My bibliography
Save this item
Bank Insolvency Risk and Z-Score Measures: A Refinement
Citations
Citations are extracted by the CitEc Project, subscribe to its RSS feed for this item.
Cited by:
- García-Sánchez, Isabel-María & García-Meca, Emma & Cuadrado-Ballesteros, Beatriz, 2017. "Do financial experts on audit committees matter for bank insolvency risk-taking? The monitoring role of bank regulation and ethical policy," Journal of Business Research, Elsevier, vol. 76(C), pages 52-66.
- Efthymios G. Tsionas, 2014. "On modeling banking risk," Working Papers 183, Bank of Greece.
- Khanh Ngoc Nguyen, 2019. "Revenue Diversification, Risk and Bank Performance of Vietnamese Commercial Banks," JRFM, MDPI, vol. 12(3), pages 1-21, August.
- 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.
- Chesini, Giusy & Giaretta, Elisa, 2017. "Depositor discipline for better or for worse. What enhanced depositors’ confidence on the banking system in the last ten years?," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 51(C), pages 209-227.
- 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.
- Wu, Xin & Jin, Tianhe & Yang, Keng & Qi, Hanying, 2023. "The impact of bank FinTech on commercial banks' risk-taking in China," International Review of Financial Analysis, Elsevier, vol. 90(C).
- Hunjra, Ahmed Imran & Jebabli, Ikram & Thrikawala, Sujani Sudhara & Alawi, Suha Mahmoud & Mehmood, Rashid, 2024. "How do corporate governance and corporate social responsibility affect credit risk?," Research in International Business and Finance, Elsevier, vol. 67(PA).
- Bui, Tung Duy & Bui, Hoai Thi Mai, 2020. "Threshold effect of economic openness on bank risk-taking: Evidence from emerging markets," Economic Modelling, Elsevier, vol. 91(C), pages 790-803.
- Brogi, Marina & Lagasio, Valentina, 2022. "Better safe than sorry. Bank corporate governance, risk-taking, and performance," Finance Research Letters, Elsevier, vol. 44(C).
- Abinzano, Isabel & Corredor, Pilar & Mansilla-Fernández, José Manuel, 2022. "Sovereign debt holdings and banks’ credit risk: Evidence from the Eurozone," Finance Research Letters, Elsevier, vol. 47(PA).
- Illiashenko, Pavlo & Laidroo, Laivi, 2020. "National culture and bank risk-taking: Contradictory case of individualism," Research in International Business and Finance, Elsevier, vol. 51(C).
- Uddin, Ajim & Chowdhury, Mohammad Ashraful Ferdous & Sajib, Sanjay Deb & Masih, Mansur, 2020. "Revisiting the impact of institutional quality on post-GFC bank risk-taking: Evidence from emerging countries," Emerging Markets Review, Elsevier, vol. 42(C).
- Ryu, Doojin & Yu, Jinyoung, 2021. "Nonlinear effect of subordinated debt changes on bank performance," Finance Research Letters, Elsevier, vol. 38(C).
- Peterson K. Ozili, 2022.
"Determinants of bank income smoothing using loan loss provisions in the United Kingdom,"
Journal of Economic and Administrative Sciences, Emerald Group Publishing Limited, vol. 40(3), pages 641-657, February.
- Ozili, Peterson K, 2022. "Determinants of bank income smoothing using loan loss provisions in the United Kingdom," MPRA Paper 112047, University Library of Munich, Germany.
- Chronopoulos, Dimitris K. & Wilson, John O.S. & Yilmaz, Muhammed H., 2023. "Regulatory oversight and bank risk," Journal of Financial Stability, Elsevier, vol. 64(C).
- Coccorese, Paolo & Girardone, Claudia & Shaffer, Sherrill, 2021. "What affects bank market power in the euro area? A country-level structural model approach," Journal of International Money and Finance, Elsevier, vol. 117(C).
- Tsionas, Mike G., 2016. "Parameters measuring bank risk and their estimation," European Journal of Operational Research, Elsevier, vol. 250(1), pages 291-304.
- Ryu, Doojin & Yu, Jinyoung, 2020. "Hybrid bond issuances by insurance firms," Emerging Markets Review, Elsevier, vol. 45(C).
- 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.
- Wang Ying & Igor A. Mayburov & Yulia V. Leontyeva, 2024. "Assessing the Bankruptcy Risks of China's Emerging Port Industries: Modeling and Early Warning," Journal of Applied Economic Research, Graduate School of Economics and Management, Ural Federal University, vol. 23(3), pages 776-800.
- Bui, Duy Tung & Bui, Thi Mai Hoai, 2019. "How does institutional development shape bank risk-taking incentives in the context of financial openness?," Pacific-Basin Finance Journal, Elsevier, vol. 58(C).
