Frank Strobel : Citation Profile


Are you Frank Strobel?

University of Birmingham

9

H index

9

i10 index

383

Citations

RESEARCH PRODUCTION:

29

Articles

25

Papers

RESEARCH ACTIVITY:

   22 years (2000 - 2022). See details.
   Cites by year: 17
   Journals where Frank Strobel has often published
   Relations with other researchers
   Recent citing documents: 86.    Total self citations: 15 (3.77 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pst144
   Updated: 2023-03-02    RAS profile: 2023-01-23    
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Relations with other researchers


Works with:

Mercadier, Mathieu (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with Frank Strobel.

Is cited by:

Asongu, Simplice (16)

Ghassan, Hassan (12)

mamatzakis, emmanuel (7)

TARAZI, Amine (7)

Mare, Davide Salvatore (6)

Tchamyou, Vanessa (6)

Barra, Cristian (6)

Ashraf, Badar Nadeem (5)

Dinger, Valeriya (4)

Nwachukwu, Jacinta (4)

Kose, Ayhan (4)

Cites to:

Shleifer, Andrei (37)

Lepetit, Laetitia (36)

TARAZI, Amine (19)

Lopez-de-Silanes, Florencio (18)

Levine, Ross (18)

La Porta, Rafael (16)

Jensen, Michael (15)

Barro, Robert (13)

Stulz, René (13)

Djankov, Simeon (13)

HASAN, IFTEKHAR (12)

Main data


Where Frank Strobel has published?


Journals with more than one article published# docs
Journal of International Financial Markets, Institutions and Money4
Applied Economics Letters3
Applied Economics3
Economics Bulletin2
Research in Economics2

Working Papers Series with more than one paper published# docs
Post-Print / HAL14
Working Papers / HAL6

Recent works citing Frank Strobel (2022 and 2021)


YearTitle of citing document
2023Make-up strategies and exchange rate pass-through in a low-interest-rate environment. (2023). Pisani, Massimiliano ; Notarpietro, Alessandro ; Cova, Pietro ; Cantelmo, Alessandro. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1403_23.

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2021Interaction of Cyclical and Structural Systemic Risks: Insights from Around and After the Global Financial Crisis. (2021). Hodula, Martin ; Pfeifer, Lukas ; Janku, Jan. In: Research and Policy Notes. RePEc:cnb:rpnrpn:2021/03.

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2021Foreign ownership and bank performance Evidence from French market. (2021). Kouzez, Marc. In: Economics Bulletin. RePEc:ebl:ecbull:eb-20-01269.

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2023Why European banks adjust their dividend payouts?. (2023). Jarmuzek, Mariusz ; Grodzicki, Maciej ; Belloni, Marco. In: Working Paper Series. RePEc:ecb:ecbwps:20232765.

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2022Value relevance of loan loss provision components and the choice of model specification. (2022). Guhathakurta, Kousik ; Pandey, Ashish. In: Advances in accounting. RePEc:eee:advacc:v:58:y:2022:i:c:s0882611022000190.

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2021An examination of diversification on bank profitability and insolvency risk in 28 financially liberalized markets. (2021). Argyle, Bronson ; Parsons, Richard ; Nguyen, James. In: Journal of Behavioral and Experimental Finance. RePEc:eee:beexfi:v:29:y:2021:i:c:s2214635020303439.

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2021Institutional investors and bank governance: An international analysis of bank earnings management. (2021). Yang, Tina ; Wang, Bin ; Moussawi, Rabih ; Miller, Steve M. In: Journal of Corporate Finance. RePEc:eee:corfin:v:70:y:2021:i:c:s0929119921001772.

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2021The impact of economic uncertainty and geopolitical risks on bank credit. (2021). Demir, Ender ; Danisman, Gamze Ozturk. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:57:y:2021:i:c:s1062940821000723.

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2022Monetary policy and bank performance: The role of business models. (2022). Huynh, Japan ; Dang, Van Dan. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:59:y:2022:i:c:s1062940821002011.

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2022Early warning system for risk of external liquidity shock in BRICS countries. (2022). Yu, Xiao ; Cottrell, Simon ; Delpachitra, Sarath ; Wang, Hao. In: Emerging Markets Review. RePEc:eee:ememar:v:51:y:2022:i:pa:s1566014121000868.

