Commodity volatility breaks | 2012/04/01 | English | 148 |
Risk, capital and efficiency in Chinese banking | 2013/10/01 | English | 147 |
Political uncertainty and stock market volatility in the Middle East and North African (MENA) countries | 2014/01/01 | English | 144 |
The relationship between stock price index and exchange rate in Asian markets: A quantile regression approach | 2012/07/01 | English | 142 |
Is bank income diversification beneficial? Evidence from an emerging economy | 2014/07/01 | English | 140 |
Banks’ procyclical behavior: Does provisioning matter? | 2008/12/01 | English | 138 |
Corporate governance practices, ownership structure, and corporate performance in the GCC countries | 2017/01/01 | English | 130 |
Global banking stability in the shadow of Covid-19 outbreak | 2021/05/01 | English | 130 |
Copula model dependency between oil prices and stock markets: Evidence from China and Vietnam | 2012/10/01 | English | 123 |
Investor herds and regime-switching: Evidence from Gulf Arab stock markets | 2013/02/01 | English | 122 |
The effect of capital ratios on the risk, efficiency and profitability of banks: Evidence from OECD countries | 2018/03/01 | English | 121 |
Sovereign bond yield spillovers in the Euro zone during the financial and debt crisis | 2013/10/01 | English | 118 |
ESG activities and banking performance: International evidence from emerging economies | 2021/01/01 | English | 115 |
Oil and stock returns: Evidence from European industrial sector indices in a time-varying environment | 2013/10/01 | English | 115 |
Factors determining European bank risk | 2012/10/01 | English | 114 |
The effects of a “black swan” event (COVID-19) on herding behavior in cryptocurrency markets | 2021/11/01 | English | 110 |
A cross-country analysis of herd behavior in Europe | 2014/09/01 | English | 110 |
Corporate governance, law, culture, environmental performance and CSR disclosure: A global perspective | 2021/01/01 | English | 105 |
Stock market linkages in emerging markets: implications for international portfolio diversification | 2005/04/01 | English | 103 |
Market power, revenue diversification and bank stability: Evidence from selected South Asian countries | 2012/10/01 | English | 103 |
Private capital flows and economic growth in Africa: The role of domestic financial markets | 2014/05/01 | English | 99 |
Comovements in international stock markets | 2008/02/01 | English | 98 |
Is there a competition-stability trade-off in European banking? | 2017/01/01 | English | 98 |
Corporate governance in Islamic banks: New insights for dual board structure and agency relationships | 2018/05/01 | English | 95 |
Efficiency of Turkish banking: Two-stage network system. Variable returns to scale model | 2011/02/01 | English | 94 |
Is stock return predictability time-varying? | 2018/01/01 | English | 94 |
Convergence in banking efficiency across European countries | 2009/12/01 | English | 91 |
Bank size, market concentration, and bank earnings volatility in the US | 2012/02/01 | English | 91 |
Oil and stock returns: Frequency domain evidence | 2013/02/01 | English | 90 |
Efficiency in emerging markets—Evidence from the MENA region | 2008/02/01 | English | 90 |