- Nora Gavira-Durón & Daniel Mayorga-Serna & Alberto Bagatella-Osorio, 2022. "The financial impact of the implementation of Solvency II on the Mexican insurance sector," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 47(2), pages 349-374, April.
- 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.
- Peterson K. Ozili, 2023.
"Sustainable development and bank non-performing loans: are they correlated?,"
Arab Gulf Journal of Scientific Research, Emerald Group Publishing Limited, vol. 42(3), pages 551-565, May.
- Ozili, Peterson K, 2023. "Sustainable development and bank non-performing loans: are they correlated?," MPRA Paper 117807, University Library of Munich, Germany.
- 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.
- 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).
- 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).
- Smaoui, Houcem & Mimouni, Karim & Miniaoui, Héla & Temimi, Akram, 2020. "Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks," Pacific-Basin Finance Journal, Elsevier, vol. 64(C).
- 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.
- 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.
- Malgorzata Iwanicz-Drozdowska & Pawel Smaga & Bartosz Witkowski, 2017. "Role of Foreign Capital in Stability of Banking Sectors in CESEE Countries," Czech Journal of Economics and Finance (Finance a uver), Charles University Prague, Faculty of Social Sciences, vol. 67(6), pages 492-511, October.
- Parrado-Martínez, Purificación & Gómez-Fernández-Aguado, Pilar & Partal-Ureña, Antonio, 2019. "Factors influencing the European bank’s probability of default: An application of SYMBOL methodology," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 61(C), pages 223-240.
- Ashraf, Badar Nadeem, 2017. "Political institutions and bank risk-taking behavior," Journal of Financial Stability, Elsevier, vol. 29(C), pages 13-35.
- Iqbal, Muhammad & Kusuma, Hadri & Sunaryati, Sunaryati, 2022. "Vulnerability of Islamic banking in ASEAN," Islamic Economic Studies, The Islamic Research and Training Institute (IRTI), vol. 29, pages 159-168.
- 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.
- 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.
- 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, 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.
- Syed Aamir Aijaz & Grima Simon & Sood Kiran, 2024. "Assessing the Role of the Fintech Era on the Banking Stability of an Emerging Economy: Interaction Analysis of the Indian Banking Industry," Folia Oeconomica Stetinensia, Sciendo, vol. 24(1), pages 182-202.
- Tran Phan Huy Hieu, 2020. "Effectiveness of policy measures to promote employee share ownership programs in banks," Working Papers hal-02534814, HAL.
- 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.
- Dang, Van Dan & Dang, Van Cuong, 2020. "The conditioning role of performance on the bank risk-taking channel of monetary policy: Evidence from a multiple-tool regime," Research in International Business and Finance, Elsevier, vol. 54(C).
- Duan, Yuejiao & Fan, Xiaoyun & Wang, Yu, 2022. "Economic policy uncertainty and bank systemic risk: A cross-country analysis," Pacific-Basin Finance Journal, Elsevier, vol. 75(C).
- Laetitia Lepetit & Frank Strobel & Laurent Weill, 2024. "Do risky banks pay their employees more?," Working Papers of LaRGE Research Center 2024-09, Laboratoire de Recherche en Gestion et Economie (LaRGE), Université de Strasbourg.
- Badar Nadeem Ashraf & Sidra Arshad & Liang Yan, 2017. "Trade Openness and Bank Risk-Taking Behavior: Evidence from Emerging Economies," JRFM, MDPI, vol. 10(3), pages 1-18, July.
- Hiep Ngoc Luu & Lan Thi Mai Nguyen & Kieu Trang Vu & Loan Quynh Thi Nguyen, 2023. "The impact of organizational culture on bank stability," Review of Quantitative Finance and Accounting, Springer, vol. 61(2), pages 501-533, August.
- 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.
- Martynova, Natalya & Vogel, Ursula, 2022.
"Banks’ complexity-risk nexus and the role of regulation,"
Journal of Banking & Finance, Elsevier, vol. 134(C).
- Martynova, Natalya & Vogel, Ursula, 2021. "Banks' complexity-risk nexus and the role of regulation," Discussion Papers 14/2021, Deutsche Bundesbank.
- 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).
- 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.
- Zhao, Yang & Goodell, John W. & Wang, Yong & Abedin, Mohammad Zoynul, 2023. "Fintech, macroprudential policies and bank risk: Evidence from China," International Review of Financial Analysis, Elsevier, vol. 87(C).
- Matabaro Borauzima, Luc & Muller, Aline, 2023. "Bank risk-taking and competition in developing banking markets: Does efficiency level matter? Evidence from Africa," Emerging Markets Review, Elsevier, vol. 55(C).
- Anachit Bagntasarian & Emmanuel Mamatzakis, 2019.
"Testing for the underlying dynamics of bank capital buffer and performance nexus,"
Review of Quantitative Finance and Accounting, Springer, vol. 52(2), pages 347-380, February.