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2021Provisioning over the business cycle: Some insights from the microfinance industry. (2021). Tchuigoua, Hubert Tchakoute ; TchakouteTchuigoua, Hubert ; Soumare, Issouf ; Lensink, Robert. In: International Review of Financial Analysis. RePEc:eee:finana:v:77:y:2021:i:c:s1057521921001599.

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2021Loan loss provisions and income smoothing – Do shareholders matter?. (2021). Skała, Dorota ; Skaa, Dorota. In: International Review of Financial Analysis. RePEc:eee:finana:v:78:y:2021:i:c:s1057521921002350.

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2022Measuring bank risk: Forward-looking z-score. (2022). Tripe, David ; Kabir, Humayun M ; Li, Xiping ; Hafeez, Bilal. In: International Review of Financial Analysis. RePEc:eee:finana:v:80:y:2022:i:c:s1057521922000187.

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2022Dividend payout strategies and bank survival likelihood: A cross-country analysis. (2022). Elnahass, Marwa ; Kara, Alper ; Trinh, Vu Quang. In: International Review of Financial Analysis. RePEc:eee:finana:v:81:y:2022:i:c:s1057521922000977.

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2021Nonlinear effect of subordinated debt changes on bank performance. (2021). Yu, Jinyoung ; Ryu, Doojin. In: Finance Research Letters. RePEc:eee:finlet:v:38:y:2021:i:c:s1544612320301112.

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2022Better safe than sorry. Bank corporate governance, risk-taking, and performance. (2022). Lagasio, Valentina ; Brogi, Marina. In: Finance Research Letters. RePEc:eee:finlet:v:44:y:2022:i:c:s1544612321001203.

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2022Multiple credit ratings and liquidity creation. (2022). Bellos, Sotirios K ; Chen, Lei ; Kladakis, George. In: Finance Research Letters. RePEc:eee:finlet:v:46:y:2022:i:pa:s1544612321003433.

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2022Sovereign debt holdings and banks’ credit risk: Evidence from the Eurozone. (2022). Mansilla-Fernandez, Jose Manuel ; Corredor, Pilar ; Abinzano, Isabel. In: Finance Research Letters. RePEc:eee:finlet:v:47:y:2022:i:pa:s154461232100502x.

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2021How organizational and geographic complexity influence performance: Evidence from European banks. (2021). Danisman, Gamze Ozturk ; Tarazi, Amine ; Sauviat, Alain ; Nyola, Annick Pamen. In: Journal of Financial Stability. RePEc:eee:finsta:v:55:y:2021:i:c:s1572308921000541.

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2022Early warning systems using dynamic factor models: An application to Asian economies. (2022). Villafuerte, James ; Truck, Stefan ; Sheen, Jeffrey ; Truong, Chi. In: Journal of Financial Stability. RePEc:eee:finsta:v:58:y:2022:i:c:s1572308921000450.

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2021Muslim CEOs and bank risk-taking: Evidence from Indonesia. (2021). Hooy, Chee-Wooi ; Setiawan, Doddy ; Ooi, Chai-Aun. In: Global Finance Journal. RePEc:eee:glofin:v:50:y:2021:i:c:s1044028318302242.

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2022Competition in dual markets: Implications for banking system stability. (2022). TARAZI, Amine ; Trinugroho, Irwan ; Risfandy, Tastaftiyan. In: Global Finance Journal. RePEc:eee:glofin:v:52:y:2022:i:c:s1044028320302799.

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2022Risk governance and financial stability: A comparative study of conventional and Islamic banks in the GCC. (2022). Ahmed, Habib ; Raouf, Hajar. In: Global Finance Journal. RePEc:eee:glofin:v:52:y:2022:i:c:s1044028320302994.

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2022Are we living in an illusion? A fresh look at the importance of bank capital in the quest for stability. (2022). Moreira, Fernando. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:76:y:2022:i:c:s1042443121001748.

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2022Credit risk interdependence in global financial markets: Evidence from three regions using multiple and partial wavelet approaches. (2022). Choi, Sun-Yong. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:80:y:2022:i:c:s1042443122001093.

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2021Penalized maximum likelihood estimation of logit-based early warning systems. (2021). Pigini, Claudia. In: International Journal of Forecasting. RePEc:eee:intfor:v:37:y:2021:i:3:p:1156-1172.

