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Citations in EconPapers for

Gary Gorton and Richard Rosen, (1992), Corporate control, portfolio choice, and the decline of banking, No 215, Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.)

33 citing papers found in EconPapers

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1112131

Beltratti, Andrea and René Stulz, (2010), The Credit Crisis around the Globe: Why Did Some Banks Perform Better?, Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics

Berger, Allen and Loretta Mester, (1997), Inside the Black Box: What Explains Differences in the Efficiencies of Financial Institutions?, Center for Financial Institutions Working Papers, Wharton School Center for Financial Institutions, University of Pennsylvania

Berger, Allen and Loretta Mester, (1997), Inside the black box: what explains differences in the efficiencies of financial institutions?, No 97-1, Working Papers, Federal Reserve Bank of Philadelphia

Boyd, John H. and Stanley L. Graham, (1996), Consolidation in U.S. banking: implications for efficiency and risk, No 572, Working Papers, Federal Reserve Bank of Minneapolis

Chun, Sun Eae; Mamoru Nagano and Min Hwan Lee, (2010), Ownership Structure and Risk-taking Behavior: Evidence from Banks in Korea and Japan, MPRA Paper, University Library of Munich, Germany

Claessens, Stijn; Asli Demirguc-Kunt and Harry Huizinga, (1998), How does foreign entry affect the domestic banking market?, No 1918, Policy Research Working Paper Series, The World Bank

Das, Abhiman and Saibal Ghosh, (2006), Size, Non-performing Loan, Capital and Productivity Change: Evidence from Indian State-owned Banks, MPRA Paper, University Library of Munich, Germany

Demirguc-Kunt, Asli and Harry Huizinga, (1998), Determinants of commercial bank interest margins and profitability: some international evidence, No 1900, Policy Research Working Paper Series, The World Bank

Demirguc-Kunt, Asli and Harry Huizinga, (1999), Market Discipline and Financial Safety Net Design, No 2311, CEPR Discussion Papers, C.E.P.R. Discussion Papers

Demirguc-Kunt, Asli and Harry Huizinga, (1999), Market discipline and financial safety net design, No 2183, Policy Research Working Paper Series, The World Bank

Gambacorta, Leonardo and Paolo Emilio Mistrulli, (2003), Bank Capital and Lending Behaviour: Empirical Evidence for Italy, No 486, Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area

Godlewski, Christophe, (2004), Bank Risk-Taking in a Prospect Theory Framework Empirical Investigation in the Emerging Markets’ Case, Finance, University Library of Munich, Germany

Gorton, Gary and Frank A. Schmid, (1996), Universal Banking and the Performance of German Firms, No 5453, NBER Working Papers, National Bureau of Economic Research, Inc

Gorton, Gary and Richard Rosen, (1994), Corporate Control, Portfolio Choice, and the Decline of Banking, Center for Financial Institutions Working Papers, Wharton School Center for Financial Institutions, University of Pennsylvania

Gropp, Reint and Matthias Köhler, (2010), Bank owners or bank managers: who is keen on risk? Evidence from the financial crisis, No 10-013, ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research

Hovakimian, Armen and Edward Kane, (1996), Risk-Shifting by Federally Insured Commercial Banks, No 5711, NBER Working Papers, National Bureau of Economic Research, Inc

Hughes, Joseph; William Lang; Loretta Mester; Choon-Geol Moon and Michael S. Pagano, (2002), Do Bankers Sacrifice Value to Build Empires? Managerial Incentives, Industry Consolidation and Financial Performance, Center for Financial Institutions Working Papers, Wharton School Center for Financial Institutions, University of Pennsylvania

Hughes, Joseph; William Lang; Loretta Mester; Choon-Geol Moon and Michael S. Pagano, (2002), Do bankers sacrifice value to build empires? managerial incentives, industry consolidation, and financial performance, No 02-2, Working Papers, Federal Reserve Bank of Philadelphia

Illueca, Manuel; José Pastor and Emili Tortosa-Ausina, (2009), The effects of geographic expansion on the productivity of Spanish savings banks, Journal of Productivity Analysis, 32, (2), 119-143

Laeven, Luc and Ross Levine, (2008), Bank Governance, Regulation, and Risk Taking, No 14113, NBER Working Papers, National Bureau of Economic Research, Inc

Marques-Ibanez, David; Franco Fiordelisi and Philip Molyneux, (2010), Efficiency and risk in european banking, No 1211, Working Paper Series, European Central Bank

Michalsen, Dag; Steven Ongena and David C. Smith, (2000), Firms and their distressed banks: lessons from the Norwegian banking crisis (1988-1991), No 686, International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.)

Mustika, Gandjar; Enny Suryatinc; Maximilian Hall and Richard Simper, (2015), Did Bank Indonesia cause the credit crunch of 2006–2008?, Review of Quantitative Finance and Accounting, 44, (2), 269-298

Ongena, Steven, (1999), Lending Relationships, Bank Default and Economic Activity, International Journal of the Economics of Business, 6, (2), 257-280

Park, Sangkyun, (1994), Explanations for the increased riskiness of banks in the 1980s, Review, (Jul), 3-24

Popova, Ivilina; Peter H. Ritchken and James B. Thompson, (1995), The changing role of banks and the changing value of deposit guarantees, No 9502, Working Papers (Old Series), Federal Reserve Bank of Cleveland

Prowse, Stephen D., (1995), Alternative methods of corporate control in commercial banks, Economic and Financial Policy Review, (Q III), 24-36

Saadaoui, Zied, (2008), Capital standards and banking stability in emerging countries: an empirical approach, MPRA Paper, University Library of Munich, Germany

Shaffer, Sherrill, (1996), Viability of Traditional Banking Activities: Evidence from Shifts in Conduct and Excess Capacity, International Journal of the Economics of Business, 3, (2), 125-143

Switzer, Lorne; Qiao Tu and Jun Wang, (2018), Corporate governance and default risk in financial firms over the post-financial crisis period: International evidence, Journal of International Financial Markets, Institutions and Money, 52, (C), 196-210

Tortosa Ausina, Emili, (2002), SENSITIVITY ANALYSIS OF EFFICIENCY AND MALMQUIST PRODUCTIVITY INDICES: AN APPLICATION TO SPANISH SAVINGS BANKS, Working Papers. Serie EC, Instituto Valenciano de Investigaciones Económicas, S.A. (Ivie)

Yan, Ying, (1998), The FDICIA and bank CEOs' pay-performance relationship: an empirical investigation, No 9805, Working Papers (Old Series), Federal Reserve Bank of Cleveland

Östblom, Göran and Charlotte Berg, (2006), The EMEC model: Version 2.0, No 96, Working Papers, National Institute of Economic Research

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The citation and reference data is supplied by Citations in Economics. The data is obtained through machine analysis of the full text files for papers available in EconPapers. Currently only freely available full text files are analysed and results are only included for files which could be parsed without errors.

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