- Anachit Bagntasarian & Emmanuel Mamatzakis, 2019. "Testing for the underlying dynamics of bank capital buffer and performance nexus," Post-Print hal-02127592, HAL.
- 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.
- Blanco-Oliver, A.J. & Irimia-Diéguez, A.I. & Vázquez-Cueto, M.J., 2023. "Is there an optimal microcredit size to maximize the social and financial efficiencies of microfinance institutions?," Research in International Business and Finance, Elsevier, vol. 65(C).
- Isabelle Distinguin & Laetitia Lepetit & Frank Strobel & Phan Huy Hieu Tran, 2023. "Bondholder representatives on bank boards: A device for market discipline," Economic Inquiry, Western Economic Association International, vol. 61(3), pages 738-765, July.
- 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).
- 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.
- Pilar Gómez-Fernández-Aguado & Purificación Parrado-Martínez & Antonio Partal-Ureña, 2018. "Risk Profile Indicators and Spanish Banks’ Probability of Default from a Regulatory Approach," Sustainability, MDPI, vol. 10(4), pages 1-16, April.
- Coccorese, Paolo & Ferri, Giovanni, 2019.
"Is competition among cooperative banks a negative sum game?,"
Journal of Institutional Economics, Cambridge University Press, vol. 15(4), pages 673-694, August.
- Paolo Coccorese & Giovanni Ferri, 2017. "Is Competition Among Cooperative Banks a Negative Sum Game?," CERBE Working Papers wpC19, CERBE Center for Relationship Banking and Economics.
- Mamatzakis, Emmanuel & Bagntasarian, Anna, 2019. "The nexus between underlying dynamics of bank capital buffer and performance," MPRA Paper 92961, University Library of Munich, Germany.
- Schulte, Markus & Winkler, Adalbert, 2019. "Drivers of solvency risk – Are microfinance institutions different?," Journal of Banking & Finance, Elsevier, vol. 106(C), pages 403-426.
- Ashraf, Badar Nadeem & Zheng, Changjun & Arshad, Sidra, 2016. "Effects of national culture on bank risk-taking behavior," Research in International Business and Finance, Elsevier, vol. 37(C), pages 309-326.
- Choi, Sun-Yong, 2022. "Credit risk interdependence in global financial markets: Evidence from three regions using multiple and partial wavelet approaches," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 80(C).
- Mohammed Mizanur Rahman & Munni Begum & Badar Nadeem Ashraf & Md. Abdul Kaium Masud, 2020. "Does Trade Openness Affect Bank Risk-Taking Behavior? Evidence from BRICS Countries," Economies, MDPI, vol. 8(3), pages 1-30, September.
- Alqahtani, Faisal & Mayes, David G., 2018. "Financial stability of Islamic banking and the global financial crisis: Evidence from the Gulf Cooperation Council," Economic Systems, Elsevier, vol. 42(2), pages 346-360.
- Gavin Ooft & Monique Thijn-Baank, 2024. "Measuring Financial Stability in Curaçao and Sint Maarten," Journal of Applied Finance & Banking, SCIENPRESS Ltd, vol. 14(4), pages 1-2.
- Ewa Miklaszewska & Krzysztof Kil & Marcin Idzik, 2021. "How the COVID-19 Pandemic Affects Bank Risks and Returns: Evidence from EU Members in Central, Eastern, and Northern Europe," Risks, MDPI, vol. 9(10), pages 1-22, October.
- Laetitia Lepetit & Céline Meslier-Crouzille & Leo Indra Wardhana, 2015. "Do Asymmetric Information and Ownership Structure Matter for Dividend Payout Decisions? Evidence from European Banks," Working Papers hal-01186722, HAL.
- Kanas, Angelos, 2014. "Default risk and equity prices in the U.S. banking sector: Regime switching effects of regulatory changes," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 33(C), pages 244-258.
- 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.
- Zhao, Jinsong & Li, Xinghao & Yu, Chin-Hsien & Chen, Shi & Lee, Chi-Chuan, 2022. "Riding the FinTech innovation wave: FinTech, patents and bank performance," Journal of International Money and Finance, Elsevier, vol. 122(C).
- Damilola Oyetade & Adefemi A. Obalade & Paul-Francois Muzindutsi, 2022. "The Impact of Changes in Basel Capital Requirements on the Resilience of African Commercial Banks," Scientific Annals of Economics and Business (continues Analele Stiintifice), Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, vol. 69(1), pages 111-132, January.
- Felix Noth & Lena Tonzer, 2017.
"Bank risk proxies and the crisis of 2007/09: a comparison,"
Applied Economics Letters, Taylor & Francis Journals, vol. 24(7), pages 498-501, April.