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2022Banks’ complexity-risk nexus and the role of regulation. (2022). Vogel, Ursula ; Martynova, Natalya. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:134:y:2022:i:c:s0378426621000789.

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2021Complexity, interconnectedness and stability: New perspectives applied to the European banking system. (2021). Bertrand, Jean-Louis ; Chabot, Miia. In: Journal of Business Research. RePEc:eee:jbrese:v:129:y:2021:i:c:p:784-800.

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2021Income smoothing in European banks: The contrasting effects of monitoring mechanisms. (2021). Ramassa, Paola ; di Fabio, Costanza ; Quagli, Alberto. In: Journal of International Accounting, Auditing and Taxation. RePEc:eee:jiaata:v:43:y:2021:i:c:s1061951821000100.

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2021What affects bank market power in the euro area? A country-level structural model approach. (2021). Girardone, Claudia ; Shaffer, Sherrill ; Coccorese, Paolo. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:117:y:2021:i:c:s0261560621000942.

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2021State ownership, macroprudential policies, and bank lending. (2021). Mirzaei, Ali ; Samet, Anis ; Pasiouras, Fotios. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:117:y:2021:i:c:s0261560621001078.

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2022Riding the FinTech innovation wave: FinTech, patents and bank performance. (2022). Lee, Chi-Chuan ; Chen, Shi ; Yu, Chin-Hsien ; Li, Xinghao ; Zhao, Jinsong. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:122:y:2022:i:c:s0261560621002035.

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2022A cross-country database of fiscal space. (2022). Sugawara, Naotaka ; Ohnsorge, Franziska ; Kurlat, Sergio ; Kose, Ayhan M. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:128:y:2022:i:c:s0261560622000857.

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2021To pay or not pay: Board remuneration and insolvency risk in credit unions. (2021). Ranasinghe, Dinithi ; Unda, Luisa A. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:66:y:2021:i:c:s0927538x17305747.

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2022Economic policy uncertainty and bank systemic risk: A cross-country analysis. (2022). Wang, YU ; Fan, Xiaoyun ; Duan, Yuejiao. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:75:y:2022:i:c:s0927538x22001238.

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2021Using multivariate stochastic dominance to enhance portfolio selection and warn of financial crises. (2021). Kouaissah, Noureddine. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:80:y:2021:i:c:p:480-493.

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2022Competition, cost efficiency and stability of banks in the MENA region. (2022). Mansour, Rana ; el Moussawi, Chawki. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:84:y:2022:i:c:p:143-170.

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2021Loan loss provisioning of US banks: Economic policy uncertainty and discretionary behavior. (2021). Demir, Ender ; Ozili, Peterson ; Danisman, Gamze Ozturk. In: International Review of Economics & Finance. RePEc:eee:reveco:v:71:y:2021:i:c:p:923-935.

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2021Concentration, competition and financial stability in the South-East Europe banking context. (2021). Guidi, Francesco. In: International Review of Economics & Finance. RePEc:eee:reveco:v:76:y:2021:i:c:p:639-670.

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2021Credit unions vs. commercial banks, who takes more risk?. (2021). Yao, LI ; Hammami, Ahmad ; Magnan, Michel ; Naaman, Christine. In: Research in International Business and Finance. RePEc:eee:riibaf:v:55:y:2021:i:c:s027553192030948x.

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2021Sovereign Default Forecasting in the Era of the COVID-19 Crisis. (2021). Kristof, Tamas. In: JRFM. RePEc:gam:jjrfmx:v:14:y:2021:i:10:p:494-:d:657397.

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2021A Holistic Perspective on Bank Performance Using Regulation, Profitability, and Risk-Taking with a View on Ownership Concentration. (2021). Meenakshi, R ; Gupte, Rajani ; Rastogi, Shailesh. In: JRFM. RePEc:gam:jjrfmx:v:14:y:2021:i:3:p:111-:d:512808.

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2021Financial Stability of European Insurance Companies during the COVID-19 Pandemic. (2021). Puawska, Karolina. In: JRFM. RePEc:gam:jjrfmx:v:14:y:2021:i:6:p:266-:d:574082.

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2021.

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2021How the COVID-19 Pandemic Affects Bank Risks and Returns: Evidence from EU Members in Central, Eastern, and Northern Europe. (2021). Idzik, Marcin ; Kil, Krzysztof ; Miklaszewska, Ewa. In: Risks. RePEc:gam:jrisks:v:9:y:2021:i:10:p:180-:d:652593.

