Rudi Vander Vennet : Citation Profile


Are you Rudi Vander Vennet?

Universiteit Gent

16

H index

19

i10 index

1397

Citations

RESEARCH PRODUCTION:

29

Articles

30

Papers

RESEARCH ACTIVITY:

   28 years (1994 - 2022). See details.
   Cites by year: 49
   Journals where Rudi Vander Vennet has often published
   Relations with other researchers
   Recent citing documents: 119.    Total self citations: 33 (2.31 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/pva633
   Updated: 2022-10-01    RAS profile: 2022-07-13    
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Relations with other researchers


Works with:

Meuleman, Elien (5)

Soenen, Nicolas (4)

Present, Thomas (4)

Simoens, Mathieu (4)

Lamers, Martien (3)

Authors registered in RePEc who have co-authored more than one work in the last five years with Rudi Vander Vennet.

Is cited by:

Pozzolo, Alberto (23)

Bonanno, Graziella (15)

Berger, Allen (15)

Bikker, Jacob (13)

De Jonghe, Olivier (13)

mamatzakis, emmanuel (13)

Aiello, Francesco (13)

Weill, Laurent (11)

Schoors, Koen (11)

TARAZI, Amine (9)

Degryse, Hans (9)

Cites to:

Berger, Allen (40)

Altavilla, Carlo (36)

Peydro, Jose-Luis (34)

Laeven, Luc (34)

Demirguc-Kunt, Asli (34)

Ongena, Steven (33)

Gambacorta, Leonardo (28)

Stiroh, Kevin (26)

Mester, Loretta (24)

Huizinga, Harry (23)

BORIO, Claudio (21)

Main data


Where Rudi Vander Vennet has published?


Journals with more than one article published# docs
Journal of Banking & Finance6
Finance Research Letters4
Comparative Economic Studies2
Journal of International Money and Finance2
Journal of Financial Stability2

Working Papers Series with more than one paper published# docs
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium / Ghent University, Faculty of Economics and Business Administration20
Working Paper / FINESS / DIW Berlin, German Institute for Economic Research2

Recent works citing Rudi Vander Vennet (2022 and 2021)


YearTitle of citing document
2021Main challenges and prospects for the European banking sector: a critical review of the ongoing debate. (2021). Gallo, Raffaele ; Cardillo, Salvatore ; Guarino, Francesco. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_634_21.

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2021Measuring heterogeneity in banks interest rate setting in Russia. (2021). Sinyakov, Andrey ; Ponomarenko, Alexey ; Burova, Anna ; Ushakova, Yulia ; Popova, Svetlana. In: Bank of Russia Working Paper Series. RePEc:bkr:wpaper:wps77.

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2021Exploring the conjunction between the structures of deposit and credit markets in the digital economy under information asymmetry. (2021). Ponomarenko, Alexey ; Sinyakov, Andrey ; Deryugina, Elena. In: Bank of Russia Working Paper Series. RePEc:bkr:wpaper:wps78.

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2021Sustainable development and financial institutions: Do banks environmental policies influence customer deposits?. (2021). Vermiglio, Carlo ; Naciti, Valeria ; Mazzu, Sebastiano ; Galletta, Simona. In: Business Strategy and the Environment. RePEc:bla:bstrat:v:30:y:2021:i:1:p:643-656.

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2021Banks business strategy and environmental effectiveness: The monitoring role of the board of directors and the managerial incentives. (2021). Naciti, Valeria ; Mazzu, Sebastiano ; Galletta, Simona. In: Business Strategy and the Environment. RePEc:bla:bstrat:v:30:y:2021:i:5:p:2656-2670.

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2021Cluster analysis of health systems in Europe according to life expectancy at birth. (2021). Cinaroglu, Songul ; Top, Mehmet . In: International Journal of Health Planning and Management. RePEc:bla:ijhplm:v:36:y:2021:i:6:p:2162-2181.

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2021INTEREST RATE PASS?THROUGH: A META?ANALYSIS OF THE LITERATURE. (2021). Melecky, Ales ; Melecký, Martin ; Gregor, Jiří. In: Journal of Economic Surveys. RePEc:bla:jecsur:v:35:y:2021:i:1:p:141-191.

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2021Effects of wealth management products on bank risk in China: The role of audit committee effectiveness. (2021). Zhang, Junrui ; Cheng, Maoyong ; Geng, Hongyan. In: Pacific Economic Review. RePEc:bla:pacecr:v:26:y:2021:i:5:p:575-616.

