Frank Strobel : Citation Profile


University of Birmingham

10

H index

10

i10 index

502

Citations

RESEARCH PRODUCTION:

33

Articles

30

Papers

RESEARCH ACTIVITY:

   24 years (2000 - 2024). See details.
   Cites by year: 20
   Journals where Frank Strobel has often published
   Relations with other researchers
   Recent citing documents: 53.    Total self citations: 21 (4.02 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pst144
   Updated: 2025-11-08    RAS profile: 2025-05-16    
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Relations with other researchers


Works with:

Bouvatier, Vincent (2)

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:

Ozili, Peterson (19)

Asongu, Simplice (16)

Ghassan, Hassan (13)

TARAZI, Amine (10)

Barra, Cristian (8)

Mamatzakis, Emmanuel (7)

Mare, Davide Salvatore (6)

Nwachukwu, Jacinta (6)

Tchamyou, Vanessa (6)

Ashraf, Badar Nadeem (6)

Zotti, Roberto (6)

Cites to:

Lepetit, Laetitia (48)

Shleifer, Andrei (44)

Lopez-de-Silanes, Florencio (26)

TARAZI, Amine (23)

HASAN, IFTEKHAR (22)

Levine, Ross (19)

La Porta, Rafael (16)

Jensen, Michael (16)

Djankov, Simeon (14)

Barro, Robert (13)

Gordon, David (11)

Main data


Where Frank Strobel has published?


Journals with more than one article published# docs
Applied Economics Letters4
Journal of International Financial Markets, Institutions and Money4
Applied Economics3
Research in Economics2
Economics Bulletin2

Working Papers Series with more than one paper published# docs
Post-Print / HAL17
Working Papers / HAL6

Recent works citing Frank Strobel (2025 and 2024)


YearTitle of citing document
2024Assessing the Bankruptcy Risks of Chinas Emerging Port Industries: Modeling and Early Warning. (2024). Mayburov, Igor ; Leontyeva, Yulia V ; Ying, Wang. In: Journal of Applied Economic Research. RePEc:aiy:jnjaer:v:23:y:2024:i:3:p:776-800.

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2024Career concerns and earnings management in government‐owned banks. (2024). Pan, Xiaofei ; Chang, Millicent. In: Accounting and Finance. RePEc:bla:acctfi:v:64:y:2024:i:1:p:475-506.

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2024Audit committee oversight and bank financial reporting quality. (2024). Wilson, John ; Chronopoulos, Dimitris K ; Rempoutsika, Lemonia M. In: Journal of Business Finance & Accounting. RePEc:bla:jbfnac:v:51:y:2024:i:1-2:p:657-687.

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2025Corporate Governance, Bank Stability and Risk-Taking: Differences Between Conventional and Islamic Banks. (2025). Awdeh, Ali ; Ghaithaa, El Mokdad. In: Review of Middle East Economics and Finance. RePEc:bpj:rmeecf:v:21:y:2025:i:1:p:1-41:n:1004.

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2025The effect of monetary, macroprudential policy, and their interaction on bank risk-taking in Indonesia. (2025). Setiastuti, Sekar Utami ; Wonida, Hero. In: Journal of Asian Economics. RePEc:eee:asieco:v:96:y:2025:i:c:s1049007824001581.

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2024How does macroprudential policy affect the relationship between financial openness and bank risk-taking. (2024). Si, Deng-Kui ; Li, Hui-Jun ; Chen, Meng-Long. In: Economic Analysis and Policy. RePEc:eee:ecanpo:v:84:y:2024:i:c:p:1820-1839.

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2024Stock market extreme risk prediction based on machine learning: Evidence from the American market. (2024). Ren, Tingting ; Zhang, Siying ; Li, Shaofang. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:74:y:2024:i:c:s1062940824001669.

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2025A further examination of sovereign domestic and external debt defaults. (2025). Ghulam, Yaseen. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:76:y:2025:i:c:s106294082400247x.

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2025Monitoring bank risk around the world using unsupervised learning. (2025). TARAZI, Amine ; Lardy, Jean-Pierre ; Armand, Paul ; Mercadier, Mathieu. In: European Journal of Operational Research. RePEc:eee:ejores:v:324:y:2025:i:2:p:590-615.

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2024Antiquity, capitalism & development: The finance-growth perspective. (2024). Grigoriadis, Theocharis ; Dombi, Ákos ; Zhu, Junbing. In: Emerging Markets Review. RePEc:eee:ememar:v:59:y:2024:i:c:s1566014124000086.

