My bibliography
Save this item
Bank insolvency risk and time-varying Z-score measures
Citations
Citations are extracted by the CitEc Project, subscribe to its RSS feed for this item.
Cited by:
- Albulescu, Claudiu Tiberiu & Ionescu, Adrian Marius, 2018.
"The long-run impact of monetary policy uncertainty and banking stability on inward FDI in EU countries,"
Research in International Business and Finance, Elsevier, vol. 45(C), pages 72-81.
- Claudiu Tiberiu Albulescu & Adrian Marius Ionescu, 2017. "The long-run impact of monetary policy uncertainty and banking stability on inward FDI in EU countries," Working Papers hal-01503950, HAL.
- Fosu, Samuel & Ntim, Collins G. & Coffie, William & Murinde, Victor, 2017. "Bank opacity and risk-taking: Evidence from analysts’ forecasts," Journal of Financial Stability, Elsevier, vol. 33(C), pages 81-95.
- Brighi, Paola & Venturelli, Valeria, 2016. "How functional and geographic diversification affect bank profitability during the crisis," Finance Research Letters, Elsevier, vol. 16(C), pages 1-10.
- repec:eme:jfrcpp:jfrc-08-2018-0118 is not listed on IDEAS
- Moreira, Fernando, 2022. "Are we living in an illusion? A fresh look at the importance of bank capital in the quest for stability," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 76(C).
- Rachita Gulati & M. Kabir Hassan & Vincent Charles, 2024. "Developing a New Multidimensional Index of Bank Stability and Its Usage in the Design of Optimal Policy Interventions," Computational Economics, Springer;Society for Computational Economics, vol. 63(4), pages 1281-1325, April.
- Samarasinghe, Ama, 2023. "Stock market liquidity and bank stability," Pacific-Basin Finance Journal, Elsevier, vol. 79(C).
- Risfandy, Tastaftiyan & Tarazi, Amine & Trinugroho, Irwan, 2022.
"Competition in dual markets: Implications for banking system stability,"
Global Finance Journal, Elsevier, vol. 52(C).
- Tastaftiyan Risfandy & Amine Tarazi & Irwan Trinugroho, 2018. "Competition in dual markets: Implications for banking system stability," Working Papers hal-01757982, HAL.
- Amine Tarazi & Tastaftiyan Risfandy & Irwan Trinugroho, 2020. "Competition in dual markets : Implications for banking system stability," Post-Print hal-03543678, HAL.
- Guidi, Francesco, 2021. "Concentration, competition and financial stability in the South-East Europe banking context," International Review of Economics & Finance, Elsevier, vol. 76(C), pages 639-670.
- Katarzyna Sum, 2015. "Banking regulation and bank performance in the EU – what should be the scope of the regulatory reform?," Bank i Kredyt, Narodowy Bank Polski, vol. 46(3), pages 207-236.
- Baziki, Selva Bahar & Nieto, María J. & Turk-Ariss, Rima, 2023. "Sovereign portfolio composition and bank risk: The case of European banks," Journal of Financial Stability, Elsevier, vol. 65(C).
- Chronopoulos, Dimitris K. & Wilson, John O.S. & Yilmaz, Muhammed H., 2023. "Regulatory oversight and bank risk," Journal of Financial Stability, Elsevier, vol. 64(C).
- Yaseen Ghulam & Julian Beier, 2018. "Government ownership and risk taking among European savings banks," Journal of Banking Regulation, Palgrave Macmillan, vol. 19(3), pages 257-269, July.
- Maroun, George & Fromentin, Vincent, 2024. "Financial instability in Lebanon: Do the liquidity creation and performance of banks matter?," The Quarterly Review of Economics and Finance, Elsevier, vol. 96(C).
- Shailesh Rastogi & Rajani Gupte & R. Meenakshi, 2021. "A Holistic Perspective on Bank Performance Using Regulation, Profitability, and Risk-Taking with a View on Ownership Concentration," JRFM, MDPI, vol. 14(3), pages 1-22, March.
- Ngambou Djatche, Melchisédek Joslem, 2019.
"Re-exploring the nexus between monetary policy and banks' risk-taking,"
Economic Modelling, Elsevier, vol. 82(C), pages 294-307.