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2022Lending competition, regulation, and nontraditional mortgages. (2022). Wachter, Susan M ; An, Xudong ; Acolin, Arthur. In: Real Estate Economics. RePEc:bla:reesec:v:50:y:2022:i:2:p:340-365.

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2021European financial systems through the crisis: Patterns and convergence. (2021). Barucci, Emilio ; Colozza, Tommaso. In: Review of International Economics. RePEc:bla:reviec:v:29:y:2021:i:5:p:1451-1485.

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2021Interest rate pass through in the deposit and loan products provided by Greek banks. (2021). Vlachogiannakis, Nikolaos ; Stavroulakis, Evangelos ; Siakoulis, Vasileios ; Petropoulos, Anastasios ; Lazaris, Panagiotis. In: Working Papers. RePEc:bog:wpaper:287.

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2021Macroeconomic determinants of MIR interest rate margin in the euro area. (2021). Anastasiou, Dimitrios. In: Journal of Central Banking Theory and Practice. RePEc:cbk:journl:v:10:y:2021:i:1:p:39-53.

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2022Sovereign Credit Spreads, Banking Fragility, and Global Factors. (2022). Valenzuela, Patricio ; Martinez, Juan Francisco ; Garces, Felipe ; Chari, Anusha. In: Working Papers Central Bank of Chile. RePEc:chb:bcchwp:957.

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2021Does Macroprudential Policy Leak? Evidence from Non-Bank Credit Intermediation in EU Countries. (2021). Ngo, Ngoc Anh ; Hodula, Martin. In: Working Papers. RePEc:cnb:wpaper:2021/5.

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2022Organisational structure as a driver of mergers and acquisitions in the European banking sector. (2022). Lebastard, Laura. In: Working Paper Series. RePEc:ecb:ecbwps:20222674.

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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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2021Prudential measures and their adverse effects on bank competition: The case of Brazil. (2021). Tabak, Benjamin M ; Scalco, Paulo R ; Teixeira, Anderson M. In: Economic Modelling. RePEc:eee:ecmode:v:100:y:2021:i:c:s026499932100078x.

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2022Measuring systemic risk in the global banking sector: A cross-quantilogram network approach. (2022). Výrost, Tomᚠ; Baumohl, Eduard ; Vrost, Toma ; Hussain, Syed Jawad ; Hoang, Thi-Hong-Van, ; Bouri, Elie. In: Economic Modelling. RePEc:eee:ecmode:v:109:y:2022:i:c:s0264999322000219.

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2021Government support and bank performance during the 2007–2008 financial crisis. (2021). Chen, Yi-Ling ; Wang, Ming-Chun ; Ting, Hsiu-I, . In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:55:y:2021:i:c:s1062940820301911.

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2021Risk spillover from crude oil prices to GCC stock market returns: New evidence during the COVID-19 outbreak. (2021). Al-Fayoumi, Nedal ; Abuzayed, Bana. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:58:y:2021:i:c:s1062940821000978.

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2021Policy uncertainty, interest rate environment and the dynamic correlation between sovereign and bank default risk. (2021). Burghof, Hans-Peter ; Bales, Stephan. In: Economics Letters. RePEc:eee:ecolet:v:206:y:2021:i:c:s0165176521002603.

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2021How do institutional settings condition the effect of macroprudential policies on bank systemic risk?. (2021). Aysan, Ahmet ; Apergis, Nicholas ; Bakkar, Yassine. In: Economics Letters. RePEc:eee:ecolet:v:209:y:2021:i:c:s0165176521004006.

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2021Achieving a sustainable cost-efficient business model in banking: The case of European commercial banks. (2021). Lozano-Vivas, Ana ; Kumbhakar, Subal ; Badunenko, Oleg ; Lozanovivas, Ana. In: European Journal of Operational Research. RePEc:eee:ejores:v:293:y:2021:i:2:p:773-785.

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2021The financial conglomerate discount: Insights from stock return skewness. (2021). Weissensteiner, Alex ; Bressan, Silvia. In: International Review of Financial Analysis. RePEc:eee:finana:v:74:y:2021:i:c:s1057521921000065.

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2021Macroprudential measures and developments in bank funding costs. (2021). Koak, Marko ; Ehaji, Aida. In: International Review of Financial Analysis. RePEc:eee:finana:v:78:y:2021:i:c:s1057521921002647.

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2022The effects of macroprudential policy on banks profitability. (2022). Noel, Dennison ; Karim, Dilruba ; Davis, Philip E. In: International Review of Financial Analysis. RePEc:eee:finana:v:80:y:2022:i:c:s1057521921003057.