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2021The New EU Remuneration Policy as Good but Not Desired Corporate Governance Mechanism and the Role of CSR Disclosing. (2021). Enguix, Luis Porcuna. In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:10:p:5476-:d:554182.

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2021Research on Spatial Correlation Characteristics and Their Spatial Spillover Effect of Local Government Debt Risks in China. (2021). Fan, Wei ; Ge, Xiangyu ; Li, Xing ; Zheng, Hao. In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:5:p:2687-:d:509196.

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2022Banks’ Financial Stability and Macroeconomic Key Factors in GCC Countries. (2022). Hasan, Hamid Abdulkhaleq ; Mabkhot, Hashed. In: Sustainability. RePEc:gam:jsusta:v:14:y:2022:i:23:p:15999-:d:989222.

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2022The impacts of static ownership types and governance changes on small business lending: Evidence from Indonesia. (2022). Tortosa-Ausina, Emili ; Pazzi, Silvia ; Arribas, Ivan ; Riyanti, Ririen Setiati. In: Working Papers. RePEc:jau:wpaper:2022/13.

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2021An Early Warning Signal (EWS) Model for Predicting Financial Crisis in Emerging African Economies. (2021). Tewari, Devi Datt ; Ilesanmi, Kehinde Damilola. In: International Journal of Financial Research. RePEc:jfr:ijfr11:v:12:y:2021:i:1:p:101-110.

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2022Bank Performance and Noninterest Income: Evidence from Countries in the Asian Region. (2022). Karnik, Ajit ; Antao, Sherika. In: Asia-Pacific Financial Markets. RePEc:kap:apfinm:v:29:y:2022:i:3:d:10.1007_s10690-021-09357-1.

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2021Market Structure and Financial Stability: the Interaction between Profit-Oriented and Mutual Cooperative Banks in Italy. (2021). Barra, Cristian ; Boccia, Marinella ; Amendola, Adalgiso ; Papaccio, Anna. In: Journal of Financial Services Research. RePEc:kap:jfsres:v:60:y:2021:i:2:d:10.1007_s10693-021-00360-1.

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2021Board busyness and new insights into alternative bank dividends models. (2021). Salama, Aly ; Elnahass, Marwa ; Trinh, Vu Quang. In: Review of Quantitative Finance and Accounting. RePEc:kap:rqfnac:v:56:y:2021:i:4:d:10.1007_s11156-020-00924-7.

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2022When Death was Postponed: The Effect of HIV Medication on Work and Marriage. (2022). Lundborg, Petter ; Gortz, Mette ; Garcia-Miralles, Esteban ; Ejrnas, Mette. In: CEBI working paper series. RePEc:kud:kucebi:2208.

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2022Foreign institutional investors and dividend policy in Indonesia. (2022). Nugroho, Muh Rudi ; Muizzuddin, Muizzuddin ; Risfandy, Tastaftiyan ; Purba, Sangapta Damarjati. In: Journal of Asset Management. RePEc:pal:assmgt:v:23:y:2022:i:3:d:10.1057_s41260-022-00259-z.

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2022The financial impact of the implementation of Solvency II on the Mexican insurance sector. (2022). Bagatella-Osorio, Alberto ; Mayorga-Serna, Daniel ; Gavira-Duron, Nora. In: The Geneva Papers on Risk and Insurance - Issues and Practice. RePEc:pal:gpprii:v:47:y:2022:i:2:d:10.1057_s41288-020-00196-1.

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2022Organisational structure, corporate governance and reinsurance decisions in the U.S. property-liability insurance industry. (2022). Jin, Licheng ; Han, Sangyong ; Lai, Gene ; Ho, Chia-Ling. In: The Geneva Papers on Risk and Insurance - Issues and Practice. RePEc:pal:gpprii:v:47:y:2022:i:4:d:10.1057_s41288-021-00238-2.

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2021Banking sector earnings management using loan loss provisions in the Fintech era. (2021). Ozili, Peterson K. In: MPRA Paper. RePEc:pra:mprapa:105083.

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2021Bank earnings management using loan loss provisions: comparing the UK, France, South Africa and Egypt. (2021). Ozili, Peterson Kitakogelu. In: MPRA Paper. RePEc:pra:mprapa:108506.

