Bank business models, regulation, and the role of financial market participants in the global financial crisis
暂无分享,去创建一个
[1] J. Hennart,et al. What drives cross-border M&As in commercial banking? , 2016 .
[2] Anh N. Vu,et al. What is the impact of bankrupt and restructured loans on Japanese bank efficiency , 2016 .
[3] C. Chiarella,et al. Chasing trends at the micro-level: The effect of technical trading on order book dynamics , 2016 .
[4] B. V. Phani,et al. Economic consequences of deregulation: Evidence from the removal of voting cap in Indian banks , 2016 .
[5] B. Zhu,et al. Bank integration and co-movements across housing markets , 2016 .
[6] S. Caiazza,et al. The determinants of failed takeovers in the banking sector: Deal or country characteristics?☆ , 2016 .
[7] Meryem Duygun,et al. Trademarking activities and total factor productivity: Some evidence for British commercial banks using a metafrontier approach , 2016 .
[8] C. S. Buston,et al. Active Risk Management and Banking Stability , 2016 .
[9] Kuan-Ting Lin,et al. How Do Banks Make the Trade-Offs Among Risks? The Role of Corporate Governance , 2016 .
[10] Javier Perote,et al. Multivariate Moments Expansion Density: Application of the Dynamic Equicorrelation Model , 2016 .
[11] G. Karolyi,et al. Regulatory Arbitrage and Cross-Border Bank Acquisitions: Regulatory Arbitrage and Cross-Border Bank Acquisitions , 2015 .
[12] Kris Boudt,et al. Managers Set the Tone: Equity Incentives and the Tone of Earnings Press Releases , 2015 .
[13] Ingmar Nolte,et al. Disagreement versus Uncertainty: Evidence from Distribution Forecasts , 2015 .
[14] T. Kim,et al. Momentum and Downside Risk , 2014 .
[15] G. Karolyi,et al. Regulatory Arbitrage and Cross-Border Bank Acquisitions , 2014 .
[16] Asli Demirgüç-Kunt,et al. Bank Regulation and Supervision Around the World: A Crisis Update , 2012 .
[17] A. Mody,et al. Precautionary Savings in the Great Recession , 2012, SSRN Electronic Journal.
[18] Alexandra Dias. The Economic Value of Controlling for Large Losses in Portfolio Selection , 2011 .
[19] J. Imbs,et al. Credit Supply and the Price of Housing , 2010 .
[20] Lionel Martellini,et al. Improved Estimates of Higher-Order Comoments and Implications for Portfolio Selection , 2010 .
[21] U. Fritsche,et al. Disagreement Among Forecasters in G7 Countries , 2009, Review of Economics and Statistics.
[22] V. Acharya,et al. The Financial Crisis of 2007‐2009: Causes and Remedies , 2009 .
[23] R. Sundaram,et al. Corporate Governance in the Modern Financial Sector , 2009 .
[24] James R. Barth,et al. Bank Regulations are Changing: For Better or Worse? , 2008 .
[25] R. Rajan. Has Finance Made the World Riskier? , 2006 .
[26] I. Marsh,et al. Credit risk transfer and financial sector stability , 2006 .
[27] C. Buch,et al. Cross-Border Bank Mergers: What Lures the Rare Animal? , 2002 .
[28] A. Pozzolo,et al. The Patterns of Cross-Border Bank Mergers and Shareholdings in OECD Countries , 2001 .
[29] A. Morrison. Credit Derivatives, Disintermediation and Investment Decisions , 2001 .
[30] Andrei Shleifer,et al. Government Ownership of Banks , 2000 .
[31] A. Haldane,et al. The Race to Zero , 2012 .