- Melchisedek Joslem Ngambou Djatche, 2018. "Re-exploring the nexus between monetary policy and banks'risk-taking," Working Papers halshs-03420213, HAL.
- Melchisedek Joslem Ngambou Djatche, 2018. "Re-Exploring the Nexus between Monetary Policy and Banks' Risk-Taking," GREDEG Working Papers 2018-12, Groupe de REcherche en Droit, Economie, Gestion (GREDEG CNRS), Université Côte d'Azur, France.
- Melchisedek Joslem Ngambou Djatche, 2018. "Re-exploring the nexus between monetary policy and banks' risk-taking," Post-Print halshs-03419117, HAL.
- Melchisedek Joslem Ngambou Djatche, 2019. "Re-exploring the nexus between monetary policy and banks'risk-taking," Post-Print halshs-02144522, HAL.
- Melchisedek Joslem Ngambou Djatche, 2018. "Re-exploring the nexus between monetary policy and banks' risk-taking," Post-Print halshs-03419139, HAL.
- Melchisedek Joslem Ngambou Djatche, 2018. "Re-exploring the nexus between monetary policy and banks' risk-taking," Post-Print halshs-03419126, HAL.
- Gulati, Rachita & Singh, Nirmal & Kumar, Sunil & Duppati, Geeta, 2023. "Bank stability in the Indian subcontinent region: Evolution and determinants," Pacific-Basin Finance Journal, Elsevier, vol. 79(C).
- Sezer Bozkus Kahyaoglu & M. Vedat Pazarlioglu, 2014. "Hedging Strategy for Electricity Market Price Volatility: The Case of Turkish Electricity Market," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 196-210, March.
- Lepetit, Laetitia & Strobel, Frank, 2015.
"Bank insolvency risk and Z-score measures: A refinement,"
Finance Research Letters, Elsevier, vol. 13(C), pages 214-224.
- Laetitia Lepetit & Frank Strobel, 2015. "Bank Insolvency Risk and Z-Score Measures: A Refinement," Post-Print hal-01204881, HAL.
- Hassan Alalmaee, 2024. "Natural Disasters and Banking Stability," Economies, MDPI, vol. 12(2), pages 1-24, January.
- Abuzayed, Bana & Al-Fayoumi, Nedal & Molyneux, Phil, 2018. "Diversification and bank stability in the GCC," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 57(C), pages 17-43.
- Mare, Davide Salvatore & Moreira, Fernando & Rossi, Roberto, 2017.
"Nonstationary Z-Score measures,"
European Journal of Operational Research, Elsevier, vol. 260(1), pages 348-358.
- Mare, Davide Salvatore & Moreira, Fernando & Rossi, Roberto, 2015. "Nonstationary Z-score measures," MPRA Paper 67840, University Library of Munich, Germany.
- Hassan Belkacem GHASSAN, 2017.
"New alternative measuring financial stability,"
Turkish Economic Review, KSP Journals, vol. 4(3), pages 275-281, September.
- Ghassan, Hassan B., 2017. "New alternative measuring financial stability," MPRA Paper 80508, University Library of Munich, Germany.
- Lepetit, L. & Meslier, C. & Strobel, F. & Wardhana, L., 2018.
"Bank dividends, agency costs and shareholder and creditor rights,"
International Review of Financial Analysis, Elsevier, vol. 56(C), pages 93-111.
- L Lepetit & Céline Meslier-Crouzille & F Strobel & Leo Indra Wardhana, 2018. "Bank dividends, agency costs and shareholder and creditor rights," Post-Print hal-03566491, HAL.
- Fabian Kuehnhausen, 2014. "The Impact of Financial Innovation on Firm Stability," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 211-239, March.
- Inka Yusgiantoro & Wahyoe Soedarmono & Amine Tarazi, 2017.
"Bank consolidation and financial stability revisited: Evidence from Indonesia,"
Working Papers
hal-01577970, HAL.
- Inka Yusgiantoro & Wahyoe Soedarmono & Amine Tarazi, 2019. "Bank consolidation and financial stability revisited: Evidence from Indonesia," Post-Print hal-02157533, HAL.
- Peterson K. Ozili, 2018. "Banking stability determinants in Africa," International Journal of Managerial Finance, Emerald Group Publishing Limited, vol. 14(4), pages 462-483, May.
