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What do we know about the impact of government interventions in the banking sector? An assessment of various bailout programs on bank behavior
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Cited by:
- Janbaz, Mehdi & Hassan, M. Kabir & Floreani, Josanco & Dreassi, Alberto & Jiménez, Alfredo, 2022. "Political risk in banks: A review and agenda," Research in International Business and Finance, Elsevier, vol. 62(C).
- Fan, Yaoyao & Huang, Yichu & Jiang, Yuxiang & Liu, Frank Hong, 2020. "Watch out for bailout: TARP and bank earnings management," Journal of Financial Stability, Elsevier, vol. 51(C).
- Iwanicz-Drozdowska, Małgorzata & Smaga, Paweł & Witkowski, Bartosz, 2016. "Bank restructuring in the EU: Which way to go?," Journal of Policy Modeling, Elsevier, vol. 38(3), pages 572-586.
- Krzysztof Jackowicz & Oskar Kowalewski & Łukasz Kozłowski, 2018.
"Depositors Discipline through Interest Costs during Good and Bad Times: the Role of the Guarantor of Last Resort1,"
Journal of Financial Services Research, Springer;Western Finance Association, vol. 54(2), pages 179-205, October.
- Oskar Kowalewski & Krzysztof Jackowicz & Łukasz Kozłowski, 2018. "Depositor discipline through interest costs during good and bad times : The role of the guarantor of last resort," Post-Print hal-01913992, HAL.
- Aharon, David Y. & Siev, Smadar, 2021. "COVID-19, government interventions and emerging capital markets performance," Research in International Business and Finance, Elsevier, vol. 58(C).
- Chen Zheng & Adrian (Wai Kong) Cheung & Tom Cronje, 2022. "The Impact of TARP Capital Infusion on Bank Liquidity Creation: Does Bank Size Matter?," International Journal of Central Banking, International Journal of Central Banking, vol. 18(2), pages 283-347, June.
- Luong, Thi Mai & Pieters, Russell & Scheule, Harald & Wu, Eliza, 2020. "The impact of government guarantees on banks' wholesale funding costs and lending behavior: Evidence from a natural experiment," Pacific-Basin Finance Journal, Elsevier, vol. 61(C).
- Lei Chen & Hui Li & Frank Hong Liu & Yue Zhou, 2021. "Bank regulation and systemic risk: cross country evidence," Review of Quantitative Finance and Accounting, Springer, vol. 57(1), pages 353-387, July.
- Hong, Jengei & Ahn, Seryoong, 2022. "Penalty interest rates, LTV constraints, and screening laxity in mortgage markets," Journal of Banking & Finance, Elsevier, vol. 138(C).
- MacDonald, Ronald & Sogiakas, Vasilios & Tsopanakis, Andreas, 2018. "Volatility co-movements and spillover effects within the Eurozone economies: A multivariate GARCH approach using the financial stress index," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 52(C), pages 17-36.
- Bäcker, Arno & Hecker, Christian, 2017. "Die Geschichte des Finanzplatzes Hamburg: Anmerkungen aus Sicht einer Zentralbank," IBF Paper Series 09-17, IBF – Institut für Bank- und Finanzgeschichte / Institute for Banking and Financial History, Frankfurt am Main.
- Matías Cabrera & Gerald P. Dwyer & María J. Nieto, 2018. "The G-20 regulatory agenda and bank risk," Working Papers 1829, Banco de España.
- Jin Cheng & Meixing Dai & Frédéric Dufourt, 2016. "Banking Crisis, Moral Hazard and Fiscal Policy Responses," Working Papers of BETA 2016-06, Bureau d'Economie Théorique et Appliquée, UDS, Strasbourg.
- Andrieș, Alin Marius & Nistor, Simona & Ongena, Steven & Sprincean, Nicu, 2020. "On Becoming an O-SII (“Other Systemically Important Institution”)," Journal of Banking & Finance, Elsevier, vol. 111(C).
