Amine TARAZI : Citation Profile


Are you Amine TARAZI?

Université de Limoges

20

H index

30

i10 index

1825

Citations

RESEARCH PRODUCTION:

66

Articles

173

Papers

2

Chapters

RESEARCH ACTIVITY:

   30 years (1992 - 2022). See details.
   Cites by year: 60
   Journals where Amine TARAZI has often published
   Relations with other researchers
   Recent citing documents: 384.    Total self citations: 96 (5 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/pta345
   Updated: 2023-08-19    RAS profile: 2022-10-17    
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Relations with other researchers


Works with:

Soedarmono, Wahyoe (11)

Demir, Ender (6)

Bilgin, Mehmet (5)

Wilson, John (5)

Rugemintwari, Clovis (3)

Barry, Thierno (3)

De Jonghe, Olivier (3)

Mahdavi Ardekani, Aref (3)

Fraz, Ahmad (2)

Molyneux, Philip (2)

Hassan, Arshad (2)

Wachtel, Paul (2)

Meslier Crouzille, Celine (2)

HASAN, IFTEKHAR (2)

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

Is cited by:

Molyneux, Philip (41)

Hassan, M. Kabir (31)

HASAN, IFTEKHAR (22)

mamatzakis, emmanuel (21)

Pasiouras, Fotios (16)

Ashraf, Badar Nadeem (15)

cotter, john (14)

Soedarmono, Wahyoe (14)

Ghosh, Saibal (14)

Conlon, Thomas (14)

Mollah, Sabur (13)

Cites to:

Lepetit, Laetitia (145)

Levine, Ross (114)

Berger, Allen (107)

Demirguc-Kunt, Asli (107)

Shleifer, Andrei (89)

Laeven, Luc (84)

NYS, Emmanuelle (69)

Molyneux, Philip (68)

Beck, Thorsten (65)

HASAN, IFTEKHAR (58)

Soedarmono, Wahyoe (56)

Main data


Where Amine TARAZI has published?


Journals with more than one article published# docs
Journal of Banking & Finance6
Revue conomique5
Journal of Financial Stability5
Research in International Business and Finance4
Applied Economics4
Journal of Corporate Finance3
Economics Bulletin3
Journal of Asian Economics2
Revue conomique2
Journal of International Financial Markets, Institutions and Money2
Economic Modelling2
Revue d'conomie politique2
Global Finance Journal2

Working Papers Series with more than one paper published# docs
Post-Print / HAL90
Working Papers / HAL76
Working Papers / Economic Research Forum2

Recent works citing Amine TARAZI (2022 and 2021)


YearTitle of citing document
2021A Tutorial on the Use of Differences-in-Differences in Management, Finance, and Accounting. (2021). Martins, Theo Cotrim ; Mourad, Frederico Abou ; Schiozer, Rafael Felipe. In: RAC - Revista de Administração Contemporânea (Journal of Contemporary Administration). RePEc:abg:anprac:v:25:y:2021:i:1:1418.

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2022Impact of Financial Development, Financial Liberalization and Economic Growth on Financial Instability: Evidence from Panel Data. (2022). Khan, Bahawal ; Tahir, Muhammad Naveed ; Hussain, Babar. In: Journal of Economic Impact. RePEc:adx:journl:v:4:y:2022:i:2:p:142-151.

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2021Systemic Risk and Portfolio Diversification: Evidence from the Futures Market. (2021). Raykov, Radoslav. In: Staff Working Papers. RePEc:bca:bocawp:21-50.

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2021CREWS: a CAMELS-based early warning system of systemic risk in the banking sector. (2021). Galan, Jorge E. In: Occasional Papers. RePEc:bde:opaper:2132.

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2021Business complexity and geographic expansion in banking. (2021). Rodriguez-Moreno, Maria ; Argimon, Isabel. In: Working Papers. RePEc:bde:wpaper:2132.

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2023The evolution of bank fees as a source of income: trends and new business models – evidence from Italy. (2023). Santioni, Raffaele ; D'Amato, Matteo ; Affinito, Massimiliano. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_777_23.

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2021Measuring the evolution of competition and the impact of the financial reform in the Mexican banking sector, 2008-2019. (2021). Lara, Jose Luis ; Batiz-Zuk, Enrique. In: Working Papers. RePEc:bdm:wpaper:2021-06.