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2021Big 4 auditors, bank earnings management and financial crisis in Africa. (2021). Ozili, Peterson Kitakogelu. In: MPRA Paper. RePEc:pra:mprapa:108608.

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2022Determinants of bank income smoothing using loan loss provisions in the United Kingdom. (2022). Ozili, Peterson K. In: MPRA Paper. RePEc:pra:mprapa:112047.

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2022Bank income smoothing during the COVID-19 pandemic: Evidence from UK Banks. (2022). Ozili, Peterson K. In: MPRA Paper. RePEc:pra:mprapa:115782.

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2022Profit smoothing of European banks under IFRS 9. (2022). Jakubikova, Oga. In: FFA Working Papers. RePEc:prg:jnlwps:v:4:y:2022:id:4.003.

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2022Estimating Probability of Default for Systemically Important Financial Institutions during Covid-19 Pandemic. Evidence from Europe and USA. (2022). Cepoi, Cosmin-Octavian ; Huidumac-Petrescu, Ctlin-Emilian ; Anton, George. In: Journal for Economic Forecasting. RePEc:rjr:romjef:v::y:2022:i:2:p:44-53.

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2021The Role of Regulatory Capital and Ownership Structure in Bank Liquidity Creation: Evidence From Emerging Asian Economies. (2021). Hussain, Syed Jawad ; Yousaf, Tahir ; Guo, Chenyi ; Akhtar, Yasmeen ; Kayani, Ghulam Mujtaba. In: SAGE Open. RePEc:sae:sagope:v:11:y:2021:i:2:p:21582440211006051.

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2021Credit Information Sharing and Bank Stability: Evidence from SSA Countries. (2021). Gath, Beni Kouevi. In: Working Papers CEB. RePEc:sol:wpaper:2013/326674.

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2022Financial stability and local economic development: the experience of Italian labour market areas. (2022). Barra, Cristian ; Zotti, Roberto. In: Empirical Economics. RePEc:spr:empeco:v:62:y:2022:i:4:d:10.1007_s00181-021-02071-x.

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2021Loan-loss provisions, earnings management, and capital management by Russian banks: the impact of changes in banking regulation and oversight. (2021). Downing, Jeff ; Nikulin, Egor. In: Eurasian Business Review. RePEc:spr:eurasi:v:11:y:2021:i:4:d:10.1007_s40821-020-00163-9.

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2021Government banks and financial development. (2021). Flath, David ; Kabir, Rania. In: International Journal of Economic Policy Studies. RePEc:spr:ijoeps:v:15:y:2021:i:1:d:10.1007_s42495-020-00050-1.

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2022Capital Account Liberalization, Political Stability, and Economic Growth. (2022). Maktouf, Samir ; Ayouni, Saifeddine ; Hamdaoui, Mekki. In: Journal of the Knowledge Economy. RePEc:spr:jknowl:v:13:y:2022:i:1:d:10.1007_s13132-021-00723-y.

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2022Digitalization and Banking Crisis: A Nonlinear Relationship?. (2022). ben Ali, Mohamed Sami. In: Journal of Quantitative Economics. RePEc:spr:jqecon:v:20:y:2022:i:2:d:10.1007_s40953-022-00292-0.

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2022Corporate governance and ethical culture: Do boards matter?. (2022). di Miceli, Alexandre. In: Review of Managerial Science. RePEc:spr:rvmgts:v:16:y:2022:i:4:d:10.1007_s11846-021-00476-7.

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2022Financial crises: explanation, prediction, and interdependence. (2022). Maktouf, Samir ; Ayouni, Saifeddine ; Hamdaoui, Mekki. In: SN Business & Economics. RePEc:spr:snbeco:v:2:y:2022:i:8:d:10.1007_s43546-022-00241-2.

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2021Banking Sector Consolidation and Stability in Kenya. (2021). Mugo, Cyrus ; Kiemo, Samuel. In: Journal of Applied Finance & Banking. RePEc:spt:apfiba:v:11:y:2021:i:3:f:11_3_6.

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2022The effect of structural risks on financial downturns. (2022). Jank, Jan ; Pfeifer, Luka ; Hodula, Martin. In: ESRB Working Paper Series. RePEc:srk:srkwps:2022138.

