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Jun 30 2022 Doddy Ariefianto and Irwan Trinugroho
  Bank risk, business diversification, systemic designation and bank valuation
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 14 2020 Geoffroy Enjolras and Philippe Madiès
  The role of bank analysts and scores in the prediction of financial distress: Evidence from French farms
  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
 
Feb 09 2018 Francesco Marchionne and Alberto Zazzaro
  Risk and competitiveness in the Italian banking sector
  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.
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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
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Dec 08 2010 Jijun Niu
  The effect of CEO overconfidence on bank risk taking
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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