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2022Bank business models, failure risk and earnings opacity: A short- versus long-term perspective. (2022). Boateng, Agyenim ; Danso, Albert ; James, Gregory A ; Lartey, Theophilus. In: International Review of Financial Analysis. RePEc:eee:finana:v:80:y:2022:i:c:s1057521922000205.

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2022Impacts of sovereign risk premium on bank profitability: Evidence from euro area. (2022). Junttila, Juha ; Sang, Vo Cao. In: International Review of Financial Analysis. RePEc:eee:finana:v:81:y:2022:i:c:s1057521922000783.

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2021How does economic policy uncertainty affect bank business models?. (2021). Nguyen, Cuong ; Hoang, Khanh ; Tran, Dung Viet. In: Finance Research Letters. RePEc:eee:finlet:v:39:y:2021:i:c:s1544612320303032.

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2022Policy uncertainty and the sovereign-bank nexus: A time-frequency analysis using wavelet transformation. (2022). Bales, Stephan. In: Finance Research Letters. RePEc:eee:finlet:v:44:y:2022:i:c:s1544612321001197.

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2022The Trilogy of Ownership, Income Diversification, and Performance Nexus: Empirical Evidence from Tunisian Banks. (2022). Grira, Jocelyn ; Kahloul, Ines ; Alouane, Nour. In: Finance Research Letters. RePEc:eee:finlet:v:45:y:2022:i:c:s154461232100252x.

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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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2022COVID-19 and the Economy: Summary of research and future directions. (2022). Simkins, Betty J ; Iyer, Subramanian Rama. In: Finance Research Letters. RePEc:eee:finlet:v:47:y:2022:i:pb:s1544612322001131.

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2021Am I riskier if I rescue my banks? Beyond the effects of bailouts. (2021). Suarez, Nuria ; Salvador, Carlos ; Cuadros-Solas, Pedro J. In: Journal of Financial Stability. RePEc:eee:finsta:v:56:y:2021:i:c:s1572308921000942.

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2022Risk spillovers and interconnectedness between systemically important institutions. (2022). Andrieș, Alin Marius ; Tunaru, Radu ; Sprincean, Nicu ; Ongena, Steven. In: Journal of Financial Stability. RePEc:eee:finsta:v:58:y:2022:i:c:s1572308921001224.

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2022Macroprudential policies and bank competition: International bank-level evidence. (2022). Gonzalez, Francisco. In: Journal of Financial Stability. RePEc:eee:finsta:v:58:y:2022:i:c:s157230892100125x.

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2022The Eurozone banking sector in the time of COVID-19: Measuring volatility connectedness. (2022). Angelini, Eliana ; Addi, Abdelhamid ; Foglia, Matteo. In: Global Finance Journal. RePEc:eee:glofin:v:51:y:2022:i:c:s1044028321000752.

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2021How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2021). Temesvary, Judit ; Takats, Elod. In: Journal of International Economics. RePEc:eee:inecon:v:132:y:2021:i:c:s002219962100101x.

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2021Sovereign risk spill-overs in the banking sectors of Central America and the Caribbean. (2021). Brei, Michael ; Robinson, Justin ; Bangwayo-Skeete, Prosper F ; Noel, Dorian M. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:73:y:2021:i:c:s1042443121000986.

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2021Economic policy uncertainty and bank stability: Does bank regulation and supervision matter in major European economies?. (2021). Nguyen, Thanh Cong. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:74:y:2021:i:c:s1042443121001062.

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2022Do macroprudential policies affect bank efficiency? Evidence from emerging economies. (2022). Jeon, Bang ; Wu, JI ; Kang, Qiaoling ; Chen, Minghua. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:77:y:2022:i:c:s104244312200021x.

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2022Have crisis-induced banking supports influenced European bank performance, resilience and price discovery?. (2022). HU, YANG ; Corbet, Shaen ; Hou, Yang ; Cumming, Douglas J ; Oxley, Les. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:78:y:2022:i:c:s104244312200052x.

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2021Bank foreign assets, government support and international spillover effects of sovereign rating events on bank stock prices. (2021). Moch, Nils ; Schertler, Andrea. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:130:y:2021:i:c:s0378426621001461.

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2021Federal reserve intervention and systemic risk during financial crises. (2021). Sedunov, John. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:133:y:2021:i:c:s0378426621001692.

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2022Opacity and risk-taking: Evidence from Norway. (2022). Juelsrud, Ragnar E ; Cao, Jin. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:134:y:2022:i:c:s0378426620302715.

