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Oct 13 2019 Amine Ben Amar
  The Effectiveness of Monetary Policy Transmission in a Dual Banking System: Further Insights from TVP-VAR Model
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 31 2019 Thyago C. C. Nepomuceno and Ana Paula C. S. Costa
  Resource allocation with Time Series DEA applied to Brazilian Federal Saving banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 31 2019 Valdir Domeneghetti and Fabiano Guasti Lima
  Strategic direction re-evaluation of bank ratings in Brazil
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 15 2019 Jean-Michel Sahut and Faten Ben Bouheni
  Profitability and Risk-Taking Among Cooperative Banks in the Eurozone
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 28 2019 Jin-Kyu Jung , Michael Frenkel and Jan-Christoph Rülke
  On the consistency of central banks´ interest rate forecasts
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 18 2019 Geoffroy Enjolras and Philippe Madiès
  The determinants of loan acceptance: a case study of French farms
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 18 2019 Paulo Ferreira and Éder Pereira
  The impact of the Brexit referendum on British and European Union bank shares: a cross-correlation analysis with national indices
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 18 2019 Marcelo de C. Griebeler
  Strategically reported inflation expectation: a cheap-talk approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 10 2018 Russell Kashian , Ronald Tittle , Richard Cummings and Peter Westort
  Performance and growth among de novo subchapter-s banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 02 2018 Rim Boussaada , Aymen Ammari and Nouha Ben Arfa
  Board characteristics and MENA banks' credit risk: A fuzzy-set analysis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 02 2018 Juan Camilo Galvis Ciro and Guillermo David Hincapié Vélez
  Effect of Banking Concentration on the Lending Channel: evidence from Colombia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 31 2018 Mohammad I. Al Masud and Levent Kutlu
  US Bank Efficiency and FED Activity
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 15 2018 Rayenda Brahmana , Maria Kontesa and Rachel Elfra Gilbert
  Income diversification and bank performance: evidence from malaysian banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 15 2018 Chaojie Jin and Emmanuel Mamatzakis
  Board competence and bank performance in China
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 23 2018 Oussama Ben Hmiden and Tanguy Meigné
  The impact of bank rating changes on lending in major European banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 23 2018 Amine Ben Amar
  An old wine in new shari'a compliant bottles? A time-frequency wavelet analysis of the efficiency of monetary policy in dual financial systems
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 23 2018 Simon Cornée and Ariane Szafarz
  How Costly is Social Screening? Evidence from the Banking Industry
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 19 2017 Issam Laguir , Rebecca Stekelorum , Jamal Elbaz and Lamia Laguir
  Financial and environmental performances in the banking industry: A non-linear approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 16 2017 Maxim Zagonov , Angela Kate Pettinicchio and Galla Salganik-Shoshan
  Audit quality, bank risks, and cross-country regulations.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 02 2017 Benjamin M Tabak , Dimas M Fazio , Regis A Ely , Joao M. T. Amaral and Daniel O Cajueiro
  The effects of capital buffers on profitability: An empirical study
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 16 2017 Yoshiko Suzuki
  Return of the Japan premium in the abenomics period
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 11 2017 François Seck Fall
  Determinants of Microfinance institutions' access to bank credit in Senegal
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 05 2017 Hideaki Sakawa , Naoki Watanabel and Noriko Tanahashi
  Relation between Executive Compensation and Performance: Evidence from Japanese Shinkin Banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 25 2017 Oguzhan Cepni and Doruk Kucuksarac
  Optimal Mix of the Extended Nelson Siegel Model for Turkish Sovereign Yield Curve
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 01 2017 Ion Lapteacru
  Murphy-Topel adjustment of the variance-covariance matrix of a two-step panel data model: Evidence from competition-fragility nexus in banking
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 22 2017 Ritika Jain
  Is Demonetisation a Windfall for the banking sector? Evidence from the Indian stock market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 26 2017 Florian Leon
  Implications of loan portfolio concentration in Cambodia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 27 2016 Hichem Saidi , Khaled Guesmi and Houssem Rachdi
  Capital Account Liberalization, Financial Development and Economic Growth in Presence of Structural Breaks and Cross-Section Dependence
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 26 2016 Dimitrios Dimitriou
  Greek debt negotiations and VIX currency indices: A HYGARCH approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 10 2016 Amit Ghosh
  Determinants of Gold Demand in Reserve Bank of India's foreign exchange reserve portfolio.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 08 2016 Naiwei Chen , Hsin-yu Liang and Min-teh Yu
  Control of corruption, diversification and asset quality of Islamic and conventional banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 14 2016 Yoshiko Suzuki
  European banks' funding realignment during the European debt crisis: impact of counterparty risk and funding liquidity on FX swap pricing
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 04 2016 Tarcio Da Silva , Carlos Martins-filho and Eduardo Ribeiro
  A comparison of nonparametric efficiency estimators: DEA, FDH, DEAC, FDHC, order-m and quantile
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 18 2015 Wassim Rajhi
  Islamic Banks and Financial Stability: A Quantile Estimation
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 07 2015 Delphine Lahet and Anne-Gaël Vaubourg
  Banks' shareholding in multilateral trading facilities: A two-sided market perspective
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 09 2015 Alexander C. Jung
  Does liquidity matter for money demand in euro area countries?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 14 2015 Yuki Takahashi
  Did the TARP Expand or Contract Bank Lending? A Numerical Simulation Using a Financial Accelerator Model
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2015 Sofiane Aboura and Emmanuel Lépinette
  Do banks satisfy the Modigliani-Miller theorem ?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 05 2014 Wen-chung Guo and Ying-huei Chen
  Pricing of put warrants and competition among issuers
