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The Political Economy of Distress in East Asian Financial Institutions
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Cited by:
- Canan Yildirim, 2009. "Moral Hazard, Corporate Governance, and Bank Failure: Evidence from The 2000-2001 Turkish Crises," Working Papers 486, Economic Research Forum, revised May 2009.
- Nigel Driffield & Sarmistha Pal, 2010.
"Evolution of capital structure in east Asia—corporate inertia or endeavours?,"
Journal of the Royal Statistical Society Series A, Royal Statistical Society, vol. 173(1), pages 1-29, January.
- Driffield, Nigel & Pal, Sarmistha, 2008. "Evolution of Capital Structure in East Asia: Corporate Inertia or Endeavours?," IZA Discussion Papers 3426, Institute of Labor Economics (IZA).
- Nigel Driffield & Sarmistha Pal, 2008. "Evolution of Capital Strcture in East Asia: Corporate Inertia or Endeavours?," CEDI Discussion Paper Series 08-04, Centre for Economic Development and Institutions(CEDI), Brunel University.
- Sarmistha Pal & Nigel Driffield, 2016. "Evolution of Capital Structure in East Asia: Corporate Inertia or Endeavours?," Working Papers id:8465, eSocialSciences.
- Concetta Chiuri, Maria & Ferri, Giovanni & Majnoni, Giovanni, 2002.
"The macroeconomic impact of bank capital requirements in emerging economies: Past evidence to assess the future,"
Journal of Banking & Finance, Elsevier, vol. 26(5), pages 881-904, May.
- Maria Concetta Chiuri & Giovanni Ferri & Giovanni Majnoni, 2000. "The Macroeconomic Impact Of Bank Capital Requirements In Emerging Economies: Past Evidence To Assess The Future," SERIES 0002, Dipartimento di Economia e Finanza - Università degli Studi di Bari "Aldo Moro", revised Sep 2000.
- Chiuri, Maria Concetta & Ferri, Giovanni & Majnoni, Giovanni, 2001. "The macroeconomic impact of bank capital requirements in emerging economies - past evidence to assess the future," Policy Research Working Paper Series 2605, The World Bank.
- Awdeh, Ali & Hamadi, Hassan, 2011. "How Do Banks Set their Capital?," MPRA Paper 119116, University Library of Munich, Germany.
- Bongini, Paola & Laeven, Luc & Majnoni, Giovanni, 2002. "How good is the market at assessing bank fragility? A horse race between different indicators," Journal of Banking & Finance, Elsevier, vol. 26(5), pages 1011-1028, May.
- Timothy Chue & David Cook, 2004. "Sudden Stops and Liability Dollarization: Evidence from East Asian Financial Intermediaries," Econometric Society 2004 Far Eastern Meetings 646, Econometric Society.
- Musdholifah Musdholifah & Ulil Hartono, 2017. "Assesing Early Warning System Model for Banking Crisis in ASEAN Countries," International Journal of Economics and Financial Issues, Econjournals, vol. 7(4), pages 358-364.
- C.M. Chen & M. Ariff & T. Hassan & S. Mohamad, 2014.
"Does a firm's political connection to government have economic value?,"
Journal of the Asia Pacific Economy, Taylor & Francis Journals, vol. 19(1), pages 1-24, January.
- Chow-meng Chen & Mohamed Ariff & Tuafiq Hassan & Shamsher Mohamad, 2013. "Does a firm's political connection to government have economic value?," Journal of the Asia Pacific Economy, Taylor & Francis Journals, vol. 18(3), pages 477-501.
- Jackowicz, Krzysztof & Kowalewski, Oskar & Kozłowski, Łukasz, 2013. "The influence of political factors on commercial banks in Central European countries," Journal of Financial Stability, Elsevier, vol. 9(4), pages 759-777.
- Norfaizah Othman & Mariani Abdul-Majid & Aisyah Abdul-Rahman, 2018. "Determinants of Banking Crises in ASEAN Countries," Journal of International Commerce, Economics and Policy (JICEP), World Scientific Publishing Co. Pte. Ltd., vol. 9(03), pages 1-20, October.
- Chen, Pei-Fen & Liu, Ping-Chin, 2013. "Bank ownership, performance, and the politics: Evidence from Taiwan," Economic Modelling, Elsevier, vol. 31(C), pages 578-585.