- Ashraf, Dawood & Rizwan, Muhammad Suhail & L’Huillier, Barbara, 2016. "A net stable funding ratio for Islamic banks and its impact on financial stability: An international investigation," Journal of Financial Stability, Elsevier, vol. 25(C), pages 47-57.
- Miguel Sarmiento & Jorge Cely & Carlos León, 2015.
"Monitoring the Unsecured Interbank Funds Market,"
Borradores de Economia
14080, Banco de la Republica.
- Miguel Sarmiento & Jorge Cely & Carlos León, 2015. "Monitoring the Unsecured Interbank Funds Market," Borradores de Economia 917, Banco de la Republica de Colombia.
- John O S Wilson & Linh Nguyen & Anna Sobiech & Lechedzani Kgari, 2024. "Bank business model identification evolution and outcomes evidence for South Africa," Working Papers 11059, South African Reserve Bank.
- Peterson K. Ozili, 2020.
"Does competence of central bank governors influence financial stability?,"
Future Business Journal, Springer, vol. 6(1), pages 1-20, December.
- Ozili, Peterson K, 2020. "Does competence of central bank governors influence financial stability?," MPRA Paper 102042, University Library of Munich, Germany.
- Suleyman Hilmi Kal & Nuran Arslaner & Ferhat Arslaner, 2014. "Inflation Dynamics and Business Cycles," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 121-129, March.
- Juan Carlos CUESTAS & Yannick LUCOTTE & Nicolas REIGL, 2019. "Banking sector concentration, competition and financial stability: the case of the Baltic countries," LEO Working Papers / DR LEO 2731, Orleans Economics Laboratory / Laboratoire d'Economie d'Orleans (LEO), University of Orleans.
- Leroy, Aurélien & Lucotte, Yannick, 2017.
"Is there a competition-stability trade-off in European banking?,"
Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 46(C), pages 199-215.
- Aurelien Leroy & Yannick Lucotte, 2015. "Is there a competition-stability trade-off in European banking?," Bank of Lithuania Working Paper Series 19, Bank of Lithuania.
- Montgomery, Heather & Harimaya, Kozo & Takahashi, Yuki, 2014. "Too big to succeed? Banking sector consolidation and efficiency," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 32(C), pages 86-106.
- Kanga, Désiré & Murinde, Victor & Soumaré, Issouf, 2020. "Capital, risk and profitability of WAEMU banks: Does bank ownership matter?," Journal of Banking & Finance, Elsevier, vol. 114(C).
- Matěj Kuc & Petr Teplý, 2018. "A Financial Performance Comparison of Czech Credit Unions and European Cooperative Banks," Prague Economic Papers, Prague University of Economics and Business, vol. 2018(6), pages 723-742.
- Schulte, Markus & Winkler, Adalbert, 2019. "Drivers of solvency risk – Are microfinance institutions different?," Journal of Banking & Finance, Elsevier, vol. 106(C), pages 403-426.
- Gehrig, Thomas & Iannino, Maria Chiara & Unger, Stephan, 2024.
"Social responsibility and bank resiliency,"
Journal of Financial Stability, Elsevier, vol. 70(C).
- Gehrig, Thomas & Unger, Stephan, 2021. "Social Responsibility and Bank Resiliency," CEPR Discussion Papers 15816, C.E.P.R. Discussion Papers.
- Dinger, Valeriya & te Kaat, Daniel Marcel, 2020. "Cross-border capital flows and bank risk-taking," Journal of Banking & Finance, Elsevier, vol. 117(C).
- Thierno Barry & Laetitia Lepetit & Frank Strobel & Thu Tran, 2018. "Better than independent: the role of minority directors on bank boards," Working Papers hal-01937927, HAL.
- Guzin Gulsun Akin & Ahmet Faruk Aysan & Gültekin Gollu & Levent Yildiran, 2014. "Formal and Informal Regulations for Credit Card Payment Services," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 1-33, March.
- Cuestas, Juan Carlos & Lucotte, Yannick & Reigl, Nicolas, 2017.
"Banking sector concentration, competition and financial stability: the case of the Baltic countries,"
Bank of Estonia Working Papers
wp2017-7, Bank of Estonia, revised 11 Sep 2017.
