paper, Federal Reserve Bank of Atlanta, number 2015-3, Mar.
- Maria J. Nieto & Larry D. Wall, 2015, "Cross-border banking on the two sides of the Atlantic: does it have an impact on bank crisis management?," FRB Atlanta Working Paper, Federal Reserve Bank of Atlanta, number 2015-11, Nov.
- Eva Liebmann & Joe Peek, 2015, "Global standards for liquidity regulation," Current Policy Perspectives, Federal Reserve Bank of Boston, number 15-3, Jul.
- Joe Peek & Eric Rosengren, 2015, "Credit supply disruptions: from credit crunches to financial crisis," Current Policy Perspectives, Federal Reserve Bank of Boston, number 15-5, Oct.
- Michelle L. Barnes & James Bohn & Cynthia Martin, 2015, "A post-mortem of the life insurance industry's bid for capital during the financial crisis," Current Policy Perspectives, Federal Reserve Bank of Boston, number 15-8, Dec.
- Claire Greene & Mi Luo, 2015, "Consumers' use of overdraft protection," Research Data Report, Federal Reserve Bank of Boston, number 15-8, Nov.
- W. Scott Frame & Kristopher Gerardi & Paul S. Willen, 2015, "The Failure of supervisory stress testing: Fannie Mae, Freddie Mac, and OFHEO," Working Papers, Federal Reserve Bank of Boston, number 15-4, Mar.
- Adrian Alter & Ben R. Craig & Peter Raupach, 2015, "Centrality-based Capital Allocations," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1501, Feb, DOI: 10.26509/frbc-wp-201501.
- Joseph G. Haubrich, 2015, "How Cyclical Is Bank Capital?," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1504, Mar, DOI: 10.26509/frbc-wp-201504r1.
- John Dooley & Dieter Gramlich & Mikhail V. Oet & Stephen J. Ong & Peter Sarlin, 2015, "Evaluating the Information Value for Measures of Systemic Conditions," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1513, Aug, DOI: 10.26509/frbc-wp-201513.
- Lakshmi Balasubramanyan & Ben R. Craig & James B. Thomson & Saeed Zaman, 2015, "Credit Market Information Feedback," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1515, Sep, DOI: 10.26509/frbc-wp-201515.
- Joseph G. Haubrich, 2015, "How Cyclical Is Bank Capital?," Working Papers, Federal Reserve Bank of Cleveland, number 15-04R, Mar, DOI: 10.26509/frbc-wp-201504r1.
- Pedro Gete, 2015, "Housing demands, savings gluts and current account dynamics," Globalization Institute Working Papers, Federal Reserve Bank of Dallas, number 221, Jan, DOI: 10.24149/gwp221.
- Aitor Erce, 2015, "Bank and sovereign risk feedback loops," Globalization Institute Working Papers, Federal Reserve Bank of Dallas, number 227, Feb, DOI: 10.24149/gwp227.
- Galina Hale & John Krainer & Erin McCarthy, 2015, "Aggregation level in stress testing models," Working Paper Series, Federal Reserve Bank of San Francisco, number 2015-14, Sep, DOI: 10.24148/wp2015-14.
- Mark A. Carlson & Burcu Duygan-Bump & William R. Nelson, 2015, "Why Do We Need Both Liquidity Regulations and a Lender of Last Resort? A Perspective from Federal Reserve Lending during the 2007-09 U.S. Financial Crisis," Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.), number 2015-11, Feb, DOI: 10.17016/FEDS.2015.011.
- Javed I. Ahmed & Christopher Anderson & Rebecca Zarutskie, 2015, "Are the Borrowing Costs of Large Financial Firms Unusual?," Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.), number 2015-24, Mar, DOI: 10.17016/FEDS.2015.024.
Printed from https://ideas.repec.org/j/G28-58.html