- Noth, Felix & Tonzer, Lena, 2015. "Bank Risk Proxies and the Crisis of 2007/09: A Comparison," IWH Discussion Papers 13/2015, Halle Institute for Economic Research (IWH).
- Chabot, Miia & Bertrand, Jean-Louis, 2021. "Complexity, interconnectedness and stability: New perspectives applied to the European banking system," Journal of Business Research, Elsevier, vol. 129(C), pages 784-800.
- Vodová,Pavla Klepková & PaleÄ ková,Iveta & Stavárek,Daniel, 2023. "Banking Stability and Financial Conglomerates in European Emerging Countries," Cambridge Books, Cambridge University Press, number 9781009095112, January.
- Lepetit, Laetitia & Tran, Phan Huy Hieu & Tran, Thu Ha, 2023. "Executive and non-executive employee ownership and bank risk: Evidence from European banks," The Quarterly Review of Economics and Finance, Elsevier, vol. 92(C), pages 291-319.
- Uddin, Md Hamid & Kabir, Sarkar Humayun & Hossain, Mohammed Sawkat & Wahab, Nor Shaipah Abdul & Liu, Jia, 2020. "Which firms do prefer Islamic debt? An analysis and evidence from global sukuk and bonds issuing firms," Emerging Markets Review, Elsevier, vol. 44(C).
- Campmas, Alexandra, 2020. "How do European banks portray the effect of policy interest rates and prudential behavior on profitability?," Research in International Business and Finance, Elsevier, vol. 51(C).
- Ashraf, Badar Nadeem, 2018. "Do trade and financial openness matter for financial development? Bank-level evidence from emerging market economies," Research in International Business and Finance, Elsevier, vol. 44(C), pages 434-458.
- Biswa Swarup Misra & Paolo Coccorese, 2022. "Market power, efficiency and stability of Indian banks," Economic Change and Restructuring, Springer, vol. 55(4), pages 2263-2292, November.
- Giuliana Birindelli & Paola Ferretti & Marco Savioli, 2016. "Basel 3: Does One Size Really Fit All Banks' Business Models?," Working Paper series 16-20, Rimini Centre for Economic Analysis.
- Giuliana Birindelli & Paola Ferretti & Giovanni Ferri & Marco Savioli, 2022. "Regulatory reform and banking diversity: reassessing Basel 3," Annals of Finance, Springer, vol. 18(4), pages 429-456, December.
- Krzysztof Kil & Ewa Miklaszewska, 2015. "Analysis of Factors Affecting the Stability of Cooperative Banks in the Post-Crisis Period (Analiza czynnikow wplywajacych na stabilnosc bankow spoldzielczych w okresie pokryzysowym)," Problemy Zarzadzania, University of Warsaw, Faculty of Management, vol. 13(55), pages 97-119.
- Liu, Jiasong & Zhu, Jingyi, 2024. "The impact of foreign participation on risk-taking in Chinese commercial banks: The co-governance role of equity checks and foreign supervision," Pacific-Basin Finance Journal, Elsevier, vol. 85(C).
- Zulkufly Ramly & Nurusysyifa Nordin, 2018. "Sharia Supervision Board, Board Independence, Risk Committee and Risk-taking of Islamic Banks in Malaysia," International Journal of Economics and Financial Issues, Econjournals, vol. 8(4), pages 290-300.
- Köhler, Matthias, 2018. "An analysis of non-traditional activities at German savings banks: Does the type of fee and commission income matter?," Discussion Papers 01/2018, Deutsche Bundesbank.
- Muhammad Rahat Abbas & Barkat Ullah, 2023. "The Impact of Credit and Liquidity Risk on Bank Performance," Bulletin of Business and Economics (BBE), Research Foundation for Humanity (RFH), vol. 12(4), pages 205-218.
- Muhammad Iqbal & Hadri Kusuma & Sunaryati Sunaryati, 2022. "Vulnerability of Islamic banking in ASEAN," Islamic Economic Studies, Emerald Group Publishing Limited, vol. 29(2), pages 159-168, May.
- Chabot, Miia & Bertrand, Jean-Louis, 2023. "Climate risks and financial stability: Evidence from the European financial system," Journal of Financial Stability, Elsevier, vol. 69(C).
- George ANTON & Cosmin-Octavian CEPOI & Cătălin-Emilian HUIDUMAC-PETRESCU, 2022. "Estimating Probability of Default for Systemically Important Financial Institutions during Covid-19 Pandemic. Evidence from Europe and USA," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(2), pages 44-53, April.
- Heri Sudarsono & Fiqih Afriadi & Siti Aisiyah Suciningtias, 2021. "Do stability and size affect the profitability of Islamic rural bank in Indonesia?," Jurnal Ekonomi & Keuangan Islam, Faculty of Economics, Universitas Islam Indonesia, vol. 7(2), pages 161-174.