- Juan Carlos CUESTAS & Yannick LUCOTTE & Nicolas REIGL, 2019. "Banking sector concentration, competition and financial stability: the case of the Baltic countries," LEO Working Papers / DR LEO 2711, Orleans Economics Laboratory / Laboratoire d'Economie d'Orleans (LEO), University of Orleans.
- Peterson K. Ozili, 2018.
"Banking stability determinants in Africa,"
International Journal of Managerial Finance, Emerald Group Publishing Limited, vol. 14(4), pages 462-483, May.
- Ozili, Peterson K, 2018. "Banking Stability Determinants in Africa," MPRA Paper 101825, University Library of Munich, Germany.
- Krause, Thomas & Sondershaus, Talina & Tonzer, Lena, 2017. "Complexity and bank risk during the financial crisis," Economics Letters, Elsevier, vol. 150(C), pages 118-121.
- Ahmet Duran & Burhaneddin Izgi, 2014. "Comovement and Polarization of Interest Rate and Stock Market in Turkey," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 130-141, March.
- Nyola, Annick Pamen & Sauviat, Alain & Tarazi, Amine & Danisman, Gamze Ozturk, 2021.
"How organizational and geographic complexity influence performance: Evidence from European banks,"
Journal of Financial Stability, Elsevier, vol. 55(C).
- Pamen Annick & Alain Sauviat & Amine Tarazi, 2020. "How Organizational and Geographic Complexity Influence Performance? Evidence from European Banks," Working Papers hal-02966628, HAL.
- Papanikolaou, Nikolaos I., 2018.
"To be bailed out or to be left to fail? A dynamic competing risks hazard analysis,"
Journal of Financial Stability, Elsevier, vol. 34(C), pages 61-85.
- Nikolaos I. Papanikolaou, 2017. "To Be Bailed Out or To Be Left to Fail? A Dynamic Competing Risks Hazard Analysis," BAFES Working Papers BAFES12, Department of Accounting, Finance & Economic, Bournemouth University.
- Niţoi, Mihai & Clichici, Dorina & Moagăr-Poladian, Simona, 2019. "The effects of prudential policies on bank leverage and insolvency risk in Central and Eastern Europe," Economic Modelling, Elsevier, vol. 81(C), pages 148-160.
- Ádám Banai & Nikolett Vágó, 2018. "The effect of house prices on bank risk: empirical evidence from Hungary," NBP Working Papers 289, Narodowy Bank Polski.
- Sarmiento, Miguel & Cely, Jorge & León, Carlos, 2017. "An early warning indicator system to monitor the unsecured interbank funds market," Research in International Business and Finance, Elsevier, vol. 40(C), pages 114-128.
- Kühnhausen, Fabian, 2014. "Financial Innovation and Fragility," Discussion Papers in Economics 21173, University of Munich, Department of Economics.
- Naaman, Christine & Magnan, Michel & Hammami, Ahmad & Yao, Li, 2021. "Credit unions vs. commercial banks, who takes more risk?," Research in International Business and Finance, Elsevier, vol. 55(C).
- Ghassan, Hassan B. & Fachin, Stefano, 2016.
"Time series analysis of financial stability of banks: Evidence from Saudi Arabia,"
Review of Financial Economics, Elsevier, vol. 31(C), pages 3-17.
- Hassan B. Ghassan & Stefano Fachin, 2016. "Time series analysis of financial stability of banks: Evidence from Saudi Arabia," Review of Financial Economics, John Wiley & Sons, vol. 31(1), pages 3-17, November.
- Hassan, Ghassan & Stefano, Fachin, 2014. "Time Series Analysis of Financial stability of banks: Evidence from Saudi Arabia," MPRA Paper 71930, University Library of Munich, Germany, revised 05 Feb 2016.
- Hamid Mohtadi & Stefan Ruediger, 2014. "Volatility and Transparency of Financial Markets in the MENA Region," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 173-195, March.
- Tang, Ning & Kamar, Amina & Lin, Chih-Yung & Lu, Chien-Lin, 2023. "Bank safety-oriented culture and lending decisions," Journal of Financial Stability, Elsevier, vol. 66(C).
- Efthymios G. Tsionas, 2014. "On modeling banking risk," Working Papers 183, Bank of Greece.