- Männasoo, Kadri & Mayes, David G., 2009. "Explaining bank distress in Eastern European transition economies," Journal of Banking & Finance, Elsevier, vol. 33(2), pages 244-253, February.
- 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.
- Asli Demirgüç-Kunt & Enrica Detragiache, 2005.
"Cross-Country Empirical Studies of Systemic Bank Distress: A Survey,"
National Institute Economic Review, National Institute of Economic and Social Research, vol. 192(1), pages 68-83, April.
- Demirgüç-Kunt, Asli & Detragiache, Enrica, 2005. "Cross-Country Empirical Studies of Systemic Bank Distress: A Survey," National Institute Economic Review, National Institute of Economic and Social Research, vol. 192, pages 68-83, April.
- Asli Demirgüç-Kunt & Ms. Enrica Detragiache, 2005. "Cross-Country Empirical Studies of Systemic Bank Distress: A Survey," IMF Working Papers 2005/096, International Monetary Fund.
- Demirguc-Kunt, Asli & Detragiache, Enrica, 2005. "Cross-country empirical studies of systemic bank distress : a survey," Policy Research Working Paper Series 3719, The World Bank.
- Shin, Hyun Song, 2002. "Comments on "How good is the market at assessing bank fragility? A horse race between different indicators"," Journal of Banking & Finance, Elsevier, vol. 26(5), pages 1029-1031, May.
- Saadaoui, Zied, 2008. "Capital standards and banking stability in emerging countries: an empirical approach," MPRA Paper 25464, University Library of Munich, Germany.
- Mohamed Ariff & Luc Can, 2009.
"IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia,"
Journal of Financial Services Research, Springer;Western Finance Association, vol. 35(2), pages 167-187, April.
- Mohamed Ariff & Luc Can, 2008. "Imf Bank-Restructuring Efficiency Outcomes:Evidence From East Asia," CARF F-Series CARF-F-128, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo.
- Mohamed Ariff & Luc Can, 2009. "IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia," CARF F-Series CARF-F-148, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo.
- Evžen Kočenda & Ichiro Iwasaki, 2022.
"Bank survival around the world: A meta‐analytic review,"
Journal of Economic Surveys, Wiley Blackwell, vol. 36(1), pages 108-156, February.
- Evzen Kocenda & Ichiro Iwasaki, 2021. "Bank Survival Around the World: A Meta-Analytic Review," Working Papers IES 2021/09, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, revised Apr 2021.
- Kočenda, Evžen & Iwasaki, Ichiro, 2021. "Bank Survival Around the World A Meta‐Analytic Review," CEI Working Paper Series 2021-02, Center for Economic Institutions, Institute of Economic Research, Hitotsubashi University.
- Olaf Hübler & Lukas Menkhoff & Chodechai Suwanaporn, 2008.
"Financial Liberalisation in Emerging Markets: How Does Bank Lending Change?,"
The World Economy, Wiley Blackwell, vol. 31(3), pages 393-415, March.
- Hübler, Olaf Hübler & Menkhoff, Lukas & Suwanaporn, Chodechai, 2007. "Financial Liberalisation in Emerging Markets: How Does Bank Lending Change?," Hannover Economic Papers (HEP) dp-364, Leibniz Universität Hannover, Wirtschaftswissenschaftliche Fakultät.
- Thorsten Beck, 2013.
"Finance, growth and fragility: the role of government,"
International Journal of Banking, Accounting and Finance, Inderscience Enterprises Ltd, vol. 5(1/2), pages 49-77.
- Beck, Thorsten, 2013. "Finance, Growth and Fragility: The Role of Government," CEPR Discussion Papers 9597, C.E.P.R. Discussion Papers.
- Raffaella Calabrese & Johan A. Elkink & Paolo S. Giudici, 2017.
"Measuring bank contagion in Europe using binary spatial regression models,"
Journal of the Operational Research Society, Palgrave Macmillan;The OR Society, vol. 68(12), pages 1503-1511, December.
- Raffaella Calabrese & Johan A. Elkink & Paolo Giudici, 2014. "Measuring Bank Contagion in Europe Using Binary Spatial Regression Models," DEM Working Papers Series 096, University of Pavia, Department of Economics and Management.