- Gu, Tiantian & Venkateswaran, Anand & Erath, Marc, 2023. "Impact of fiscal stimulus on volatility: A cross-country analysis," Research in International Business and Finance, Elsevier, vol. 65(C).
- Florian Neitzert & Matthias Petras, 2022. "Corporate social responsibility and bank risk," Journal of Business Economics, Springer, vol. 92(3), pages 397-428, April.
- Alin-Marius ANDRIEȘ & Florentina IEȘAN-MUNTEAN & Simona NISTOR, 2016. "The effectiveness of policy interventions in CEE countries," Eastern Journal of European Studies, Centre for European Studies, Alexandru Ioan Cuza University, vol. 7, pages 93-124, June.
- Konrad Adler & Frederic Boissay, 2020. "Dealing with bank distress: Insights from a comprehensive database," BIS Working Papers 909, Bank for International Settlements.
- Sawsen Bouker & Faysal Mansouri, 2022. "Sovereign contagion risk measure across financial markets in the eurozone: a bivariate copulas and Markov Regime Switching ARMA based approaches," Review of World Economics (Weltwirtschaftliches Archiv), Springer;Institut für Weltwirtschaft (Kiel Institute for the World Economy), vol. 158(2), pages 615-711, May.
- Dean Franklet & Laura Meriluoto & George Ross & Cameron Scott & Patrick Williams, 2018. "Public implementation of Blockchain Technology," Working Papers in Economics 18/23, University of Canterbury, Department of Economics and Finance.
- TRENCA Ioan & PETRIA Nicolae & LUDUSAN Emilia-Anuta, 2015. "Exploring The Relationship Between Bank Profitability And State Intervention Policies In European Banking Sector," Revista Economica, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, vol. 67(5), pages 104-115, September.
- Christian Hecker, 2021. "How Should Responsible Investors Behave? Keynes’s Distinction Between Entrepreneurship and Speculation Revisited," Journal of Business Ethics, Springer, vol. 171(3), pages 459-473, July.
- Kizys, Renatas & Paltalidis, Nikos & Vergos, Konstantinos, 2016. "The quest for banking stability in the euro area: The role of government interventions," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 40(C), pages 111-133.
- Shimizu, Katsutoshi & Ly, Kim Cuong, 2017. "Were regulatory interventions effective in lowering systemic risk during the financial crisis in Japan?," Journal of Multinational Financial Management, Elsevier, vol. 41(C), pages 80-91.
- Modena, Andrea, 2020. "Recapitalization, bailout, and long-run welfare in a dynamic model of banking," SAFE Working Paper Series 292, Leibniz Institute for Financial Research SAFE.
- Hryckiewicz, Aneta, 2014.
"The problem with government interventions: The wrong banks, inadequate strategies, or ineffective measures?,"
MPRA Paper
64074, University Library of Munich, Germany.
- Hryckiewicz, Aneta, 2014. "The problem with government interventions: The wrong banks, inadequate strategies, or ineffective measures?," MPRA Paper 56730, University Library of Munich, Germany.
- Gerhardt, Maria & Vennet, Rudi Vander, 2017.
"Bank bailouts in Europe and bank performance,"
Finance Research Letters, Elsevier, vol. 22(C), pages 74-80.
- Maria Gerhardt & Rudi Vander Vennet, 2016. "Bank Bailouts In Europe And Bank Performance," Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium 16/921, Ghent University, Faculty of Economics and Business Administration.
- Cheng, Xian & Zhao, Haichuan, 2019. "Modeling, analysis and mitigation of contagion in financial systems," Economic Modelling, Elsevier, vol. 76(C), pages 281-292.
- Blanco-Oliver, Antonio, 2021. "Banking reforms and bank efficiency: Evidence for the collapse of Spanish savings banks," International Review of Economics & Finance, Elsevier, vol. 74(C), pages 334-347.
