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| Sep 30 2025 |
Emmanuel C Mamatzakis , C Staikouras and C Triantopoulos |
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A monetary policy perspective of threshold effects in interest rates in the Euro-area. |
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Abstract Contact Information Citation Full Text - Preliminary Result |
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| Jun 30 2022 |
Doddy Ariefianto and Irwan Trinugroho |
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Bank risk, business diversification, systemic designation and bank valuation |
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Abstract Contact Information Citation Full Text - Preliminary Result |
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| Nov 14 2020 |
Geoffroy Enjolras and Philippe Madiès |
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The role of bank analysts and scores in the prediction of financial distress: Evidence from French farms |
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Abstract Contact Information Citation Full Text - Note |
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| Apr 15 2018 |
Rayenda Brahmana , Maria Kontesa and Rachel Elfra Gilbert |
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Income diversification and bank performance: evidence from malaysian banks |
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Abstract Contact Information Citation Full Text - Preliminary Result |
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| Feb 09 2018 |
Francesco Marchionne and Alberto Zazzaro |
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Risk and competitiveness in the Italian banking sector |
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Abstract Contact Information Citation Full Text - Note |
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| Jul 16 2017 |
Maxim Zagonov , Angela Kate Pettinicchio and Galla Salganik-Shoshan |
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Audit quality, bank risks, and cross-country regulations. |
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Abstract Contact Information Citation Full Text - Note |
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| May 01 2017 |
Ion Lapteacru |
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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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Abstract Contact Information Citation Full Text - Note |
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| Dec 08 2010 |
Jijun Niu |
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The effect of CEO overconfidence on bank risk taking |
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Abstract Contact Information Citation Full Text - Note |
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| Jun 19 2010 |
Isabelle Distinguin and Amine Tarazi |
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Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia |
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Abstract Contact Information Citation Full Text - Note |
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