- Chutatong Charumilind & Raja Kali & Yupana Wiwattanakantang, 2006.
"Connected Lending: Thailand before the Financial Crisis,"
The Journal of Business, University of Chicago Press, vol. 79(1), pages 181-218, January.
- Charumilind, Chutatong & Kali, Raja & Wiwattanakantang, Yupana & ウィワッタナカンタン, ユパナ, 2003. "Connected Lending: Thailand before the Financial Crisis," CEI Working Paper Series 2003-19, Center for Economic Institutions, Institute of Economic Research, Hitotsubashi University.
- Marchionne, Francesco & Pisicoli, Beniamino & Fratianni, Michele, 2022.
"Regulation, financial crises, and liberalization traps,"
Journal of Financial Stability, Elsevier, vol. 63(C).
- Francesco Marchionne & Beniamino Pisicoli & Michele Fratianni, 2017. "Regulation, financial crises, and liberalization traps," Mo.Fi.R. Working Papers 143, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences.
- Francesco Marchionne & Beniamino Pisicali & Michele Fratianni, 2019. "Regulation, Financial Crises, and Liberalization Traps," CESifo Working Paper Series 7724, CESifo.
- Liliana Rojas-Suarez, 2001. "Rating Banks in Emerging Markets: What Credit Rating Agencies Should Learn from Financial Indicators," Working Paper Series WP01-6, Peterson Institute for International Economics.
- Lin, Ching-Chung & Yang, Shou-Lin, 2016. "Bank fundamentals, economic conditions, and bank failures in East Asian countries," Economic Modelling, Elsevier, vol. 52(PB), pages 960-966.
- Charumilind, Chutatong & Kali, Raja & Wiwattanakantang, Yupana & ウィワッタナカンタン, ユパナ, 2002. "Crony Lending: Thailand before the Financial Crisis," CEI Working Paper Series 2002-4, Center for Economic Institutions, Institute of Economic Research, Hitotsubashi University.
- Allard Bruinshoofd & Bertrand Candelon & Katharina Raabe, 2010. "Banking Sector Fragility and the Transmission of Currency Crises," Open Economies Review, Springer, vol. 21(2), pages 263-292, April.
- Fazelina Sahul Hamid, 2013. "The Effect of Reliance on International Funding on Banking Fragility: Evidence from East Asia," Margin: The Journal of Applied Economic Research, National Council of Applied Economic Research, vol. 7(1), pages 29-60, February.
- Chue, Timothy K. & Cook, David, 2008. "Sudden stops and liability dollarization: Evidence from Asia's financial intermediaries," Pacific-Basin Finance Journal, Elsevier, vol. 16(4), pages 436-452, September.
- Daley, J. & Matthews, K. & Whitfield, K., 2008.
"Too-big-to-fail: Bank failure and banking policy in Jamaica,"
Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 18(3), pages 290-303, July.
- Daley, J & Matthews, Kent & Whitfield, Keith, 2006. "Too-Big-To-Fail: Bank Failure and Banking Policy in Jamaica," Cardiff Economics Working Papers E2006/4, Cardiff University, Cardiff Business School, Economics Section.
- Rahmatina A. Kasri, 2011. "Explaining the Twin Crises in Indonesia," Working Papers in Economics and Business 201102, Faculty of Economics and Business, University of Indonesia, revised May 2011.
- Lucian A. Bebchuk & Zvika Neeman, 2010.
"Investor Protection and Interest Group Politics,"
The Review of Financial Studies, Society for Financial Studies, vol. 23(3), pages 1089-1119, March.
- Lucian A. Bebchuk & Zvika Neeman, 2010. "Investor Protection and Interest Group Politics," NBER Chapters, in: Corporate Governance, National Bureau of Economic Research, Inc.
- Lucian A. Bebchuk & Zvika Neeman, 2007. "Investor Protection and Interest Group Politics," NBER Working Papers 13702, National Bureau of Economic Research, Inc.
- Aizenman, Joshua & Noy, Ilan, 2013.
"Macroeconomic adjustment and the history of crises in open economies,"
Journal of International Money and Finance, Elsevier, vol. 38(C), pages 41-58.
