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The impact of underwriting and dealing on bank returns and risks
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- Cyree, Ken B., 2000. "The erosion of the Glass-Steagall Act:: Winners and losers in the banking industry," Journal of Economics and Business, Elsevier, vol. 52(4), pages 343-363.
- DeYoung, Robert & Torna, Gökhan, 2013. "Nontraditional banking activities and bank failures during the financial crisis," Journal of Financial Intermediation, Elsevier, vol. 22(3), pages 397-421.
- Jonathan A. Batten & Xuan Vinh Vo, 2016. "Bank risk shifting and diversification in an emerging market," Risk Management, Palgrave Macmillan, vol. 18(4), pages 217-235, December.
- Jones, Laurence & Alsakka, Rasha & ap Gwilym, Owain & Mantovan, Noemi, 2022. "The impact of regulatory reforms on European bank behaviour: A dynamic structural estimation," European Economic Review, Elsevier, vol. 150(C).
- Tran, Dung Viet, 2020. "Bank business models and liquidity creation," Research in International Business and Finance, Elsevier, vol. 53(C).
- Jessy Troudart & Eric Lamarque, 2017. "The cross-border strategies of European banks: Effects on performance 2004-12," Post-Print hal-02536210, HAL.
- Demirgüç-Kunt, Asli & Huizinga, Harry, 2010.
"Bank activity and funding strategies: The impact on risk and returns,"
Journal of Financial Economics, Elsevier, vol. 98(3), pages 626-650, December.
- Demirgüc-Kunt, A. & Huizinga, H.P., 2009. "Bank Activity and Funding Strategies : The Impact on Risk and Return," Other publications TiSEM 261360c8-1275-4107-a88b-4, Tilburg University, School of Economics and Management.
- Demirgüc-Kunt, A. & Huizinga, H.P., 2009. "Bank Activity and Funding Strategies : The Impact on Risk and Return," Discussion Paper 2009-09, Tilburg University, Center for Economic Research.
- Huizinga, Harry & Demirgüç-Kunt, Asli, 2009. "Bank Activity and Funding Strategies: The Impact on Risk and Return," CEPR Discussion Papers 7170, C.E.P.R. Discussion Papers.
- Demirguc-Kunt, Asli & Huizinga, Harry, 2009. "Bank activity and funding strategies : the impact on risk and returns," Policy Research Working Paper Series 4837, The World Bank.
- DeYoung, Robert & Roland, Karin P., 2001. "Product Mix and Earnings Volatility at Commercial Banks: Evidence from a Degree of Total Leverage Model," Journal of Financial Intermediation, Elsevier, vol. 10(1), pages 54-84, January.
- João Santos, 1998.
"Commercial Banks in the Securities Business: A Review,"
Journal of Financial Services Research, Springer;Western Finance Association, vol. 14(1), pages 35-60, July.
- João A. C. Santos, 1996. "Commercial banks in the securities business: a review," Working Papers (Old Series) 9610, Federal Reserve Bank of Cleveland.
- João A. C. Santos, 1998. "Commercial banks in the securities business: A review," BIS Working Papers 56, Bank for International Settlements.
- Laetitia Lepetit & Emmanuelle Nys & Philippe Rous & Amine Tarazi, 2005. "Product Diversification in the European Banking Industry: Risk and Loan Pricing Implications," Working Papers hal-00918399, HAL.
- Holod, Dmytro & Kitsul, Yuriy & Torna, Gökhan, 2020. "Market risk-based capital requirements, trading activity, and bank risk," Journal of Banking & Finance, Elsevier, vol. 112(C).
- Demeh Daradkah & Montaser Al-Sayyah, 2020. "The Effect of Financing and Non-Financing Income on Islamic Banks’ Risk: Evidence from Gulf Cooperation Council Countries," International Journal of Economics & Business Administration (IJEBA), International Journal of Economics & Business Administration (IJEBA), vol. 0(1), pages 180-192.
- Berger, Allen N., 2003. "The efficiency effects of a single market for financial services in Europe," European Journal of Operational Research, Elsevier, vol. 150(3), pages 466-481, November.
- Stéphane Albert & Hervé Alexandre, 2018.
"Banks’ earnings: Empirical evidence of the influence of economic and financial market factors,"
Review of Financial Economics, John Wiley & Sons, vol. 36(2), pages 97-116, April.
- Stéphane Albert & Hervé Alexandre, 2013. "Banks’ Earnings: an empirical evidence of the influence of economic and financial markets factors," Post-Print hal-01622842, HAL.
- Saoussen Ben Gamra & Dominique Plihon, 2011. "Revenue diversification in emerging market banks: implications for financial performance," Papers 1107.0170, arXiv.org.
- Li, Li & Zhang, Yu, 2013. "Are there diversification benefits of increasing noninterest income in the Chinese banking industry?," Journal of Empirical Finance, Elsevier, vol. 24(C), pages 151-165.
- Fields, L. Paige & Fraser, Donald R. & Kolari, James W., 2007. "Bidder returns in bancassurance mergers: Is there evidence of synergy?," Journal of Banking & Finance, Elsevier, vol. 31(12), pages 3646-3662, December.