- Alin-Marius ANDRIEŞ & Ioana PLEŞCĂU, 2020. "The Risk-Taking Channel of Monetary Policy: Do Macroprudential Regulation and Central Bank Independence Influence the Transmission of Interest Rates?," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(3), pages 5-30, September.
- Mehmet Balcilar & Riza Demirer, 2014. "The Effect of Global Shocks and Volatility on Herd Behavior in Borsa Istanbul," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 142-172, March.
- Ozili, Peterson K, 2019. "Financial Stability: Does Social Activism Matter?," MPRA Paper 92192, University Library of Munich, Germany.
- Robert J. Powell & Duc H. Vo, 2020. "A Comprehensive Stability Indicator for Banks," Risks, MDPI, vol. 8(1), pages 1-15, February.
- Marc Kouzez, 2021. "Foreign ownership and bank performance Evidence from French market," Economics Bulletin, AccessEcon, vol. 41(2), pages 834-847.
- Christopher Gandrud & Mark Hallerberg, 2015. "What is a Financial Crisis? Efficiently Measuring Real-Time Perceptions of Financial Market Stress with an Application to Financial Crisis Budget Cycles," CESifo Working Paper Series 5632, CESifo.
- Sakarya, Burchan, 2016. "Financial Stability of Islamic (Participation) Banks in Turkey," MPRA Paper 69451, University Library of Munich, Germany.
- Miguel Sarmiento, 2016. "Market Discipline and Liquidity Risk: Evidence from the Interbank Funds Market," IHEID Working Papers 14-2016, Economics Section, The Graduate Institute of International Studies.
- Louhichi, Awatef & Louati, Salma & Boujelbene, Younes, 2020. "The regulations–risk taking nexus under competitive pressure: What about the Islamic banking system?," Research in International Business and Finance, Elsevier, vol. 51(C).
- Beni Kouevi Gath, 2021. "Credit Information Sharing and Bank Stability: Evidence from SSA Countries," Working Papers CEB 21-009, ULB -- Universite Libre de Bruxelles.
- Elizaveta Kamaraeva, 2020. "Bank Complexity and Risk," Russian Journal of Money and Finance, Bank of Russia, vol. 79(3), pages 75-104, September.
- Ryu, Doojin & Yu, Jinyoung, 2021. "Nonlinear effect of subordinated debt changes on bank performance," Finance Research Letters, Elsevier, vol. 38(C).
- Chiaramonte, Laura & Croci, Ettore & Poli, Federica, 2015. "Should we trust the Z-score? Evidence from the European Banking Industry," Global Finance Journal, Elsevier, vol. 28(C), pages 111-131.
- Sophie Brana & Dalila Chenaf-Nicet & Delphine Lahet, 2023. "Drivers of cross-border bank claims: The role of foreign-owned banks in emerging countries," Working Papers 2023.06, International Network for Economic Research - INFER.
- 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, vol. 38(C), pages 185-199.
- El Moussawi, Chawki & Mansour, Rana, 2022. "Competition, cost efficiency and stability of banks in the MENA region," The Quarterly Review of Economics and Finance, Elsevier, vol. 84(C), pages 143-170.
- de Jesus, Diego Pitta & Besarria, Cássio da Nóbrega, 2023. "Machine learning and sentiment analysis: Projecting bank insolvency risk," Research in Economics, Elsevier, vol. 77(2), pages 226-238.
- Sobia Ehsan & Attiya Yasmin Javid, 2018. "Bank ownership structure, regulations and risk-taking: evidence from commercial banks in Pakistan," Portuguese Economic Journal, Springer;Instituto Superior de Economia e Gestao, vol. 17(3), pages 185-209, November.
- Miguel Sarmiento, 2019. "The Impact of Exogenous Liquidity Shocks on Banks Funding Costs: Microevidence from the Unsecured Interbank Market," IHEID Working Papers 01-2019, Economics Section, The Graduate Institute of International Studies.
- Sadettin Haluk Citci, 2014. "Agency and Transparency in Financial Markets," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 110-120, March.
- Hafeez, Bilal & Li, Xiping & Kabir, M. Humayun & Tripe, David, 2022. "Measuring bank risk: Forward-looking z-score," International Review of Financial Analysis, Elsevier, vol. 80(C).
- Mathias Lé, 2013.