- Joshua Aizenman & Ilan Noy, 2012. "Macroeconomic Adjustment and the History of Crises in Open Economies," NBER Working Papers 18527, National Bureau of Economic Research, Inc.
- Aizenman, Joshua & Noy, Ilan, 2012. "Macroeconomic adjustment and the history of crises in open economies," Working Paper Series 18731, Victoria University of Wellington, School of Economics and Finance.
- Cristina Pereira Pedro & Joaquim J. S. Ramalho & Jacinto Vidigal Silva, 2018. "The main determinants of banking crises in OECD countries," Review of World Economics (Weltwirtschaftliches Archiv), Springer;Institut für Weltwirtschaft (Kiel Institute for the World Economy), vol. 154(1), pages 203-227, February.
- Sahut, Jean-Michel & Mili, Mehdi, 2011.
"Banking distress in MENA countries and the role of mergers as a strategic policy to resolve distress,"
Economic Modelling, Elsevier, vol. 28(1), pages 138-146.
- Sahut, Jean-Michel & Mili, Mehdi, 2011. "Banking distress in MENA countries and the role of mergers as a strategic policy to resolve distress," Economic Modelling, Elsevier, vol. 28(1-2), pages 138-146, January.
- Joshua Aizenman, 2009. "Financial Crisis and the Paradox of Under- and Over-Regulation," NBER Working Papers 15018, National Bureau of Economic Research, Inc.
- Eichler, Stefan & Sobański, Karol, 2016. "National politics and bank default risk in the eurozone," Journal of Financial Stability, Elsevier, vol. 26(C), pages 247-256.
- Masami Imai, 2009.
"Political Influence and Declarations of Bank Insolvency in Japan,"
Journal of Money, Credit and Banking, Blackwell Publishing, vol. 41(1), pages 131-158, February.
- Masami Imai, 2009. "Political Influence and Declarations of Bank Insolvency in Japan," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 41(1), pages 131-158, February.
- Giannetti, Mariassunta, 2007. "Financial liberalization and banking crises: The role of capital inflows and lack of transparency," Journal of Financial Intermediation, Elsevier, vol. 16(1), pages 32-63, January.
- Piruna Polsiri & Kingkarn Sookhanaphibarn, 2009. "Corporate Distress Prediction Models Using Governance and Financial Variables: Evidence from Thai Listed Firms during the East Asian Economic Crisis," Journal of Economics and Management, College of Business, Feng Chia University, Taiwan, vol. 5(2), pages 273-304, July.
- Polsiri, Piruna & Jiraporn, Pornsit, 2012. "Political connections, ownership structure, and financial institution failure," Journal of Multinational Financial Management, Elsevier, vol. 22(1), pages 39-53.
- Joshua Aizenman, 2004.
"Financial Opening: Evidence and Policy Options,"
NBER Chapters, in: Challenges to Globalization: Analyzing the Economics, pages 473-494,
National Bureau of Economic Research, Inc.
- Joshua Aizenman, 2002. "Financial Opening: Evidence and Policy Options," NBER Working Papers 8900, National Bureau of Economic Research, Inc.
- Rupa Duttagupta & Mr. Paul Cashin, 2008. "The Anatomy of Banking Crises," IMF Working Papers 2008/093, International Monetary Fund.
- Aizenman, Joshua, 2003.
"Reforming the global financial system,"
Santa Cruz Department of Economics, Working Paper Series
qt0cg1r6q8, Department of Economics, UC Santa Cruz.
- Aizenman, Joshua, 2003. "Reforming the global financial system," Center for Global, International and Regional Studies, Working Paper Series qt0cg1r6q8, Center for Global, International and Regional Studies, UC Santa Cruz.
- Acharya, Viral V., 2009.
"A theory of systemic risk and design of prudential bank regulation,"
Journal of Financial Stability, Elsevier, vol. 5(3), pages 224-255, September.
- Acharya, Viral, 2009. "A Theory of Systemic Risk and Design of Prudential Bank Regulation," CEPR Discussion Papers 7164, C.E.P.R. Discussion Papers.
- Pierluigi Bologna, 2015. "Structural Funding and Bank Failures," Journal of Financial Services Research, Springer;Western Finance Association, vol. 47(1), pages 81-113, February.
- Arena, Marco, 2008.