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2022The multiple dimensions of bank complexity: Effects on credit risk-taking. (2022). Nobili, Andrea ; Marinelli, Giuseppe ; Palazzo, Francesco. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:134:y:2022:i:c:s0378426620303009.

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2022A loan-level analysis of financial resilience in Mexico. (2022). Cantu Garcia, Carlos ; Lopez-Gallo, Fabrizio ; Lobato, Roberto. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:135:y:2022:i:c:s0378426620302132.

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2022Machine-Learning-enhanced systemic risk measure: A Two-Step supervised learning approach. (2022). Pun, Chi Seng ; Liu, Ruicheng. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:136:y:2022:i:c:s0378426622000164.

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2021Exercising a firm’s growth options: A portfolio approach. (2021). Velasco, Pilar ; de la Fuente, Gabriel ; de Andres, Pablo. In: Journal of Business Research. RePEc:eee:jbrese:v:132:y:2021:i:c:p:571-585.

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2021Risk committee complexity and liquidity risk in the European banking industry. (2021). Scannella, Enzo ; Mazzu, Sebastiano ; Galletta, Simona. In: Journal of Economic Behavior & Organization. RePEc:eee:jeborg:v:192:y:2021:i:c:p:691-703.

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2021Targeted monetary policy and bank lending behavior. (2021). Fantino, Davide ; Benetton, Matteo. In: Journal of Financial Economics. RePEc:eee:jfinec:v:142:y:2021:i:1:p:404-429.

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2021The impacts of stricter merger legislation on bank mergers and acquisitions: Too-Big-To-Fail and competition. (2021). Siedlarek, Jan-Peter ; Spagnolo, Giancarlo ; Ongena, Steven ; Carletti, Elena. In: Journal of Financial Intermediation. RePEc:eee:jfinin:v:46:y:2021:i:c:s1042957320300139.

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2021Centralised or decentralised banking supervision? Evidence from European banks. (2021). Reghezza, Alessio ; Polizzi, Salvatore ; Altunbas, Yener ; Avignone, Giuseppe. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:110:y:2021:i:c:s0261560620302205.

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2021Corporate Governance and Banking Systemic Risk: A Test of the Bundling Hypothesis. (2021). Hussain, Nazim ; Addo, Kwabena Aboah ; Iqbal, Jamshed. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:115:y:2021:i:c:s0261560620302837.

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2021The impact of macroprudential policies on capital flows in CESEE. (2021). Huber, Florian ; Eller, Markus ; Vashold, Lukas ; Schuberth, Helene ; Hauzenberger, Niko. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:119:y:2021:i:c:s0261560621001467.

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2022Risk, financial stability and FDI. (2022). Lamla, Michael ; Kontonikas, Alexandros ; Kellard, Neil M ; Wood, Geoffrey ; Maiani, Stefano. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:120:y:2022:i:c:s0261560620301881.

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2022Monetary policy, economic uncertainty and bank risk: Cross-country evidence. (2022). Jeon, Bang ; Chen, Minghua ; Yan, Yuanyun ; Wu, JI. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:122:y:2022:i:c:s026156062100231x.

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2022Bank lending and small and medium-sized enterprises’ access to finance – Effects of macroprudential policies. (2022). Koak, Marko ; Ehaji, Aida. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:124:y:2022:i:c:s0261560622000158.

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2022Interest rate risk and monetary policy normalisation in the euro area. (2022). Reghezza, Alessio ; D'Acri, Costanza Rodriguez ; Pancotto, Livia ; Molyneux, Philip. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:124:y:2022:i:c:s0261560622000274.

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2021Do oil and gas price shocks have an impact on bank performance?. (2021). Md-Rus, Rohani ; Saha, Asish ; Ulazeez, Abd ; Taufil-Mohd, Kamarun Nisham. In: Journal of Commodity Markets. RePEc:eee:jocoma:v:22:y:2021:i:c:s2405851320300246.

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2021Economic policy uncertainty and bank stability: Threshold effect of institutional quality and competition. (2021). Zhao, Zhongxiu ; Bakhsh, Satar ; Jiang, Ping ; Shabir, Mohsin. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:68:y:2021:i:c:s0927538x21001177.

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2021Firm growth in the 21st century: Does the Andalusian economy comply with Gibrat’s Law?. (2021). Triguero-Ruiz, Francisco ; Dominguez, Jose Miguel ; Avila-Cano, Antonio. In: Physica A: Statistical Mechanics and its Applications. RePEc:eee:phsmap:v:577:y:2021:i:c:s037843712100337x.