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2021Revisiting the link between systemic risk and competition based on network theory and interbank exposures. (2021). Lara, Jos Luis ; Btiz-Zuk, Enrique. In: Working Papers. RePEc:bdm:wpaper:2021-26.

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2021BANK COMPETITION AND RISK-TAKING IN THE EUROPEAN UNION: EVIDENCE OF A NON-LINEAR RELATIONSHIP. (2021). Pintilie, Nicoleta-Livia ; Ihnatov, Iulian ; Cpraru, Bogdan. In: Economic Annals. RePEc:beo:journl:v:66:y:2021:i:230:p:35-66.

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2021The Real Effects of Bank Runs. Evidence from the French Great Depression (1930-1931). (2021). Ungaro, Stefano ; Riva, Angelo ; Monnet, Eric. In: Débats économiques et financiers. RePEc:bfr:decfin:37.

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2022An Analysis of Financial Conglomerate Resilience: A Perspective on bancassurance in France. (2022). Pouvelle, Cyril. In: Débats économiques et financiers. RePEc:bfr:decfin:39.

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2023Bank Market Power and Interest Rate Setting: Why Consolidated Banking Data Matte. (2023). Nicolas, Theo. In: Débats économiques et financiers. RePEc:bfr:decfin:40.

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2021The impact of voluntary capital adequacy disclosure on bank lending and liquidity creation. (2021). Pathan, Shams ; Faff, Robert ; Zelenyuk, Natalya. In: Accounting and Finance. RePEc:bla:acctfi:v:61:y:2021:i:3:p:3915-3935.

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2021Does family ownership always reduce default risk?. (2021). Martinez, Beatriz ; Corredor, Pilar ; Abinzano, Isabel. In: Accounting and Finance. RePEc:bla:acctfi:v:61:y:2021:i:3:p:4025-4060.

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2023Is the relationship between bank stability, competition, and intervention quality nonlinear? Evidence from North African countries. (2023). Basty, Nadia ; Ghazouani, Ines. In: African Development Review. RePEc:bla:afrdev:v:35:y:2023:i:1:p:38-51.

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2021State ownership and corporate risk?taking: Empirical evidence in Vietnam. (2021). Nguyen, Yen N ; Phung, Duc N ; Ho, Tuan. In: Australian Economic Papers. RePEc:bla:ausecp:v:60:y:2021:i:3:p:466-481.

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2022New evidence on Islamic and conventional bank efficiency: A meta?regression analysis. (2022). Chaffai, Mohamed E. In: Bulletin of Economic Research. RePEc:bla:buecrs:v:74:y:2022:i:1:p:221-246.

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2023Does ownership concentration affect banks’ credit risk? Evidence from MENA emerging markets. (2023). Jabbouri, Rachid ; Almustafa, Hamza ; Naili, Maryem. In: Bulletin of Economic Research. RePEc:bla:buecrs:v:75:y:2023:i:1:p:119-140.

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2022Do spatial dependence and market power matter in the diversification of cooperative banks?. (2022). Migliardo, Carlo ; Algeri, Carmelo ; Forgione, Antonio F. In: Economic Notes. RePEc:bla:ecnote:v:51:y:2022:i:3:n:e12204.

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2022Effect of abnormal credit expansion and contraction on GDP per capita in ECOWAS countries. (2022). Iorember, Paul ; Ozili, Peterson K ; Oladipo, Jide. In: Economic Notes. RePEc:bla:ecnote:v:51:y:2022:i:3:n:e12205.

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2022Bank bailouts, bail?ins, or no regulatory intervention? A dynamic model and empirical tests of optimal regulation and implications for future crises. (2022). Tsyplakov, Sergey ; Roman, Raluca A ; Himmelberg, Charles P ; Berger, Allen N. In: Financial Management. RePEc:bla:finmgt:v:51:y:2022:i:4:p:1031-1090.

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2023Monetary policy, ownership structure, and risk?taking at financial intermediaries. (2023). Figueira, Catarina ; Caselli, Giorgio. In: The Financial Review. RePEc:bla:finrev:v:58:y:2023:i:1:p:167-191.

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2023The expansion of Chinese banks along the routes of the Belt and Road Initiative: Following customers and geopolitical relations. (2023). Pan, Fenghua ; Cai, Yonglong. In: Growth and Change. RePEc:bla:growch:v:54:y:2023:i:1:p:26-44.

