Bank income structure and risk: An empirical analysis of European banks | 2008/08/01 | English | 472 |
Corporate distress diagnosis: Comparisons using linear discriminant analysis and neural networks (the Italian experience) | 1994/05/01 | English | 471 |
Concentration and other determinants of bank profitability in Europe, North America and Australia | 1989/03/01 | English | 468 |
The financial cycle and macroeconomics: What have we learnt? | 2014/08/01 | English | 462 |
Does too much finance harm economic growth? | 2014/04/01 | English | 461 |
Capital structure around the world: The roles of firm- and country-specific determinants | 2008/09/01 | English | 461 |
On the implications of market power in banking: Evidence from developing countries | 2010/04/01 | English | 460 |
The stocks at stake: Return and risk in socially responsible investment | 2008/12/01 | English | 457 |
How likely is contagion in financial networks? | 2015/01/01 | English | 442 |
Does the type of ownership control matter? Evidence from China’s listed companies | 2009/01/01 | English | 439 |
Bank branch operating efficiency | 1985/06/01 | English | 437 |
Capital structure and firm performance: A new approach to testing agency theory and an application to the banking industry | 2006/04/01 | English | 432 |
Informational efficiency of credit default swap and stock markets: The impact of credit rating announcements | 2004/11/01 | English | 432 |
Corporate social responsibility in the banking industry: Motives and financial performance | 2013/09/01 | English | 428 |
Bank ownership and performance. Does politics matter? | 2007/01/01 | English | 423 |
Institutional investor stability and crash risk: Monitoring versus short-termism? | 2013/08/01 | English | 421 |
Assessing financial contagion in the interbank market: Maximum entropy versus observed interbank lending patterns | 2011/05/01 | English | 405 |
The impact of institutional ownership on corporate operating performance | 2007/06/01 | English | 401 |
A framework for assessing the systemic risk of major financial institutions | 2009/11/01 | English | 400 |
Systemic risk measurement: Multivariate GARCH estimation of CoVaR | 2013/08/01 | English | 399 |
Efficiency and risk in European banking | 2011/05/01 | English | 397 |
New evidence on oil price and firm returns | 2011/12/01 | English | 391 |
Capital regulation and bank risk-taking: A note | 1989/12/01 | English | 381 |
Global financial crisis, extreme interdependences, and contagion effects: The role of economic structure? | 2011/01/01 | English | 380 |
Does the stock market value bank diversification? | 2007/07/01 | English | 374 |
Performance and governance in microfinance institutions | 2009/04/01 | English | 367 |
Is gold a safe haven or a hedge for the US dollar? Implications for risk management | 2013/08/01 | English | 362 |
What explains the low profitability of Chinese banks? | 2009/11/01 | English | 358 |
Does board structure in banks really affect their performance? | 2013/05/01 | English | 354 |
Measuring firm size in empirical corporate finance | 2018/01/01 | English | 350 |