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2021Time-varying conditional beta, return spillovers, and dynamic bank diversification strategies. (2021). Wang, LU. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:79:y:2021:i:c:p:272-280.

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2021Why do banks react differently to short-selling bans? Evidence from the Asia-Pacific area and the United States. (2021). Paimanova, Viktoria ; Aliano, Mauro ; Galloppo, Giuseppe ; Previati, Daniele Angelo. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:80:y:2021:i:c:p:144-158.

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2021Impacts of the sovereign risk perception on financial stability: Evidence from Brazil. (2021). de Moraes, Claudio ; Valladares, Matheus ; Montes, Gabriel Caldas. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:81:y:2021:i:c:p:358-369.

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2021Effects of diversification on bank efficiency: Evidence from Shinkin banks in Japan. (2021). Ozaki, Yasufumi ; Harimaya, Kozo. In: International Review of Economics & Finance. RePEc:eee:reveco:v:71:y:2021:i:c:p:700-717.

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2021Banking reforms and bank efficiency: Evidence for the collapse of Spanish savings banks. (2021). Blanco-Oliver, Antonio. In: International Review of Economics & Finance. RePEc:eee:reveco:v:74:y:2021:i:c:p:334-347.

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2021Peer effects and social learning in banks’ investments in information technology. (2021). Nilakantan, Rahul ; Gangopadhyay, Partha. In: International Review of Economics & Finance. RePEc:eee:reveco:v:75:y:2021:i:c:p:456-463.

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2022Linkage dynamics of sovereign credit risk and financial markets: A bibliometric analysis. (2022). Singh, Vipul Kumar ; Kumar, Pawan ; Bajaj, Vimmy. In: Research in International Business and Finance. RePEc:eee:riibaf:v:59:y:2022:i:c:s0275531921001872.

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2022EU-27 bank failure prediction with C5.0 decision trees and deep learning neural networks. (2022). Virag, Miklos ; Kristof, Tamas. In: Research in International Business and Finance. RePEc:eee:riibaf:v:61:y:2022:i:c:s0275531922000320.

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2021Business ?odels of ?anks for the Financial Markets in the EU*. (2021). Kravchuk, Igor ; Stoika, Viktoriia. In: European Research Studies Journal. RePEc:ers:journl:v:xxiv:y:2021:i:2b:p:371-382.

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2021Financial Spillover and Contagion Risks in the Euro Area in 2007-2019. (2021). Vogel, Lukas ; Vašíček, Bořek ; Vaiek, Boek ; Perticari, Francesco ; Monteiro, Daniel ; Lorenzani, Dimitri ; Garcia, Roman. In: European Economy - Discussion Papers 2015 -. RePEc:euf:dispap:137.

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2022Technical Efficiency’s Nonparametric Analysis of Ecuadorian Saving and Credit Cooperatives before and during the Pandemic. (2022). Guevara-Viera, Raul V ; Aguirre-De, Javier A ; Velasco-Heras, Cristina ; Torres-Inga, Carlos S. In: Economies. RePEc:gam:jecomi:v:10:y:2022:i:4:p:82-:d:785079.

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2021The Effects of Business Model on Bank’s Stability. (2021). Nguyen, Trang Thu ; Pham, Anh Cam ; Van Nguyen, Duy ; Ho, Hai Hong. In: International Journal of Financial Studies. RePEc:gam:jijfss:v:9:y:2021:i:3:p:46-:d:622817.

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2021Impact of Geopolitical Risk on the Information Technology, Communication Services and Consumer Staples Sectors of the S&P 500 Index. (2021). A. M. M. Shahiduzzaman Quoreshi, ; Vovas, Vasileios Chatzis ; Fossung, Gerard Atabong. In: JRFM. RePEc:gam:jjrfmx:v:14:y:2021:i:11:p:552-:d:679927.

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2021Impact of Audit Committee Quality on the Financial Performance of Conventional and Islamic Banks. (2021). Haddad, Achraf ; Bouri, Abdelfattah ; el Ammari, Anis. In: Journal of Risk and Financial Management. RePEc:gam:jjrfmx:v:14:y:2021:i:4:p:176-:d:534197.

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2022Measurement of Systemic Risk in the Colombian Banking Sector. (2022). Manotas, Diego Fernando ; Escobar, John Willmer ; Rivera-Escobar, Orlando. In: Risks. RePEc:gam:jrisks:v:10:y:2022:i:1:p:22-:d:723525.

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2021The Impact of COVID-19 on Bank Equity and Performance: The Case of Central Eastern South European Countries. (2021). Kozak, Sylwester. In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:19:p:11036-:d:650265.