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2024CEO overconfidence and the informativeness of bank stock prices. (2024). Le, Anh-Tuan ; Lin, Kun-Li ; Doan, Anh-Tuan. In: International Review of Financial Analysis. RePEc:eee:finana:v:94:y:2024:i:c:s1057521924001625.

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2024Strategic use of provisions: Evidence from European multinationals. (2024). Voeller, Juliane. In: International Review of Financial Analysis. RePEc:eee:finana:v:96:y:2024:i:pb:s1057521924006884.

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2024Does distrust in banks reduce bank risk-taking?. (2024). Weill, Laurent ; Heyert, Axelle. In: Finance Research Letters. RePEc:eee:finlet:v:68:y:2024:i:c:s1544612324010043.

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2025New bounds for tail risk measures. (2025). Len, Ngel ; Guez, Trino-Manuel ; Carnero, Ngeles M. In: Finance Research Letters. RePEc:eee:finlet:v:75:y:2025:i:c:s1544612325001527.

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2024Social responsibility and bank resiliency. (2024). Iannino, Maria Chiara ; Gehrig, Thomas ; Unger, Stephan. In: Journal of Financial Stability. RePEc:eee:finsta:v:70:y:2024:i:c:s1572308923000918.

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2024The role of loan loss provisions in income inequality: Evidence from a sample of banking institutions. (2024). Apergis, Nicholas. In: Journal of Financial Stability. RePEc:eee:finsta:v:73:y:2024:i:c:s1572308924000846.

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2024Measuring the risk appetite of bank-controlling shareholders: The Risk-Weighted Ownership index. (2024). Murro, Pierluigi ; Bellardini, Luca ; Previtali, Daniele. In: Global Finance Journal. RePEc:eee:glofin:v:60:y:2024:i:c:s1044028324000073.

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2024Bank cost efficiency and credit market structure under a volatile exchange rate. (2024). Prokhorov, Artem B ; Parmeter, Christopher F ; Mamonov, Mikhail. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:168:y:2024:i:c:s0378426624001997.

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2024The impact of foreign participation on risk-taking in Chinese commercial banks: The co-governance role of equity checks and foreign supervision. (2024). Zhu, Jingyi ; Liu, Jiasong. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:85:y:2024:i:c:s0927538x24001380.

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2024Watchdogs or Petdogs: The role of media freedom on banking system stability. (2024). Skully, Michael ; Samarasinghe, Ama ; Nguyen, MY. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:87:y:2024:i:c:s0927538x24002518.

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2024Financial instability in Lebanon: Do the liquidity creation and performance of banks matter?. (2024). Fromentin, Vincent ; Maroun, George. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:96:y:2024:i:c:s1062976924000644.

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2024The impact of financial institutions cross-shareholdings on risk-taking. (2024). Li, Zhenghui ; Lu, Siting ; Liao, Gaoke ; Chen, Bin. In: International Review of Economics & Finance. RePEc:eee:reveco:v:92:y:2024:i:c:p:1526-1544.

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2025Tailored microprudential recommendations for bank profit retention using a risk tolerance framework. (2025). Moinescu, Bogdan-Gabriel ; Jakubík, Petr. In: International Review of Economics & Finance. RePEc:eee:reveco:v:98:y:2025:i:c:s1059056025001145.

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2024How do corporate governance and corporate social responsibility affect credit risk?. (2024). Hunjra, Ahmed ; Thrikawala, Sujani Sudhara ; Alawi, Suha Mahmoud ; Mehmood, Rashid ; Jebabli, Ikram. In: Research in International Business and Finance. RePEc:eee:riibaf:v:67:y:2024:i:pa:s0275531923002659.

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2024Socio-economic issues and bank stability: The moderating role of competition. (2024). Akbar, Syed Waqar ; Ijaz, Muhammad Shahzad ; Arshad, Imran ; Bouri, Elie. In: Research in International Business and Finance. RePEc:eee:riibaf:v:71:y:2024:i:c:s0275531924002423.

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2025Loan loss provisions of European banks – Does macroprudential tightening matter?. (2025). Skała, Dorota ; Godlewski, Christophe ; Skaa, Dorota ; Roszkowska, Sylwia ; Olszak, Magorzata. In: Research in International Business and Finance. RePEc:eee:riibaf:v:73:y:2025:i:pb:s0275531924004355.