- Ines Ghazouani & Nadia Basty, 2023. "Is the relationship between bank stability, competition, and intervention quality nonlinear? Evidence from North African countries," African Development Review, African Development Bank, vol. 35(1), pages 38-51, March.
- Pandey, Ashish, 2016. "High Bids and Low Recovery: A Possible Case for Non-Performing Loan Auctions in India," MPRA Paper 75254, University Library of Munich, Germany.
- Fratianni, Michele & Marchionne, Francesco, 2017.
"Bank asset reallocation and sovereign debt,"
Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 47(C), pages 15-32.
- Michele Fratianni & Francesco Marchionne, 2014. "Bank asset reallocation and sovereign debt," Working Papers 2014-09, Indiana University, Kelley School of Business, Department of Business Economics and Public Policy.
- Michele Fratianni & Francesco Marchionne, 2014. "Bank asset reallocation and sovereign debt," Mo.Fi.R. Working Papers 100, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences.
- Teresa Valeria Parise & Vijay Shenai, 2018. "The Value Effect of Financial Reform on U.K. Banks and Insurance Companies," IJFS, MDPI, vol. 6(3), pages 1-28, September.
- Wei-long Wu & Changqi Shao, 2023. "How does home and host-country policy uncertainty affect outward FDI? Firm-level evidence from China," Economia Politica: Journal of Analytical and Institutional Economics, Springer;Fondazione Edison, vol. 40(2), pages 495-515, July.
- Ashish Pandey, 2022. "A taxonomy of asset management companies," Journal of Banking Regulation, Palgrave Macmillan, vol. 23(2), pages 199-209, June.
- Edoardo Gaffeo & Ronny Mazzocchi, 2019. "“The price is right”: using auction theory to enhance competition in the NPL market," Journal of Banking Regulation, Palgrave Macmillan, vol. 20(1), pages 104-112, March.
- Pierpaolo GIANNOCCOLO & José Manuel MANSILLA-FERNÁNDEZ, 2017.
"Bank Restructuring, Competition, and Lending Supply: Evidence from the Spanish Banking Sector,"
Departmental Working Papers
2017-16, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano.
- P. Giannoccolo & J. M. Mansilla-Fern ndez, 2017. "Bank Restructuring, Competition, and Lending Supply: Evidence from the Spanish Banking Sector," Working Papers wp1113, Dipartimento Scienze Economiche, Universita' di Bologna.
- Emilios Galariotis & Iordanis Kalaitzoglou & Jacek Niklewski & Constantin Zopounidis, 2021. "Optimal level of state ownership in banks: prevention measure versus emergency action—evidence from the new millennia," Annals of Operations Research, Springer, vol. 304(1), pages 165-197, September.
- Hryckiewicz, Aneta & Kryg, Natalia & Tsomocos, Dimitrios P., 2023. "Bank resolution mechanisms revisited: Towards a new era of restructuring," Journal of Financial Stability, Elsevier, vol. 67(C).
- Andrea Modena, 2020. "Recapitalization, Bailout, and Long-run Welfare in a Dynamic Model of Banking," Working Papers 2020:23, Department of Economics, University of Venice "Ca' Foscari".
- Thi Mai Luong, 2020. "Selection Effects of Lender and Borrower Choices on Risk Measurement, Management and Prudential Regulation," PhD Thesis, Finance Discipline Group, UTS Business School, University of Technology, Sydney, number 3-2020, January-A.
- Karolina Puławska, 2021. "Financial Stability of European Insurance Companies during the COVID-19 Pandemic," JRFM, MDPI, vol. 14(6), pages 1-16, June.
- Cabrera, Matias & Dwyer, Gerald P. & Nieto, Maria J., 2018. "The G-20′s regulatory agenda and banks’ risk," Journal of Financial Stability, Elsevier, vol. 39(C), pages 66-78.