- Li Li & Zhang Yu, 2010. "The Impact of Derivatives Activity on Commercial Banks: Evidence from U.S. Bank Holding Companies," Asia-Pacific Financial Markets, Springer;Japanese Association of Financial Economics and Engineering, vol. 17(3), pages 303-322, September.
- Giovanni Ferri & Angelo Leogrande, 2015.
"Was the Crisis due to a shift from stakeholder to shareholder finance? Surveying the debate,"
Mo.Fi.R. Working Papers
108, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences.
- Giovanni Ferri & Angelo Leogrande, 2015. "Was the Crisis Due to a Shift from Stakeholder to Shareholder Finance? Surveying the Debate," Euricse Working Papers 1576, Euricse (European Research Institute on Cooperative and Social Enterprises).
- Simon H. Kwan & Elizabeth Laderman, 1999. "On the portfolio effects of financial convergence - a review of the literature," Economic Review, Federal Reserve Bank of San Francisco, pages 18-31.
- Mercieca, Steve & Schaeck, Klaus & Wolfe, Simon, 2007. "Small European banks: Benefits from diversification?," Journal of Banking & Finance, Elsevier, vol. 31(7), pages 1975-1998, July.
- Bertay, Ata Can & Demirgüç-Kunt, Asli & Huizinga, Harry, 2013.
"Do we need big banks? Evidence on performance, strategy and market discipline,"
Journal of Financial Intermediation, Elsevier, vol. 22(4), pages 532-558.
- Demirgüc-Kunt, A. & Huizinga, H.P., 2011. "Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline," Discussion Paper 2011-021, Tilburg University, Center for Economic Research.
- Huizinga, Harry & Demirgüç-Kunt, Asli, 2011. "Do we need big banks? Evidence on performance, strategy and market discipline," CEPR Discussion Papers 8276, C.E.P.R. Discussion Papers.
- Demirguc-Kunt , Asli & Huizinga, Harry, 2011. "Do we need big banks ? evidence on performance, strategy and market discipline," Policy Research Working Paper Series 5576, The World Bank.
- Demirgüc-Kunt, A. & Huizinga, H.P., 2011. "Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline," Other publications TiSEM 943f1401-2de0-4bc9-bb15-d, Tilburg University, School of Economics and Management.
- Demirgüc-Kunt, A. & Huizinga, H.P., 2011. "Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline," Other publications TiSEM 94ca9e11-605c-422e-81df-b, Tilburg University, School of Economics and Management.
- Lepetit, Laetitia & Nys, Emmanuelle & Rous, Philippe & Tarazi, Amine, 2008.
"Bank income structure and risk: An empirical analysis of European banks,"
Journal of Banking & Finance, Elsevier, vol. 32(8), pages 1452-1467, August.
- Laetitia Lepetit & Emmanuelle Nys & Philippe Rous & Amine Tarazi, 2008. "Bank income structure and risk: An empirical analysis of European banks," Post-Print hal-01098960, HAL.
- Laetitia Lepetit & Emmanuelle Nys & Philippe Rous & Amine Tarazi, 2008. "Bank income structure and risk: An empirical analysis of European banks," Post-Print hal-00844820, HAL.
- Amel, Dean & Barnes, Colleen & Panetta, Fabio & Salleo, Carmelo, 2004.
"Consolidation and efficiency in the financial sector: A review of the international evidence,"
Journal of Banking & Finance, Elsevier, vol. 28(10), pages 2493-2519, October.
- Dean Amel & Colleen Barnes & Fabio Panetta & Carmelo Salleo, 2002. "Consolidation and efficiency in the financial sector: a review of the international evidence," Temi di discussione (Economic working papers) 464, Bank of Italy, Economic Research and International Relations Area.
- Dean F. Amel & Colleen Barnes & Fabio Panetta & Carmelo Salleo, 2002. "Consolidation and efficiency in the financial sector: a review of the international evidence," Finance and Economics Discussion Series 2002-47, Board of Governors of the Federal Reserve System (U.S.).
- Dean F. Amel & Colleen Barnes & Fabio Panetta & Carmelo Salleo, 2003. "Consolidation and Efficiency in the Financial Sector: A Review of the International Evidence," CEIS Research Paper 20, Tor Vergata University, CEIS.
- Mohamed Nurullah & Sotiris K. Staikouras, 2008. "The Separation of Banking from Insurance: Evidence from Europe," Multinational Finance Journal, Multinational Finance Journal, vol. 12(3-4), pages 157-184, September.
- Bhargava, Rahul & Fraser, Donald R., 1998. "On the wealth and risk effects of commercial bank expansion into securities underwriting: An analysis of Section 20 subsidiaries1," Journal of Banking & Finance, Elsevier, vol. 22(4), pages 447-465, May.
- Hidayat, Wahyu Yuwana & Kakinaka, Makoto & Miyamoto, Hiroaki, 2012.
