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Financial integration, specialization and systemic risk. (2012). Fecht, Falko ; Hartmann, Philipp ; Gruner, Hans Peter.
In: Working Paper Series.
RePEc:ecb:ecbwps:20121425.

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Cited: 29

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Cites: 47

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  2. External wealth of nations and systemic risk. (2024). Ongena, Steven ; Chiper, Alexandra Maria ; Andrie, Alin Marius ; Sprincean, Nicu.
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  3. Contagion effects of external monetary shocks on systemic financial risk in China: Evidence from the Euro area and Japan. (2024). Ruan, Jia ; Ni, Jianhui.
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  4. The drivers of the financial integration of microfinance Institutions: Do financial development, agency costs and microfinance performance matter?. (2022). Tchakounte, Josephine ; Kendo, Sandra.
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  5. The drivers of the financial integration of microfinance Institutions: Do financial development, agency costs and microfinance performance matter?. (2022). Tchakounte, Josephine ; Kendo, Sandra.
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  7. An Optimal Islamic Investment Decision in Two-region Economy: The Case of Indonesia and Malaysia. (2020). Syarifuddin, Ferry.
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  8. Non-linear relationship between real commodity price volatility and real effective exchange rate: The case of commodity-exporting countries. (2019). Guillaumin, Cyriac ; Silanine, Alexandre ; Boubakri, Salem.
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  9. Non-linear relationship between real commodity price volatility and real effective exchange rate: The case of commodity-exporting countries. (2019). Guillaumin, Cyriac ; Boubakri, Salem ; Silanine, Alexandre.
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  10. Future directions in international financial integration research - A crowdsourced perspective. (2018). Zaghini, Andrea ; Piljak, Vanja ; Kearney, Fearghal ; Fernandez, Viviana ; Gogolin, Fabian ; Versteeg, Roald ; Ly, Kim Cuong ; Urquhart, Andrew ; Lonarski, Igor ; Dimic, Nebojsa ; Stafylas, Dimitrios ; Lindblad, Annika ; Carchano, Oscar ; Sheng, Xin ; Larkin, Charles J ; Brzeszczynski, Janusz ; Sevic, Aleksandar ; Laing, Elaine ; Barbopoulos, Leonidas ; Ballester, Laura ; Ohagan-Luff, Martha ; Ichev, Riste ; Yarovaya, Larisa ; Vigne, Samuel A ; Neville, Conor ; Helbing, Pia ; Wolfe, Simon ; Lucey, Brian M ; McGroarty, Frank ; Goodell, John W ; Vu, Anh N ; McGee, Richard J ; Gonzalez-Urteaga, Ana ; Marin, Matej .
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  12. .

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  13. The Determinants of Liquidity Risk: Evidence from Tunisian Banks. (2017). HAKIMI, ABDELAZIZ ; Zaghdoudi, Khemais.
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  14. Assessing systemic risk and its determinants for advanced and major emerging economies: the case of ?CoVaR. (2017). Stolbov, Mikhail.
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  15. An analysis of the literature on systemic financial risk: A survey. (2017). Silva, Walmir ; Sobreiro, Vinicius Amorim ; Kimura, Herbert.
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  16. The Nature of Shocks in the Eurozone and Their Absorption Channels. (2017). Neumeier, Florian ; Fuest, Clemens ; Dolls, Mathias ; Krolage, Carla ; Alcidi, Cinzia.
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  17. Fragmentation and heterogeneity in the euro-area corporate bond market: Back to normal?. (2016). Zaghini, Andrea.
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  18. Fragmentation and heterogeneity in the euro-area corporate bond market: Back to normal?. (2016). Zaghini, Andrea.
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  19. On the Relationship between Financial Integration, Financial Liberalization and Macroeconomic Volatility. (2015). Mirdala, Rajmund ; Svrekova, Aneta ; Semanikova, Jozefina .
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  20. Banks in The Global Integrated Monetary and Fiscal Model. (2015). Laxton, Douglas ; Kumhof, Michael ; Muir, Dirk V ; Andrle, Michal.
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  21. European financial market dependence: An industry analysis. (2015). Bartram, Söhnke ; Wang, Yaw-Huei.
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  24. Financial liberalization and contagion with unobservable savings. (2014). Panetti, Ettore.
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  25. Relationship lending in the interbank market and the price of liquidity. (2012). Fecht, Falko ; Bräuning, Falk ; Brauning, Falk.
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  26. Bank dependence and investment during the financial crisis. (2012). Vermeulen, Philip.
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  27. Conditional probabilities and contagion measures for euro area sovereign default risk. (2012). Schwaab, Bernd.
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  28. The impact of the Securities Markets Programme. (2012). Manganelli, Simone.
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    RePEc:eee:jbfina:v:34:y:2010:i:6:p:1274-1287.

