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11121
Agoraki, Maria-Eleni; Georgios Kouretas and Christos Triantopoulos,
(2020),
Democracy, regulation and competition in emerging banking systems, Economic Modelling, 84, (C), 190-202
Cavallaro, Eleonora and Eleonora Cutrini,
(2019),
Distance and beyond: What drives financial flows to emerging economies?, Economic Modelling, 81, (C), 533-550
Cicen, Yildirim Beyazit,
(2024),
Decoding Inflation: Role of Institutional Quality in Türkiye Using Advanced Econometric Techniques, Istanbul Journal of Economics-Istanbul Iktisat Dergisi, 73, (74-1), 1-35
Dridi, Ichrak and Adel Boughrara,
(2021),
On the effect of full-fledged IT adoption on stock returns and their conditional volatility: Evidence from propensity score matching, The Quarterly Review of Economics and Finance, 80, (C), 179-194
Drobyazko, Svetlana; Anna Barwinska-Malajowicz; Boguslaw Slusarczyk; Olga Chubukova and Taliat Bielialov,
(2020),
Risk Management in the System of Financial Stability of the Service Enterprise, JRFM, 13, (12), 1-15
Fouda Owoundi, Jean-Pierre; Christophe Martial Mbassi and Ferdinand Owoundi,
(2021),
Does inflation targeting weaken financial stability? Assessing the role of institutional quality, The Quarterly Review of Economics and Finance, 80, (C), 374-398
Fărcaș, Ioana Georgiana and Simona Nistor,
(2023),
The impact of culture on government interventions in the banking sector, Economic Modelling, 129, (C)
Gaganis, Chrysovalantis; Emilios Galariotis; Fotios Pasiouras and Christos Staikouras,
(2020),
Bank profit efficiency and financial consumer protection policies, Journal of Business Research, 118, (C), 98-116
Garriga, Ana Carolina and Cesar Rodriguez,
(2020),
More effective than we thought: Central bank independence and inflation in developing countries, Economic Modelling, 85, (C), 87-105
Le, Anh-Tuan; Anh-Tuan Doan and Thu Phan,
(2021),
Institutional development and firm risk from a dynamic perspective: Does ownership structure matter?, Economic Analysis and Policy, 72, (C), 342-357
Le, Tuong; Minh Thanh Vo; Bay Vo; Mi Young Lee and Sung Wook Baik,
(2019),
A Hybrid Approach Using Oversampling Technique and Cost-Sensitive Learning for Bankruptcy Prediction, Complexity, 2019, 1-12
Liu, Zhonglu; Shuguang He; Wenjiao Men and Haibo Sun,
(2024),
Impact of climate risk on financial stability: Cross-country evidence, International Review of Financial Analysis, 92, (C)
Mbassi, Christophe Martial; Suzanne Edwige Clarisse Hyoba and Muhammad Shahbaz,
(2023),
Does monetary policy really matter for environmental protection? The case of inflation targeting, Research in Economics, 77, (3), 427-452
Minea, Alexandru; René Tapsoba and Patrick Villieu,
(2021),
Inflation targeting adoption and institutional quality: Evidence from developing countries, The World Economy, 44, (7), 2107-2127
Montes, Gabriel; José Américo Pereira Antunes and Alexei Ferreira Araújo,
(2021),
Effects of monetary policy and credibility on financial intermediation: evidence from the Brazilian banking sector, Empirical Economics, 60, (3), 1191-1219
Mutarindwa, Samuel; Dorothea Schäfer and Andreas Stephan,
(2020),
Central banks' supervisory guidance on corporate governance and bank stability: Evidence from African countries, Emerging Markets Review, 43, (C)
Ngambou Djatche, Melchisedek Joslem,
(2019),
Re-exploring the nexus between monetary policy and banks' risk-taking, Economic Modelling, 82, (C), 294-307
Onyshchuk, Svitlana V.; Igor I. Onyshchuk; Olha Petroye and Roman Chernysh,
(2020),
Financial Stability and its Impact on National Security State: Organizational and Legal Aspects, International Journal of Economics & Business Administration (IJEBA), VIII, (1), 353-365
Petrevski, Goran,
(2023),
Macroeconomic Effects of Inflation Targeting: A Survey of the Empirical Literature, Papers, arXiv.org
Petrevski, Goran,
(2023),
Macroeconomic Effects of Inflation Targeting: A Survey of the Empirical Literature, EconStor Preprints, ZBW - Leibniz Information Centre for Economics
Phan, Dinh; Bernard Njindan Iyke; Susan Sunila Sharma and Yoga Affandi,
(2021),
Economic policy uncertainty and financial stability–Is there a relation?, Economic Modelling, 94, (C), 1018-1029
Shabir, Mohsin; Ping Jiang; Satar Bakhsh and Zhongxiu Zhao,
(2021),
Economic policy uncertainty and bank stability: Threshold effect of institutional quality and competition, Pacific-Basin Finance Journal, 68, (C)
Shabir, Mohsin; Ping Jiang; Wenhao Wang and Özcan Işık,
(2023),
COVID-19 pandemic impact on banking sector: A cross-country analysis, Journal of Multinational Financial Management, 67, (C)
Silva, Thiago; Florângela Cunha Coelho; Philipp Ehrl and Benjamin Tabak,
(2020),
Internet access in recessionary periods: The case of Brazil, Physica A: Statistical Mechanics and its Applications, 537, (C)
Suh, Sangwon and Daehwan Kim,
(2021),
Inflation targeting and expectation anchoring: Evidence from developed and emerging market economies, The North American Journal of Economics and Finance, 58, (C)
Syed, Aamir Aijaz; Muhammad Kamal; Assad Ullah and Simon Grima,
(2022),
An Asymmetric Analysis of the Influence That Economic Policy Uncertainty, Institutional Quality, and Corruption Level Have on India’s Digital Banking Services and Banking Stability, Sustainability, 14, (6), 1-21
Wang, Ruohan; Yi Xue and Wenping Zheng,
(2021),
Does high external debt predict lower economic growth? Role of sovereign spreads and institutional quality, Economic Modelling, 103, (C)
Yacouba, Kassouri; Halil Altıntaş and Faik Bilgili,
(2020),
An investigation of the financial resource curse hypothesis in oil-exporting countries: The threshold effect of democratic accountability, Journal of Multinational Financial Management, 56, (C)
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