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2025Annual report tone and bank risk-taking behavior: Evidence from China. (2025). Wei, Mingye ; Jing, Haozhe. In: Research in International Business and Finance. RePEc:eee:riibaf:v:77:y:2025:i:pa:s0275531925001370.

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2024Natural Disasters and Banking Stability. (2024). Alalmaee, Hassan. In: Economies. RePEc:gam:jecomi:v:12:y:2024:i:2:p:31-:d:1328409.

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2025US Bank Lending to Small Businesses: An Analysis of COVID-19 and the Paycheck Protection Program. (2025). Osah, Theophilus T ; Abugri, Benjamin A. In: JRFM. RePEc:gam:jjrfmx:v:18:y:2025:i:5:p:231-:d:1643264.

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2024Monitoring time-varying systemic risk in sovereign debt and currency markets with generative AI. (2024). Uribe, Jorge ; Chuliá, Helena ; Khalili, Sabuhi ; Chulia, Helena. In: IREA Working Papers. RePEc:ira:wpaper:202402.

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2024Taking the Pulse of Fiscal Distress: Inflation, Depreciation, and Crises. (2024). Uribe, Jorge ; Valencia, Oscar. In: IREA Working Papers. RePEc:ira:wpaper:202416.

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2024Developing a New Multidimensional Index of Bank Stability and Its Usage in the Design of Optimal Policy Interventions. (2024). Hassan, M. Kabir ; Charles, Vincent ; Gulati, Rachita. In: Computational Economics. RePEc:kap:compec:v:63:y:2024:i:4:d:10.1007_s10614-023-10401-7.

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2025Constructing a country-specific indicator for cyclical systemic risk. (2025). Vella, Sarah. In: Economic Change and Restructuring. RePEc:kap:ecopln:v:58:y:2025:i:3:d:10.1007_s10644-025-09884-1.

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2025Examination and predictions of risk tolerance levels and thresholds in sovereigns’ external debt defaults. (2025). Ghulam, Yaseen. In: International Economics and Economic Policy. RePEc:kap:iecepo:v:22:y:2025:i:2:d:10.1007_s10368-025-00655-x.

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2024Do pension funds provide financial stability? Evidence from European Union countries. (2024). Ercan, Metin ; Peksevim, Seda. In: Journal of Financial Services Research. RePEc:kap:jfsres:v:66:y:2024:i:3:d:10.1007_s10693-023-00408-4.

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2024Forecasting Fiscal Crises in Emerging Markets and Low-Income Countries with Machine Learning Models. (2024). Moro, Alessandro ; Marchi, Raffaele. In: Open Economies Review. RePEc:kap:openec:v:35:y:2024:i:1:d:10.1007_s11079-023-09722-9.

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2024Regulatory and contextual factors influencing earnings and capital management decisions: evidence from the European banking sector. (2024). Casciello, Raffaela ; Maffei, Marco ; Ziebart, David A. In: Review of Quantitative Finance and Accounting. RePEc:kap:rqfnac:v:63:y:2024:i:1:d:10.1007_s11156-024-01253-9.

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2024Why European banks adjust their dividend payouts?. (2024). Jarmuzek, Mariusz ; Belloni, Marco ; Grodzicki, Maciej. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:25:y:2024:i:3:d:10.1057_s41261-023-00221-y.

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2025A global snapshot on the cyclicality of provisions: unveiling IFRS 9’s impact. (2025). Mooneeapen, Oren ; de Jager, Phillip. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:26:y:2025:i:3:d:10.1057_s41261-025-00274-1.

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2024Navigating crisis: marketing dynamics and resilience in the MENA’s dual-banking system amidst the SAR-COV-2 pandemic. (2024). Nair, Kiran ; Nasr, Tarek ; Mateev, Miroslav. In: Palgrave Communications. RePEc:pal:palcom:v:11:y:2024:i:1:d:10.1057_s41599-024-03675-1.

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2024Risk-taking and systemic banking crisis in Africa: do regulatory policy framework provide new insight in threshold models?. (2024). Sarpong-Kumankoma, Emmanuel ; Kuttu, Saint ; Abor, Joshua Yindenaba ; Agbloyor, Elikplimi Komla ; Ofori-Sasu, Daniel. In: Risk Management. RePEc:pal:risman:v:26:y:2024:i:2:d:10.1057_s41283-023-00137-x.

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2024Impact of Financial stability on economic growth in Nigeria. (2024). Ozili, Peterson. In: MPRA Paper. RePEc:pra:mprapa:120776.