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  34. Market Strucutre, Screening Activity and Bank Lending Behavior. (2010). Papanikolaou, Nikolaos.
    In: LSF Research Working Paper Series.
    RePEc:crf:wpaper:10-11.

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  35. Do multinational banks create or destroy economic value?. (2010). Pozzolo, Alberto ; Pinheiro, Carlos ; Gulamhussen, Mohamed Azzim .
    In: Mo.Fi.R. Working Papers.
    RePEc:anc:wmofir:36.

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  36. The strategic behavior of banks during a financial crisis; evidence from the syndicated loan market. (2009). Van Horen, Neeltje ; De Haas, Ralph.
    In: MPRA Paper.
    RePEc:pra:mprapa:14164.

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  37. How loan portfolio diversification affects risk, efficiency and capitalization: A managerial behavior model for Austrian banks. (2009). Winkler, Gerhard ; Rossi, Stefania P. S., ; Schwaiger, Markus S..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:33:y:2009:i:12:p:2218-2226.

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  38. Liberalization, Corporate Governance, and Savings Banks. (2009). Udell, Gregory ; Illueca, Manuel ; Norden, Lars.
    In: Mo.Fi.R. Working Papers.
    RePEc:anc:wmofir:17.

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  39. Financial integration, specialization and systemic risk. (2008). Hartmann, Philipp ; Fecht, Falko ; Gruner, Hans Peter.
    In: Discussion Paper Series 1: Economic Studies.
    RePEc:zbw:bubdp1:7562.

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  40. The homogenization of the financial system and financial crises. (2008). Wagner, Wolf.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:17:y:2008:i:3:p:330-356.

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  41. Mergers and acquisitions and bank performance in Europe: The role of strategic similarities. (2008). Marques-Ibanez, David ; Altunbas, Yener.
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:60:y:2008:i:3:p:204-222.

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  42. The diversification and financial performance of US credit unions. (2008). Wilson, John ; Goddard, John ; McKillop, Donal ; Wilson, John O. S., .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:9:p:1836-1849.

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  43. The Effects of Diversification on Banks´ Expected Returns. (2008). Gutiérrez Rueda, Javier ; Gonzalez, Angela ; Estrada, Dairo ; Arbelaez, Angela Gonzalez .
    In: BORRADORES DE ECONOMIA.
    RePEc:col:000094:004991.

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  44. The Effects of Diversification on Banks’ Expected Returns. (2008). Gutiérrez Rueda, Javier ; Gonzalez, Angela ; Estrada, Dairo ; Arbelaez, Angela Gonzalez .
    In: Borradores de Economia.
    RePEc:bdr:borrec:524.

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  45. Measuring concentration risk for regulatory purposes. (2007). Vohringer, Clemens ; Hibbeln, Martin ; Gurtler, Marc.
    In: Working Papers.
    RePEc:zbw:tbsifw:if26v4.

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  46. Does Diversification Improve the Performance of German Banks? Evidence from Individual Bank Loan Portfolios. (2007). von Westernhagen, Natalja ; Hayden, Evelyn ; Porath, Daniel.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:32:y:2007:i:3:p:123-140.

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  47. Multiple-bank lending: Diversification and free-riding in monitoring. (2007). CERASI, VITTORIA ; Carletti, Elena ; Daltung, Sonja .
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:16:y:2007:i:3:p:425-451.

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  48. Diversification and the cost of debt of bank holding companies. (2007). Mao, Connie X. ; Deng, Saiying ; Elyasiani, Elyas.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:31:y:2007:i:8:p:2453-2473.

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  49. Does the stock market value bank diversification?. (2007). Vander Vennet, Rudi ; De Jonghe, Olivier ; Baele, Lieven.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:31:y:2007:i:7:p:1999-2023.

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  50. Finance and Efficiency: Do Bank Branching Regulations Matter?. (2007). Sturgess, Jason ; Imbs, Jean ; Acharya, Viral.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:6202.

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