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2021Sustainable Banking, Market Power, and Efficiency: Effects on Banks’ Profitability and Risk. (2021). Sanfilippoazofra, Sergio ; Saiz, Maria Cantero ; Olmo, Begoa Torre ; Torreolmo, Begoa . In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:3:p:1298-:d:487492.

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2022The Relationship between ESG Scores and Firm-Specific Risk of Eurozone Banks. (2022). Bektas, Eralp ; Izcan, Doga. In: Sustainability. RePEc:gam:jsusta:v:14:y:2022:i:14:p:8619-:d:862608.

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2021.

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2022Financial spillovers, spillbacks, and the scope for international macroprudential policy coordination. (2022). Pereira, Luiz A ; Agenor, Pierre-Richard. In: International Economics and Economic Policy. RePEc:kap:iecepo:v:19:y:2022:i:1:d:10.1007_s10368-021-00522-5.

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2022Retrospective on Twenty Years of the FDIC-JFSR Bank Research Conference. (2022). Kravitz, Troy ; Carabello, Michael ; Anderson, Haelim. In: Journal of Financial Services Research. RePEc:kap:jfsres:v:61:y:2022:i:1:d:10.1007_s10693-021-00374-9.

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2021Debt and Private Investment: Does the EU Suffer from a Debt Overhang?. (2021). picarelli, mattia osvaldo ; Vanlaer, Willem ; Marneffe, Wim. In: Open Economies Review. RePEc:kap:openec:v:32:y:2021:i:4:d:10.1007_s11079-021-09621-x.

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2021Macroprudential regulations and bank profit efficiency: international evidence. (2021). Gaganis, Chrysovalantis ; Staikouras, Christos ; Pasiouras, Fotios ; Galariotis, Emilios. In: Journal of Regulatory Economics. RePEc:kap:regeco:v:59:y:2021:i:2:d:10.1007_s11149-021-09424-5.

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2022Does capital-based regulation affect bank pricing policy?. (2022). Gric, Zuzana ; Hodula, Martin ; Ehrenbergerova, Dominika. In: Journal of Regulatory Economics. RePEc:kap:regeco:v:61:y:2022:i:2:d:10.1007_s11149-022-09448-5.

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2021Bank regulation and systemic risk: cross country evidence. (2021). Zhou, Yue ; Liu, Frank Hong ; Chen, Lei. In: Review of Quantitative Finance and Accounting. RePEc:kap:rqfnac:v:57:y:2021:i:1:d:10.1007_s11156-020-00947-0.

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2021Interest Rate Spreads in the Baltics and the Rest of the Euro Area: Understanding the Factors behind the Differences. (2021). Vilerts, Karlis ; Benkovskis, Konstantins ; Tkacevs, Olegs. In: Discussion Papers. RePEc:ltv:dpaper:202102.

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2021Credit Enhancement Mechanism in Loan Securitization and Its Implication to Systemic Risk. (2021). Ivanov, Katerina. In: Discussion Paper Series. RePEc:msb:wpaper:2021-01.

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2021Macroprudential Policy, Bank Competition and Bank Risk in East Asia. (2021). Karim, Dilruba ; Chan, Ka Kei ; Davis, Philip E. In: National Institute of Economic and Social Research (NIESR) Discussion Papers. RePEc:nsr:niesrd:533.

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2022Econometric Analysis of the Determinants of Bank Profitability in Three Major African Counties: Kenya, Nigeria and South Africa. (2022). Abdilahi, Ridwa Ali ; Davis, Philip E. In: National Institute of Economic and Social Research (NIESR) Discussion Papers. RePEc:nsr:niesrd:536.

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2021Determinants of Contingent Convertible Bond Coupon Rates of Banks: An Empirical Analysis. (2021). Zimmermann, Kevin ; Sigmund, Michael. In: Working Papers. RePEc:onb:oenbwp:236.

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2022Spillovers from one country’s sovereign debt to CDS (credit default swap) spreads of others during the European crisis: a spatial approach. (2022). Onder, Ozlem A ; Muradolu, Gulnur Y ; Kila, Gul Huyuguzel. In: Journal of Asset Management. RePEc:pal:assmgt:v:23:y:2022:i:4:d:10.1057_s41260-022-00263-3.

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2021Portfolio analysis of big US banks’ performance: the fee business lines factor. (2021). Theoret, Raymond ; Calmes, Christian. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:22:y:2021:i:2:d:10.1057_s41261-020-00131-3.