"Bank failures and bank fundamentals: A comparative analysis of Latin America and East Asia during the nineties using bank-level data,"
Journal of Banking & Finance, Elsevier, vol. 32(2), pages 299-310, February.
- Marco Arena, 2005. "Bank Failures and Bank Fundamentals: A Comparative Analysis of Latin America and East Asia during the Nineties using Bank-Level Data," Staff Working Papers 05-19, Bank of Canada.
- Ramón Moreno, 2008.
"Experiences with Current Account Deficits in Southeast Asia,"
Central Banking, Analysis, and Economic Policies Book Series, in: Kevin Cowan & Sebastián Edwards & Rodrigo O. Valdés & Norman Loayza (Series Editor) & Klaus Schmidt- (ed.),Current Account and External Financing, edition 1, volume 12, chapter 14, pages 537-582,
Central Bank of Chile.
- Ramon Moreno, 2007. "Experiences With Current Account Deficits in Southeast Asia," Working Papers Central Bank of Chile 452, Central Bank of Chile.
- Fazelina Sahul Hamid, 2015. "Dynamic Depositor Discipline: Evidence Based on East Asian Banks," Margin: The Journal of Applied Economic Research, National Council of Applied Economic Research, vol. 9(3), pages 218-253, August.
- Saadaoui, Zied, 2009. "Fonds propres réglementaires et stabilité bancaire dans les pays émergents [Capital Requirements and Banking Stability in Emerging Countries]," MPRA Paper 25217, University Library of Munich, Germany.
- Duttagupta, Rupa & Cashin, Paul, 2011. "Anatomy of banking crises in developing and emerging market countries," Journal of International Money and Finance, Elsevier, vol. 30(2), pages 354-376, March.
- 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.
- Awdeh Ali & El Moussawi Chawki, 2009.
"Bank Efficiency and Foreign Ownership in the Lebanese Banking Sector,"
Review of Middle East Economics and Finance, De Gruyter, vol. 5(2), pages 66-87, September.
- Ali Awdeh & Chawki El Moussawi, 2009. "Bank Efficiency and Foreign Ownership in the Lebanese Banking Sector," Post-Print hal-00844828, HAL.
- Koresh Galil & Margalit Samuel & Offer Moshe Shapir & Wolf Wagner, 2023. "Bailouts and the modeling of bank distress," Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 46(1), pages 7-30, February.
- Boubakri, Narjess & Cosset, Jean-Claude & Fischer, Klaus & Guedhami, Omrane, 2005. "Privatization and bank performance in developing countries," Journal of Banking & Finance, Elsevier, vol. 29(8-9), pages 2015-2041, August.
- Aizenman, Joshua & Noy, Ilan, 2013.
"Macroeconomic adjustment and the history of crises in open economies,"
Journal of International Money and Finance, Elsevier, vol. 38(C), pages 41-58.
- Joshua Aizenman & Ilan Noy, 2012. "Macroeconomic Adjustment and the History of Crises in Open Economies," NBER Working Papers 18527, National Bureau of Economic Research, Inc.
- Aizenman, Joshua & Noy, Ilan, 2012. "Macroeconomic adjustment and the history of crises in open economies," Working Paper Series 2516, Victoria University of Wellington, School of Economics and Finance.
- Maghyereh, Aktham I. & Awartani, Basel, 2014. "Bank distress prediction: Empirical evidence from the Gulf Cooperation Council countries," Research in International Business and Finance, Elsevier, vol. 30(C), pages 126-147.
- K. Batu Tunay, 2010. "Banking Crises and Early Warning Systems: A Model Suggestion for Turkish Banking Sector," Journal of BRSA Banking and Financial Markets, Banking Regulation and Supervision Agency, vol. 4(1), pages 9-46.
- Céline Crouzille & Laetitia Lepetit & Carlos Bautista, 2008.
"How Did The Asian Stock Markets React To Bank Mergers After The 1997 Financial Crisis?,"
Pacific Economic Review, Wiley Blackwell, vol. 13(2), pages 171-182, May.
- Céline Meslier-Crouzille & Laetitia Lepetit & Carlos C. Bautista, 2008. "How Did the Asian Stock Markets React to Bank Mergera after the 1997 Financial Crisis?," Post-Print hal-00828518, HAL.