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 18 2014 Juan Cristóbal Campoy and Juan Carlos Negrete
  Optimal contracts for central bankers: a note
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 03 2014 Jean-michel Sahut and Medhi Mili
  Determinants of loans and deposits strategies of foreign bank subsidiaries in emerging countries
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 28 2014 Nguena Christian Lambert and Tsafack Nanfosso Roger
  On the Sensitivity of Banking Activity Shocks: Evidence from the CEMAC Sub-region
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 11 2013 Mouna Ben rejeb attia , Houda Sassi and Naima Lassoued
  Signaling over income smoothing and IFRS adoption by banks: a panel data analysis on MENA countries
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 13 2013 Eurilton Araújo and Débora Gouveia
  Calvo-type rules and the forward-looking behavior of inflation targeting central banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 11 2013 Dirk Bleich , Ralf Fendel and Jan-Christoph Rülke
  Monetary Policy and Stock Market Volatility
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 20 2012 Masami Imai and Peter Hull
  Does taxation on banks mean taxation on bank-dependent borrowers?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 19 2012 Ali Mirzaei , Guy Liu and John Beirne
  Market Structure and Bank Profitability: Emerging versus Advanced Economies
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 03 2012 Mahalia Jackman
  Foreign exchange intervention in a small open economy with a long term peg
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 26 2012 Taisuke Uchino
  Do Bond Issues Mitigate Hold-up Costs? Evidence from Japan's financial liberalization period
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 23 2012 Jijun Niu
  Interest rates and the risk-taking incentives of bank CEOs
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 09 2012 Fatih Macit
  Bank Specific and Macroeconomic Determinants of Profitability: Evidence From Participation Banks in Turkey
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 09 2012 Makram El-Shagi
  Protect and survive? Did capital controls help shield emerging markets from the crisis?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 12 2011 Steven W. Sumner and Guy Yamashiro
  Bank liabilities and the monetary transmission mechanism
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 21 2011 Christos S Savva
  Modeling interbank relations during the international financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 17 2011 Masanori Ohkuma and Teruo Mori
  Local finance-growth nexus: Does bank ownership matter?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 08 2010 Jijun Niu
  The effect of CEO overconfidence on bank risk taking
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 16 2010 Yi-ni Hsieh and Wea-in Wang
  Credit risk, trade credit and finance: evidence from Taiwanese manufacturing firms
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 03 2010 Tony Cavoli and Ramkishen Rajan
  A note on exchange rate regimes in Asia: Are they really what they claim to be?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 31 2010 Shin Fukuda
  Evaluating the influence of the internal ratings-based approach on bank lending in Japan
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 07 2010 Jean-michel Sahut and Medhi Mili
  Are Mergers a Solution to Bank Distress in MENA Countries?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 19 2010 Isabelle Distinguin and Amine Tarazi
  Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 18 2010 Mazbahul Golam Ahamad and Rezai Karim Khondker
  Climate Risks, Seasonal Food Insecurity and Consumption Coping Strategies: Evidences from a Micro-level Study from Northern Bangladesh
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 06 2010 Jijun Niu
  A note on loan market equilibrium when some borrowers are optimistic
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 03 2010 Yuan Yuan and Kazuyuki Motohashi
  Does Bank Loan Ratio Affect Investment of China's Listed Companies?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 27 2010 Kazumine Kondo
  What Promotes Japanese Regional Banks to Disclose Credit Ratings Voluntarily?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 18 2010 Meixing Dai
  Financial volatility and optimal instrument choice: A revisit to Poole's analysis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 17 2010 Victor Valdivia
  Evaluating the SEC Review of Commercial Banks: Evidence from Comment Letters
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 28 2009 Reginaldo Pinto Nogueira Jr.
  Is monetary policy really neutral in the long-run? Evidence for some emerging and developed economies
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 18 2009 Guillaume L`oeillet and Julien Licheron
  The role of oil prices in monetary policy rules: evidence from 4 major central banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 21 2009 Alberto Russo
  On the evolution of the Italian bank branch distribution
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 13 2009 Md abdul Wadud
  Financial development and economic growth: a cointegration and error-correction modeling approach for south Asian countries
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 06 2009 Carlos Bautista , Philippe Rous and Amine Tarazi
  The determinants of bank stock return's co-movements in East Asia
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 19 2009 Victoria Miller
  When banks are patients: The factors that determine treatment
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 09 2009 Alberto Russo
  Branch banking dynamics, collective behaviour and overclustering
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 06 2009 Yuan-shuh Lii
  A model of customer e-loyalty in the online banking
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 19 2009 Jie Mao and Ben Li
  The effect of potential foreign entry in the banking sector
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 17 2008 Hyeongwoo Kim
  Country-specific shocks and optimal monetary policy
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 20 2008 Sergio Da Silva , Roberto Meurer and Thiago Veloso
  Optimal control theory for inflation targeting
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 18 2007 Benoit Julien and Pere Gomis-Porqueras
  Market Structure and the Banking Sector
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 15 2004 Victor Vaugirard
  Bank runs, political distortions and contagion
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 28 2003 Keiichi Tanaka
  Indeterminacy of equilibrium price of money, market price of risk and interest rates
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 29 2003 Julia Paxton
  A poverty outreach index and its application to microfinance
  Abstract  Contact Information  Citation  Full Text  -  Note