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2021TOURISM INDUSTRY STRESS INDEX AND ITS RELATIONSHIP TO THE FINANCIAL STRESS INDEX. (2021). Ovcharov, Anton ; Malkina, Marina. In: Tourism and Hospitality Management. RePEc:tho:journl:v:27:y:2021:n:2:p:363-383.

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2021Determinants of financial crises—An early warning system based on panel logit regression. (2021). Marinkovi, Sran ; Jemovi, Mirjana. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:26:y:2021:i:1:p:103-117.

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2021The effects of institutional settings and risks on bank dividend policy in an emerging market: Evidence from Tobit model. (2021). Athari, Seyed Alireza. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:26:y:2021:i:3:p:4493-4515.

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2021Financial conservatism, firm value and international business risk: Evidence from emerging economies around the global financial crisis. (2021). Machokoto, Michael ; Nyangara, Davis ; Areneke, Geofry. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:26:y:2021:i:3:p:4590-4608.

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2021Does financial development reduce the level of corruption? Evidence from a global sample of 140 countries. (2021). Paramati, Sudharshan Reddy ; Sharma, Chandan. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:26:y:2021:i:4:p:5093-5109.

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2022Impact of bank capital on non?performing loans: New evidence of concave capital from dynamic panel?data and time series analysis in Malaysia. (2022). Hajja, Yaman. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:27:y:2022:i:3:p:2921-2948.

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2022Have European banks maintained their payout policy during the crisis? The role of scrip dividends. (2022). Cano, Jorge Gallud ; Blancoalcantara, David ; Lopezdeforonda, Oscar ; Lopeziturriaga, Felix J ; Galludcano, Jorge. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:27:y:2022:i:4:p:4619-4632.

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2022Towards an early warning system for sovereign defaults leveraging on machine learning methodologies. (2022). Stavroulakis, Evangelos ; Siakoulis, Vasilis ; Petropoulos, Anastasios. In: Intelligent Systems in Accounting, Finance and Management. RePEc:wly:isacfm:v:29:y:2022:i:2:p:118-129.

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2022Predicting financial crises with machine learning methods. (2022). Wang, BO ; Chen, Chen ; Liu, Lanbiao. In: Journal of Forecasting. RePEc:wly:jforec:v:41:y:2022:i:5:p:871-910.

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2021Banks complexity-risk nexus and the role of regulation. (2021). Vogel, Ursula ; Martynova, Natalya. In: Discussion Papers. RePEc:zbw:bubdps:142021.

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2022.

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Works by Frank Strobel:


YearTitleTypeCited
2007JOINING EUROPEAN MONETARY UNION: A REAL OPTIONS PERSPECTIVE In: Scottish Journal of Political Economy.
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article1
2015Monetary, Financial and Fiscal Stability in the East African Community: Ready for a Monetary Union? In: The World Economy.
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article17
2015Monetary, Financial and Fiscal Stability in the East African Community: Ready for a Monetary Union?.(2015) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 17
paper
2012Monetary, Financial and Fiscal Stability in the East African Community: Ready for a Monetary Union?.(2012) In: Working Papers.
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This paper has another version. Agregated cites: 17
paper
2009Financial Fragility and Crisis Union in the Asia-Pacific Region In: Global Economy Journal.
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article1
2001When to Leave a Monetary Union ? In: Revue économique.
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article1
2001When to Leave a Monetary Union?.(2001) In: Revue Économique.
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This paper has another version. Agregated cites: 1
article
2011The dividend puzzle and tax: a note In: Economics Bulletin.
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article0
2010Bank insolvency risk and aggregate Z-score measures: a caveat In: Economics Bulletin.
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article8
2000When to Leave a Monetary Union: Now or Later? In: Econometric Society World Congress 2000 Contributed Papers.
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paper0
2005Monetary integration and inflation preferences: A real options analysis In: European Economic Review.
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article1
2004Monetary integration and inflation preferences: a real options analysis.(2004) In: Money Macro and Finance (MMF) Research Group Conference 2003.
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This paper has another version. Agregated cites: 1
paper
2021A one-sided Vysochanskii-Petunin inequality with financial applications In: European Journal of Operational Research.
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article0
2021A one-sided Vysochanskii-Petunin inequality with financial applications.(2021) In: Post-Print.
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This paper has another version. Agregated cites: 0
paper
2018Bank dividends, agency costs and shareholder and creditor rights In: International Review of Financial Analysis.
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article12
2018Bank dividends, agency costs and shareholder and creditor rights.(2018) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 12
paper
2015Bank insolvency risk and Z-score measures: A refinement In: Finance Research Letters.
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article67
2015Bank Insolvency Risk and Z-Score Measures: A Refinement.(2015) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 67
paper
2017Predicting sovereign debt crises: An Early Warning System approach In: Journal of Financial Stability.
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article38
2012Does uncertainty matter for loan charge-offs? In: Journal of International Financial Markets, Institutions and Money.
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article5
2012Does uncertainty matter for loan charge-offs ?.(2012) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 5
paper
2012Does uncertainty matter for loan charge-offs?.(2012) In: Post-Print.
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This paper has another version. Agregated cites: 5
paper
2012International tax arbitrage, currency options and put-call parity conditions In: Journal of International Financial Markets, Institutions and Money.
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article0
2013Bank insolvency risk and time-varying Z-score measures In: Journal of International Financial Markets, Institutions and Money.
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article101
2013Bank insolvency risk and time-varying Z-score measures.(2013) In: Post-Print.
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This paper has another version. Agregated cites: 101
paper
2017Bank capital regulation: Are local or central regulators better? In: Journal of International Financial Markets, Institutions and Money.
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article2
2017Bank capital regulation: are local or central regulators better?.(2017) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 2
paper
2015Bank capital regulation: are local or central regulators better?.(2015) In: Post-Print.
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This paper has another version. Agregated cites: 2
paper
2016Bank capital regulation: are local or central regulators better?.(2016) In: Working Papers.
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This paper has another version. Agregated cites: 2
paper
.() In: .
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This paper has another version. Agregated cites: 2
paper
2014Bank income smoothing, ownership concentration and the regulatory environment In: Journal of Banking & Finance.
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article66
2014Bank Income Smoothing, Ownership Concentration and the Regulatory Environment.(2014) In: Post-Print.
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This paper has another version. Agregated cites: 66
paper
2016Bank ownership structure, lending corruption and the regulatory environment In: Journal of Comparative Economics.
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article16
2016Bank ownership structure, lending corruption and the regulatory environment.(2016) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 16
paper
2001International tax arbitrage, tax evasion and interest parity conditions In: Research in Economics.
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article3
2012International tax arbitrage and residence vs. source-based capital income taxation In: Research in Economics.
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article0
2015Bank capital regulation: a role for a supranational regulator? In: Post-Print.
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paper0
2015Bank capital regulation: A role for a supranational regulator ?.(2015) In: Post-Print.
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This paper has another version. Agregated cites: 0
paper
2020An alternative Z-score measure for downside bank insolvency risk In: Post-Print.
[Citation analysis]
paper1
2021An alternative Z-score measure for downside bank insolvency risk.(2021) In: Applied Economics Letters.
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This paper has another version. Agregated cites: 1
article
2012Bank equity Involvement in Industrial Firms and Bank Risk In: Working Papers.
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paper12
2018Better than independent: the role of minority directors on bank boards In: Working Papers.
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paper2
2018Bank insolvency risk and Z-score measures: caveats and best practice In: Working Papers.
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paper3
2020Examining the impact on risk when directors are related to minority shareholders in closely-held banks In: Working Papers.
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paper0
2022Implications for Bank Risk when Directors are Related to Minority Shareholders In: Journal of Financial Services Research.
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article0
2004Leaving EMU: a real options perspective In: Money Macro and Finance (MMF) Research Group Conference 2004.
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paper3
2005Leaving EMU: a real options perspective.(2005) In: Applied Economics.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 3
article
2003Marriage and the value of waiting In: Journal of Population Economics.
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article3
2017Bank capital regulation: are local or central regulators better? In: Working Papers.
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paper2
2011Bank insolvency risk and different approaches to aggregate Z-score measures: a note In: Applied Economics Letters.
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article8
2011Bank insolvency risk and Z-score measures with unimodal returns In: Applied Economics Letters.
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article10
2007Southeast Asian monetary integration: a real options perspective In: Applied Economics.
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article0
2013Uncertainty and switching in the mortgage market In: Applied Economics.
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article0
2005International tax arbitrage, financial parity conditions and preferential capital gains taxation In: Quantitative Finance.
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article0

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