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2021Machine Learning in U.S. Bank Merger Prediction: A Text-Based Approach. (2021). Leledakis, George ; Katsafados, Apostolos G ; Fergadiotis, Manos ; Androutsopoulos, Ion ; Pyrgiotakis, Emmanouil G. In: MPRA Paper. RePEc:pra:mprapa:108272.

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2021The Effect of Liquidity Risk Management on Financial Performance of Commercial Banks in Pakistan. (2021). Ali, Amjad ; Metla, Mahwish Rauf ; Alim, Wajid. In: MPRA Paper. RePEc:pra:mprapa:112482.

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2021The Financial Crisis in the 2000s: Further Effects Regarding Lending, Regulation and Efficiency. (2021). Frank, Benedikt. In: ACTA VSFS. RePEc:prf:journl:v:15:y:2021:i:2:p:155-175.

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2021How Selected Macroeconomic Factors Affect the Corporate Profitability of Transportation and Storage Companies in Selected European Economies. (2021). Kulaoova, Nicole ; Ruekova, Petra. In: ACTA VSFS. RePEc:prf:journl:v:15:y:2021:i:2:p:176-197.

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2022Assessing the Effects of Borrower-Based Macroprudential Policy on Credit in the EU Using Intensity-Based Indices. (2022). de Schryder, Selien ; Coulier, Lara. In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium. RePEc:rug:rugwps:22/1044.

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2022Impact of Mergers and Acquisitions on Accounting-based Performance of Acquiring Firms in India. (2022). Garg, Sonia ; Aggarwal, Puja. In: Global Business Review. RePEc:sae:globus:v:23:y:2022:i:1:p:218-236.

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2022How Does Monetary Policy Uncertainty Influence Firms’ Dynamic Adjustment of Capital Structure. (2022). Li, Shengsheng ; Xu, Yaping ; Jiang, Yan. In: SAGE Open. RePEc:sae:sagope:v:12:y:2022:i:1:p:21582440211068506.

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More than 100 citations found, this list is not complete...

Works by Rudi Vander Vennet:


YearTitleTypeCited
2001Financiële conglomeraten: Een economisch en strategisch overzicht In: Economic and Social Journal (Economisch en Sociaal Tijdschrift).
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2007Microeconomic determinants of acquisitions of Eastern European banks by Western European banks1 In: The Economics of Transition.
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article37
1994Economies of scale and scope in EC credit institutions In: Brussels Economic Review.
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article4
2008Bank Market Structure and Firm Capital Structure In: Working Paper / FINESS.
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paper1
2009Bank Ownership, Firm Value and Firm Capital Structure in Europe In: Working Paper / FINESS.
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paper4
2014Do stock markets discipline US Bank Holding Companies: Just monitoring, or also influencing? In: The North American Journal of Economics and Finance.
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article4
2012Do Stock Markets Discipline US Bank Holding Companies: Just Monitoring, or also In?uencing?.(2012) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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This paper has another version. Agregated cites: 4
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2014Do stock markets discipline US bank holding companies : Just monitoring, or also influencing?.(2014) In: Other publications TiSEM.
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This paper has another version. Agregated cites: 4
paper
2008Determinants of bank interest margins in Central and Eastern Europe: A comparison with the West In: Economic Systems.
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article114
2003Determinants of mutual fund underperformance: A Bayesian stochastic frontier approach In: European Journal of Operational Research.
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article27
2017Bank bailouts in Europe and bank performance In: Finance Research Letters.
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article10
2016 BANK BAILOUTS IN EUROPE AND BANK PERFORMANCE.(2016) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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This paper has another version. Agregated cites: 10
paper
2021Bank performance in Europe and the US: A divergence in market-to-book ratios In: Finance Research Letters.
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article1
2019Bank performance in Europe and the US: a divergence in market-to-book ratios.(2019) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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This paper has another version. Agregated cites: 1
paper
2022Does diversification protect European banks’ market valuations in a pandemic? In: Finance Research Letters.
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article3
2021Does diversification protect European banks market valuation in a pandemic?.(2021) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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This paper has another version. Agregated cites: 3
paper
2022Determinants of European banks’ default risk In: Finance Research Letters.
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article0
2021Determinants of European Banks’ Default Risk.(2021) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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This paper has another version. Agregated cites: 0
paper
2016Business models and bank performance: A long-term perspective In: Journal of Financial Stability.
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article60
2020Macroprudential policy and bank systemic risk In: Journal of Financial Stability.
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article25
2019MACROPRUDENTIAL POLICY AND BANK SYSTEMIC RISK.(2019) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 25
paper
1996The effect of mergers and acquisitions on the efficiency and profitability of EC credit institutions In: Journal of Banking & Finance.
[Full Text][Citation analysis]
article145
2007Competition, transmission and bank pricing policies: Evidence from Belgian loan and deposit markets In: Journal of Banking & Finance.
[Full Text][Citation analysis]
article117
2004Competition, transmission and bank pricing policies: Evidence from Belgian loan and deposit markets.(2004) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 117
paper
2007Does the stock market value bank diversification? In: Journal of Banking & Finance.
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article240
2008Competition versus efficiency: What drives franchise values in European banking? In: Journal of Banking & Finance.
[Full Text][Citation analysis]
article52
2007Competition versus Efficiency: What drives franchise values in European banking?.(2007) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 52
paper
2013Bank/sovereign risk spillovers in the European debt crisis In: Journal of Banking & Finance.
[Full Text][Citation analysis]
article182
2012Bank/sovereign risk spillovers in the European debt crisis.(2012) In: Working Paper Research.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 182
paper
2012Bank/sovereign risk spillovers in the European debt crisis.(2012) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 182
paper
2015Model uncertainty and systematic risk in US banking In: Journal of Banking & Finance.
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article18
2015Model uncertainty and systematic risk in US banking.(2015) In: Other publications TiSEM.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 18
paper
2022Institutional Shareholders and Bank Capital In: Journal of Financial Intermediation.
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article0
2022Institutional Shareholders and Bank Capital.(2022) In: Post-Print.
[Citation analysis]
This paper has another version. Agregated cites: 0
paper
2020Unconventional monetary policy and bank risk taking In: Journal of International Money and Finance.
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article3
2022ECB monetary policy and bank default risk? In: Journal of International Money and Finance.
[Full Text][Citation analysis]
article1
2022Sovereign Exposures of European Banks: It Is Not All Doom In: JRFM.
[Full Text][Citation analysis]
article0
2019Sovereign exposures of European banks: it is not all doom.(2019) In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 0
paper
2019The Tradeoff between Monetary Policy and Bank Stability In: International Journal of Central Banking.
[Full Text][Citation analysis]
article18
2016The trade-off between monetary policy and bank stability.(2016) In: Working Paper Research.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 18
paper
2002Cost and Profit Efficiency of Financial Conglomerates and Universal Banks in Europe. In: Journal of Money, Credit and Banking.
[Citation analysis]
article195
2004The Determinants of Pass-Through of Market Conditions to Bank Retail Interest Rates in Belgium In: Working Paper Research.
[Full Text][Citation analysis]
paper25
2008Risk, Regulation and Competition in Banking and Finance in Transition Economies In: Comparative Economic Studies.
[Full Text][Citation analysis]
article0
2008The Sequence of Bank Liberalisation: Financial Repression versus Capital Requirements in Russia In: Comparative Economic Studies.
[Full Text][Citation analysis]
article0
2011Enhancing Bank Transparency: Risk Ineffciency as a Market Disciplining Mechanism In: 2011 Meeting Papers.
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paper2
2003Determinants of bank interest margins in Central and Eastern Europe. Convergence to the West? In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
paper6
2004Bank Risk Strategies and Cyclical Variation in Bank Stock Returns In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
paper4
2004Bank risks and the business cycle In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
paper12
2005Failure prediction in the Russian bank sector with logit and trait recognition models In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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paper20
2006Microeconomic determinants of acquisitions of Eastern European banks by Western European banks In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
paper5
2015BUSINESS MODELS AND THEIR IMPACT ON BANK PERFORMANCE: A LONG-TERM PERSPECTIVE In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
[Full Text][Citation analysis]
paper1
2020Macroprudential policy, monetary policy and Eurozone bank risk In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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paper0
2020ECB Monetary Policy and Bank Default Risk In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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paper0
2021BRRD credibility and the bank-sovereign nexus In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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paper0
2022European bank profitability: the Great Convergence? In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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paper0
2001Value-at-risk prediction using context modeling In: The European Physical Journal B: Condensed Matter and Complex Systems.
[Full Text][Citation analysis]
article0
2017European bank stress test and sovereign exposures In: Applied Economics Letters.
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article0
2001The law of proportionate effect and OECD bank sectors In: Applied Economics.
[Full Text][Citation analysis]
article13
2001Efficiency Effects of Bank Mergers and Acquisitions In: Tinbergen Institute Discussion Papers.
[Full Text][Citation analysis]
paper48

CitEc is a RePEc service, providing citation data for Economics since 2001. Sponsored by INOMICS. Last updated August, 1st 2022. Contact: CitEc Team