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2025Carbon emissions, financial stability and bank profitability in non-crisis years. (2025). Ozili, Peterson. In: MPRA Paper. RePEc:pra:mprapa:125566.

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2024Bank business model identification evolution and outcomes evidence for South Africa. (2024). Nguyen, Linh ; Kgari, Lechedzani ; Sobiech, Anna. In: Working Papers. RePEc:rbz:wpaper:11059.

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2024Cross-border spillovers in G20 sovereign CDS markets: cluster analysis based on K-means machine learning algorithm and TVP–VAR models. (2024). Chen, Zhizhen ; Sun, Boyang ; Shi, Guifen. In: Empirical Economics. RePEc:spr:empeco:v:67:y:2024:i:6:d:10.1007_s00181-024-02628-6.

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2025Exploring the Nexus of Liquidity Regulation, Bank Risk-Taking, and Shadow Banking: A Comprehensive Analysis of Chinese Commercial Banks. (2025). Zhang, Tongxin ; Ding, YI ; Wu, Yilei ; Chen, Xing. In: Journal of the Knowledge Economy. RePEc:spr:jknowl:v:16:y:2025:i:1:d:10.1007_s13132-024-02013-9.

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2024The heterogeneous effect of technology and macroeconomic policies on financial market development. (2024). Waqas, Muhammad ; Yahya, Farzan ; Tahir, Abdul Haseeb ; Hussain, Muhammad. In: Quality & Quantity: International Journal of Methodology. RePEc:spr:qualqt:v:58:y:2024:i:2:d:10.1007_s11135-023-01649-0.

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2024Measuring Financial Stability in Curaçao and Sint Maarten. (2024). Ooft, Gavin ; Thijn-Baank, Monique. In: Journal of Applied Finance & Banking. RePEc:spt:apfiba:v:14:y:2024:i:4:f:14_4_2.

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2024Forecasting Public Debt in the Euro Area Using Machine Learning: Decision Tools for Financial Markets.. (2024). Sofianos, Emmanouil ; Barbier-Gauchard, Amelie. In: Working Papers of BETA. RePEc:ulp:sbbeta:2024-47.

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2024Assessing the Role of the Fintech Era on the Banking Stability of an Emerging Economy: Interaction Analysis of the Indian Banking Industry. (2024). Aijaz, Syed Aamir ; Kiran, Sood ; Simon, Grima. In: Folia Oeconomica Stetinensia. RePEc:vrs:foeste:v:24:y:2024:i:1:p:182-202:n:1011.

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2024Era of restructuring: Deposit demand estimation and welfare consequences during the Japanese mega-bank mergers wave. (2024). Chen, Po-Lin. In: Working Papers. RePEc:wap:wpaper:2408.

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2025Banking uncertainty and corporate financial constraints. (2025). Huynh, Japan. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:30:y:2025:i:1:p:626-651.

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2025Capital, competition and stability nexus in the Kenya banking sector. (2025). Kiemo, Samuel. In: KBA Centre for Research on Financial Markets and Policy Working Paper Series. RePEc:zbw:kbawps:316420.

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Works by Frank Strobel:


YearTitleTypeCited
2004Leaving EMU: a real options perspective In: Discussion Papers.
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paper3
2004Leaving EMU: a real options perspective.(2004) In: Money Macro and Finance (MMF) Research Group Conference 2004.
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This paper has nother version. Agregated cites: 3
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2005Leaving EMU: a real options perspective.(2005) In: Applied Economics.
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This paper has nother version. Agregated cites: 3
article
2023Bondholder representatives on bank boards: A device for market discipline In: Economic Inquiry.
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2023Bondholder representatives on bank boards: A device for market discipline.(2023) In: Post-Print.
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This paper has nother version. Agregated cites: 0
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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.
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This paper has nother version. Agregated cites: 17
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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 nother version. Agregated cites: 17
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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 nother version. Agregated cites: 1
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2011The dividend puzzle and tax: a note In: Economics Bulletin.
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2010Bank insolvency risk and aggregate Z-score measures: a caveat In: Economics Bulletin.
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2000When to Leave a Monetary Union: Now or Later? In: Econometric Society World Congress 2000 Contributed Papers.
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2005Monetary integration and inflation preferences: A real options analysis In: European Economic Review.
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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 nother version. Agregated cites: 1
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2021A one-sided Vysochanskii-Petunin inequality with financial applications In: European Journal of Operational Research.
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2021A one-sided Vysochanskii-Petunin inequality with financial applications.(2021) In: Post-Print.
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This paper has nother version. Agregated cites: 2
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2023Time-varying Z-score measures for bank insolvency risk: Best practice In: Journal of Empirical Finance.
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2023Time-varying Z-score measures for bank insolvency risk: Best practice.(2023) In: Post-Print.
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This paper has nother version. Agregated cites: 4
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2018Bank dividends, agency costs and shareholder and creditor rights In: International Review of Financial Analysis.
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2018Bank dividends, agency costs and shareholder and creditor rights.(2018) In: Post-Print.
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This paper has nother version. Agregated cites: 16
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2015Bank insolvency risk and Z-score measures: A refinement In: Finance Research Letters.
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2015Bank Insolvency Risk and Z-Score Measures: A Refinement.(2015) In: Post-Print.
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This paper has nother version. Agregated cites: 96
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2017Predicting sovereign debt crises: An Early Warning System approach In: Journal of Financial Stability.
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2012Does uncertainty matter for loan charge-offs? In: Journal of International Financial Markets, Institutions and Money.
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2012Does uncertainty matter for loan charge-offs ?.(2012) In: Post-Print.
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This paper has nother version. Agregated cites: 6
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2012Does uncertainty matter for loan charge-offs?.(2012) In: Post-Print.
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2012International tax arbitrage, currency options and put-call parity conditions In: Journal of International Financial Markets, Institutions and Money.
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2013Bank insolvency risk and time-varying Z-score measures In: Journal of International Financial Markets, Institutions and Money.
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2013Bank insolvency risk and time-varying Z-score measures.(2013) In: Post-Print.
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2017Bank capital regulation: Are local or central regulators better? In: Journal of International Financial Markets, Institutions and Money.
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2017Bank capital regulation: are local or central regulators better?.(2017) In: Post-Print.
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2015Bank capital regulation: are local or central regulators better?.(2015) In: Post-Print.
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2016Bank capital regulation: are local or central regulators better?.(2016) In: Working Papers.
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2016Bank capital regulation: are local or central regulators better?.(2016) In: Working papers of CATT.
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2014Bank income smoothing, ownership concentration and the regulatory environment In: Journal of Banking & Finance.
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2014Bank Income Smoothing, Ownership Concentration and the Regulatory Environment.(2014) In: Post-Print.
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2016Bank ownership structure, lending corruption and the regulatory environment In: Journal of Comparative Economics.
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2016Bank ownership structure, lending corruption and the regulatory environment.(2016) In: Post-Print.
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2024Bank insolvency risk, Z-score measures and unimodal returns: A refinement In: The Quarterly Review of Economics and Finance.
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2001International tax arbitrage, tax evasion and interest parity conditions In: Research in Economics.
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2012International tax arbitrage and residence vs. source-based capital income taxation In: Research in Economics.
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2015Bank capital regulation: a role for a supranational regulator? In: Post-Print.
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2015Bank capital regulation: A role for a supranational regulator ?.(2015) In: Post-Print.
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2020An alternative Z-score measure for downside bank insolvency risk In: Post-Print.
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2021An alternative Z-score measure for downside bank insolvency risk.(2021) In: Applied Economics Letters.
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2022Implications for Bank Risk when Directors are Related to Minority Shareholders In: Post-Print.
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2022Implications for Bank Risk when Directors are Related to Minority Shareholders.(2022) In: Journal of Financial Services Research.
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2012Bank equity Involvement in Industrial Firms and Bank Risk In: Working Papers.
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2018Better than independent: the role of minority directors on bank boards In: Working Papers.
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2018Bank insolvency risk and Z-score measures: caveats and best practice In: Working Papers.
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2020Examining the impact on risk when directors are related to minority shareholders in closely-held banks In: Working Papers.
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2024Do risky banks pay their employees more? In: Working Papers of LaRGE Research Center.
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2003Marriage and the value of waiting In: Journal of Population Economics.
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2017Bank capital regulation: are local or central regulators better? In: Working Papers.
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2011Bank insolvency risk and different approaches to aggregate Z-score measures: a note In: Applied Economics Letters.
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2011Bank insolvency risk and Z-score measures with unimodal returns In: Applied Economics Letters.
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2023(Simple) ΔCoVaR bounds In: Applied Economics Letters.
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2007Southeast Asian monetary integration: a real options perspective In: Applied Economics.
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2013Uncertainty and switching in the mortgage market In: Applied Economics.
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2005International tax arbitrage, financial parity conditions and preferential capital gains taxation In: Quantitative Finance.
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