"Deposit Insurance Adoption and Bank Risk-Taking: the Role of Leverage,"
PSE Working Papers
halshs-00911415, HAL.
- M. Lé, 2013. "Deposit Insurance Adoption and Bank Risk-Taking: the Role of Leverage," Débats économiques et financiers 9, Banque de France.
- Mathias Lé, 2013. "Deposit Insurance Adoption and Bank Risk-Taking: the Role of Leverage," Working Papers halshs-00911415, HAL.
- Miroslav Mateev & Tarek Nasr & Kiran Nair, 2024. "Navigating crisis: marketing dynamics and resilience in the MENA’s dual-banking system amidst the SAR-COV-2 pandemic," Palgrave Communications, Palgrave Macmillan, vol. 11(1), pages 1-21, December.
- Bouvatier, Vincent & Lepetit, Laetitia & Rehault, Pierre-Nicolas & Strobel, Frank, 2023.
"Time-varying Z-score measures for bank insolvency risk: Best practice,"
Journal of Empirical Finance, Elsevier, vol. 73(C), pages 170-179.
- Vincent Bouvatier & Laetitia Lepetit & Pierre-Nicolas Rehault & Frank Strobel, 2023. "Time-varying Z-score measures for bank insolvency risk: Best practice," Post-Print hal-04285763, HAL.
- Joseph Olorunfemi Akande & Farai Kwenda, 2017. "P-SVAR Analysis of Stability in Sub-Saharan Africa Commercial Banks," SPOUDAI Journal of Economics and Business, SPOUDAI Journal of Economics and Business, University of Piraeus, vol. 67(3), pages 49-78, july-Sept.
- repec:prg:jnlpep:v:preprint:id:682:p:1-20 is not listed on IDEAS
- Orhan Erdem & Evren Arik & Serkan Yuksel, 2014. "Trading Puzzle," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 66-81, March.
- te Kaat, Daniel Marcel & Dinger, Valeriya, 2015. "Global Imbalances and Bank Risk-Taking," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy 112866, Verein für Socialpolitik / German Economic Association.
- Vincent Bouvatier & Laetitia Lepetit & Pierre-Nicolas Rehault & Frank Strobel, 2018. "Bank insolvency risk and Z-score measures: caveats and best practice," Working Papers hal-01937929, HAL.
- Tran Phan Huy Hieu, 2020. "Effectiveness of policy measures to promote employee share ownership programs in banks," Working Papers hal-02534814, HAL.
- Miletic, Marko & Pavic Kramaric, Tomislava & Plazibat, Boze, 2019. "What Determines Financial Soundness Of Croatian Listed Firms?," UTMS Journal of Economics, University of Tourism and Management, Skopje, Macedonia, vol. 10(2), pages 189-200.
- Mohamed Sami Ben Ali, 2022. "Digitalization and Banking Crisis: A Nonlinear Relationship?," Journal of Quantitative Economics, Springer;The Indian Econometric Society (TIES), vol. 20(2), pages 421-435, June.
- Berglund, Tom & Mäkinen, Mikko, 2019. "Do banks learn from financial crisis? The experience of Nordic banks," Research in International Business and Finance, Elsevier, vol. 47(C), pages 428-440.
- Kévin Spinassou & Carole Haritchabalet & Laetitia Lepetit, 2020. "Le ratio de levier comme renforcement des fonds propres : une analyse empirique des conséquences sur le risque et le crédit bancaires," Working Papers hal-02546283, HAL.
- Tastaftiyan Risfandy & Amine Tarazi & Irwan Trinugroho, 2022. "Competition in dual markets: Implications for banking system stability," Post-Print hal-04681689, HAL.
- Unda, Luisa A. & Ranasinghe, Dinithi, 2021. "To pay or not pay: Board remuneration and insolvency risk in credit unions," Pacific-Basin Finance Journal, Elsevier, vol. 66(C).
- Baolei Qi & Mohamed Marie & Ahmed S. Abdelwahed & Ibrahim N. Khatatbeh & Mohamed Omran & Abdallah A. S. Fayad, 2023. "Bank Risk Literature (1978–2022): A Bibliometric Analysis and Research Front Mapping," Sustainability, MDPI, vol. 15(5), pages 1-27, March.