- D. Fernández-Arias & M. López-Martín & T. Montero-Romero & F. Martínez-Estudillo & F. Fernández-Navarro, 2018. "Financial Soundness Prediction Using a Multi-classification Model: Evidence from Current Financial Crisis in OECD Banks," Computational Economics, Springer;Society for Computational Economics, vol. 52(1), pages 275-297, June.
- Chaiyasit Anuchitworawong, 2010. "The Value of Principles-Based Governance Practices and the Attenuation of Information Asymmetry," Asia-Pacific Financial Markets, Springer;Japanese Association of Financial Economics and Engineering, vol. 17(2), pages 171-207, June.
- Stef, Nicolae & Ben Jabeur, Sami & Scherer, Robert F., 2022. "Time to resolve insolvency and political elections," International Review of Law and Economics, Elsevier, vol. 72(C).
- Jomo K.S., 2005. "Malaysia´S September 1998 Controls: Background, Context, Impacts, Comparisons, Implications, Lessons," G-24 Discussion Papers 36, United Nations Conference on Trade and Development.
- Neu, Dean & Rahaman, Abu Shiraz & Everett, Jeff & Akindayomi, Akinloye, 2010. "The sign value of accounting: IMF structural adjustment programs and African banking reform," CRITICAL PERSPECTIVES ON ACCOUNTING, Elsevier, vol. 21(5), pages 402-419.
- Kick, Thomas & Koetter, Michael & Poghosyan, Tigran, 2010.
"Recovery determinants of distressed banks: Regulators, market discipline, or the environment?,"
Discussion Paper Series 2: Banking and Financial Studies
2010,02, Deutsche Bundesbank.
- Michael Koetter & Mr. Tigran Poghosyan & Thomas Kick, 2010. "Recovery Determinants of Distressed Banks: Regulators, Market Discipline, or the Environment?," IMF Working Papers 2010/027, International Monetary Fund.
- Pierluigi Bologna, 2011.
"Is there a role for funding in explaining recent US bank failures?,"
Questioni di Economia e Finanza (Occasional Papers)
103, Bank of Italy, Economic Research and International Relations Area.
- Pierluigi Bologna, 2011. "Is there a Role for Funding in Explaining Recent U.S. Banks' Failures?," IMF Working Papers 2011/180, International Monetary Fund.
- Zhang, Jianhua & Jiang, Chunxia & Qu, Baozhi & Wang, Peng, 2013. "Market concentration, risk-taking, and bank performance: Evidence from emerging economies," International Review of Financial Analysis, Elsevier, vol. 30(C), pages 149-157.
- Емельянов А.М. & Брюхова О.О., 2015. "Исследование Причин Отзыва Лицензий У Российских Коммерческих Банков В Посткризисный Период (2010-2011)," Журнал Экономика и математические методы (ЭММ), Центральный Экономико-Математический Институт (ЦЭМИ), vol. 51(3), pages 41-53, июль.
- 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.
- Suss, Joel & Treitel, Henry, 2019. "Predicting bank distress in the UK with machine learning," Bank of England working papers 831, Bank of England.
- Derek-Teshun Huang & Betty Chang & Zhien-Chia Liu, 2012. "Bank failure prediction models: for the developing and developed countries," Quality & Quantity: International Journal of Methodology, Springer, vol. 46(2), pages 553-558, February.
- Noy, Ilan, 2004. "Financial liberalization, prudential supervision, and the onset of banking crises," Emerging Markets Review, Elsevier, vol. 5(3), pages 341-359, September.
- repec:mth:ijafr8:v:8:y:2018:i:3:p:39-50 is not listed on IDEAS
- Janice Boucher Breuer, 2004. "An Exegesis on Currency and Banking Crises," Journal of Economic Surveys, Wiley Blackwell, vol. 18(3), pages 293-320, July.
- Raffaella Calabrese & Paolo Giudici, 2013. "Estimating bank default with generalised extreme value models," DEM Working Papers Series 035, University of Pavia, Department of Economics and Management.
- Ming-Chin Hung & Yung-Kang Ching & Shih-Kuei Lin, 2021. "Impact of COVID-19 on the Robustness of the Probability of Default Estimation Model," Mathematics, MDPI, vol. 9(23), pages 1-13, November.