"Bank risk and non-interest income activities in the Indonesian banking industry,"
Journal of Asian Economics, Elsevier, vol. 23(4), pages 335-343.
- Wahyu Yuwana Hidayat & Makoto Kakinaka & Hiroaki Miyamoto, 2012. "Bank Risk and Non-Interest Income Activities in the Indonesian Banking Industry," Working Papers EMS_2012_03, Research Institute, International University of Japan.
- Saoussen Ben Gamra & Dominique Plihon, 2011. "Revenue diversification in emerging market banks: implications for financial performance," Working Papers hal-00598136, HAL.
- Berger, Allen N. & Demsetz, Rebecca S. & Strahan, Philip E., 1999.
"The consolidation of the financial services industry: Causes, consequences, and implications for the future,"
Journal of Banking & Finance, Elsevier, vol. 23(2-4), pages 135-194, February.
- Allen N. Berger & Rebecca Demsetz & Philip E. Strahan, 1998. "The consolidation of the financial services industry: causes, consequences, and implications for the future," Finance and Economics Discussion Series 1998-46, Board of Governors of the Federal Reserve System (U.S.).
- Allen N. Berger & Rebecca Demsetz & Philip E. Strahan, 1998. "The consolidation of the financial services industry: causes, consequences, and the implications for the future," Staff Reports 55, Federal Reserve Bank of New York.
- Myron Kwast & S. Passmore, 1999. "The Subsidy Provided by the Federal Safety Net: Theory and Evidence," Journal of Financial Services Research, Springer;Western Finance Association, vol. 16(2), pages 125-145, December.
- Kim, Hakkon & Batten, Jonathan A. & Ryu, Doojin, 2020. "Financial crisis, bank diversification, and financial stability: OECD countries," International Review of Economics & Finance, Elsevier, vol. 65(C), pages 94-104.
- Căpraru, Bogdan & Ihnatov, Iulian & Pintilie, Nicoleta-Livia, 2020. "Competition and diversification in the European Banking Sector," Research in International Business and Finance, Elsevier, vol. 51(C).
- Aigbe Akhigbe & Jarrod Johnston & Jeff Madura, 2004. "Consolidation in the financial services industry: Are there industry gains for acquisitions of security firms?," Journal of Economics and Finance, Springer;Academy of Economics and Finance, vol. 28(1), pages 14-31, March.
- Albert, Stéphane, 2015. "US bank holding companies: Structure of activities and performance through the cycles," International Review of Financial Analysis, Elsevier, vol. 42(C), pages 253-269.
- Dang, Van Dan & Huynh, Japan, 2022. "Monetary policy and bank performance: The role of business models," The North American Journal of Economics and Finance, Elsevier, vol. 59(C).
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- Robert DeYoung & Karin P. Roland, 1999. "Product mix and earnings volatility at commercial banks: evidence from a degree of leverage model," Working Paper Series WP-99-6, Federal Reserve Bank of Chicago.
- Seungho Baek & Kwan Yong Lee & Jeong Wan Lee & Sunil Mohanty, 2018. "Diversification in Korean Banking Business: Is Non-interest Income a Financial Saviour?," Journal of Emerging Market Finance, Institute for Financial Management and Research, vol. 17(3_suppl), pages 299-326, December.
- Randall S. Kroszner & Philip E. Strahan, 2014. "Regulation and Deregulation of the US Banking Industry: Causes, Consequences, and Implications for the Future," NBER Chapters, in: Economic Regulation and Its Reform: What Have We Learned?, pages 485-543, National Bureau of Economic Research, Inc.
- Sayuri Shirai, 2001. "Searching for New Regulatory Frameworks for the Intermediate Financial Structure in Post-Crisis Asia," Center for Financial Institutions Working Papers 01-28, Wharton School Center for Financial Institutions, University of Pennsylvania.
- Estrella, Arturo, 2001. "Mixing and matching: Prospective financial sector mergers and market valuation," Journal of Banking & Finance, Elsevier, vol. 25(12), pages 2367-2392, December.
- Kevin Stiroh, 2004. "Do Community Banks Benefit from Diversification?," Journal of Financial Services Research, Springer;Western Finance Association, vol. 25(2), pages 135-160, April.
- Edirisuriya, Piyadasa & Gunasekarage, Abeyratna & Dempsey, Michael, 2015. "Bank diversification, performance and stock market response: Evidence from listed public banks in South Asian countries," Journal of Asian Economics, Elsevier, vol. 41(C), pages 69-85.
- Allen, Linda & Jagtiani, Julapa, 2000. "The risk effects of combining banking, securities, and insurance activities," Journal of Economics and Business, Elsevier, vol. 52(6), pages 485-497.
- Maoyong Cheng & Hong Zhao & Junrui Zhang, 2014. "What precludes the development of noninterest activities in Chinese commercial banks from the perspective of the price of interest activities?," Applied Economics, Taylor & Francis Journals, vol. 46(21), pages 2453-2461, July.
- Rosie Smith & Christos Staikouras & Geoffrey Wood, 2003. "Non-interest income and total income stability," Bank of England working papers 198, Bank of England.