- Cantrell, Brett W. & Yust, Christopher G., 2018. "The relation between religiosity and private bank outcomes," Journal of Banking & Finance, Elsevier, vol. 91(C), pages 86-105.
- Danisman, Gamze Ozturk & Demirel, Pelin, 2019. "Bank risk-taking in developed countries: The influence of market power and bank regulations," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 59(C), pages 202-217.
- IJtsma, Pieter & Spierdijk, Laura & Shaffer, Sherrill, 2017. "The concentration–stability controversy in banking: New evidence from the EU-25," Journal of Financial Stability, Elsevier, vol. 33(C), pages 273-284.
- Tran, Phan Huy Hieu, 2020. "Effectiveness of policy measures to promote employee share ownership programs in banks," Journal of Behavioral and Experimental Finance, Elsevier, vol. 28(C).
- Margarita Carvalho & João Cerejeira, 2019. "Financialization, Corporate Governance and Employee Pay: A Firm Level Analysis," NIPE Working Papers 08/2019, NIPE - Universidade do Minho.
- Paola Bongini & Małgorzata Iwanicz-Drozdowska & Paweł Smaga & Bartosz Witkowski, 2018. "In search of a measure of banking sector distress: empirical study of CESEE banking sectors," Risk Management, Palgrave Macmillan, vol. 20(3), pages 242-257, August.
- Hashed Mabkhot & Hamid Abdulkhaleq Hasan Al-Wesabi, 2022. "Banks’ Financial Stability and Macroeconomic Key Factors in GCC Countries," Sustainability, MDPI, vol. 14(23), pages 1-21, November.
- de Moraes, Claudio Oliveira & Costa, Ágata, 2023. "Credit behavior and financial stability in an emerging economy," Economic Systems, Elsevier, vol. 47(2).
- repec:bir:birmec:14-06 is not listed on IDEAS
- Ege Yazgan, 2014. "The effect of investors' confidence on monetary policy- economic growth relationship: a Multivariate GARCH approach," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 82-109, March.
- Vo, Nguyen Ngoc Thao & Nguyen, Thai Vu Hong & Phan, Duc Hong Thi, 2022. "Earnings management and bank risk-taking behavior in Asia-Pacific region," Research in International Business and Finance, Elsevier, vol. 63(C).
- Fiordelisi, Franco & Mare, Davide Salvatore, 2014. "Competition and financial stability in European cooperative banks," Journal of International Money and Finance, Elsevier, vol. 45(C), pages 1-16.
- Raouf, Hajar & Ahmed, Habib, 2022. "Risk governance and financial stability: A comparative study of conventional and Islamic banks in the GCC," Global Finance Journal, Elsevier, vol. 52(C).
- Karolina Puławska, 2021. "Financial Stability of European Insurance Companies during the COVID-19 Pandemic," JRFM, MDPI, vol. 14(6), pages 1-16, June.
- Hero Wonida & Sekar Utami Setiastuti, 2023. "The Effect of Monetary Policy & Macroprudential Policy and Their Interaction on Bank Risk-Taking in Indonesia," Gadjah Mada Economics Working Paper Series 202308007, Department of Economics, Faculty of Economics and Business, Universitas Gadjah Mada.
- Krause, Thomas & Sondershaus, Talina & Tonzer, Lena, 2016. "The Role of Complexity for Bank Risk during the Financial Crisis: Evidence from a Novel Dataset," IWH Discussion Papers 17/2016, Halle Institute for Economic Research (IWH).
- Ooi, Chai-Aun & Setiawan, Doddy & Hooy, Chee-Wooi, 2021. "Muslim CEOs and bank risk-taking: Evidence from Indonesia," Global Finance Journal, Elsevier, vol. 50(C).
- Fukuyama, Hirofumi & Matousek, Roman, 2017. "Modelling bank performance: A network DEA approach," European Journal of Operational Research, Elsevier, vol. 259(2), pages 721-732.
- Antonina Waszczuk, 2014. "Assembling International Equity Datasets – Review of Studies on the Cross-Section of Common Stocks," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, vol. 1(2), pages 34-65, March.
- Guerry, Nicolas & Wallmeier, Martin, 2017. "Valuation of diversified banks: New evidence," Journal of Banking & Finance, Elsevier, vol. 80(C), pages 203-214.