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2021Chronological change of resource metabolism and decarbonization patterns in Pakistan: Perspectives from a typical developing country. (2021). Park, Hungsuck ; Shah, Izhar Hussain. In: Journal of Industrial Ecology. RePEc:bla:inecol:v:25:y:2021:i:1:p:144-161.

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2022Bank–client cross?ownership of bank stocks: A network analysis. (2022). Lee, Kangbok ; Joo, Sunghoon ; Barth, James R. In: Journal of Financial Research. RePEc:bla:jfnres:v:45:y:2022:i:2:p:280-312.

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2023Bank deposits and textual sentiment: When an European Central Bank presidents speech is not just a speech. (2023). Anastasiou, Dimitris ; Katsafados, Apostolos. In: Manchester School. RePEc:bla:manchs:v:91:y:2023:i:1:p:55-87.

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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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2021Financial inclusion and exclusion across Mexican municipalities. (2021). Tortosa-Ausina, Emili ; Tortosaausina, Emili ; del Carmen, Maria ; Cruzgarcia, Paula. In: Regional Science Policy & Practice. RePEc:bla:rgscpp:v:13:y:2021:i:5:p:1496-1526.

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2021Interactions of capital and liquidity requirements: a review of the literature. (2021). Vo, Quynh-Anh. In: Bank of England working papers. RePEc:boe:boeewp:0916.

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2021Dynamic Impact of Banking Performance on Financial Stability: Fresh Evidence from Southeastern Europe. (2021). Zeqiraj, Veton ; Sohag, Kazi ; Mrasori, Flamur ; Iskenderoglu, Omer. In: Journal of Central Banking Theory and Practice. RePEc:cbk:journl:v:10:y:2021:i:1:p:165-181.

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2022Bank-Specific and Macroeconomic Determinants of Bank Liquidity Creation: Evidence from MENA Countries. (2022). Oubdi, Lahsen ; Mdaghri, Anas Alaoui. In: Journal of Central Banking Theory and Practice. RePEc:cbk:journl:v:11:y:2022:i:2:p:55-76.

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2021The Impact of Fintech Startups on Financial Institutions Performance and Default Risk. (2021). Haddad, Christian ; Hornuf, Lars. In: CESifo Working Paper Series. RePEc:ces:ceswps:_9050.

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2021The Effect of Pandemics on Domestic Credit: A Cross-country Analysis. (2021). Demir, Ender ; Danisman, Gamze Ozturk. In: Economics Bulletin. RePEc:ebl:ecbull:eb-20-00748.

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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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2021Economic Policy Uncertainty and Banks Interest Income: Empirical Evidence from an International Panel Dataset. (2021). Mawusi, Charles ; Boungou, Whelsy. In: Economics Bulletin. RePEc:ebl:ecbull:eb-21-00488.

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2022Financial Inclusion, Political Risk, and Banking Sector Stability: Evidence from Different Geographical Regions. (2022). Athari, Seyed Alireza. In: Economics Bulletin. RePEc:ebl:ecbull:eb-21-00818.

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2021Do bank insiders impede equity issuances?. (2021). Levine, Ross ; Laeven, Luc ; Goetz, Martin. In: Working Paper Series. RePEc:ecb:ecbwps:20212511.

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2021What are banks’ actual capital targets?. (2021). Couaillier, Cyril. In: Working Paper Series. RePEc:ecb:ecbwps:20212618.

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2022How do banks manage liquidity? Evidence from the ECB’s tiering experiment. (2022). Vergote, Olivier ; Sigaux, Jean-David ; Hoffmann, Peter ; Heider, Florian ; Baldo, Luca. In: Working Paper Series. RePEc:ecb:ecbwps:20222732.

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2022Financial Performance of Islamic Versus Conventional Banks a Comparative Analysis for Jordan. (2022). Kammoun, Aida ; Charfeddine, Sameh ; Neifar, Malika. In: International Journal of Economics and Financial Issues. RePEc:eco:journ1:2022-06-8.

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2021Nexus between Financial Development and Income Inequality before Pandemic Covid-19: Does Financial Kuznets Curve Exist in Malaysia, Indonesia, Thailand and Philippines?. (2021). Zakaria, Shahsuzan ; Ridzuan, Abdul Rahim ; Lestari, Arsiyanti ; Siswantini, Siswantini ; Idham, Mohamad ; Che, Nor Fatimah ; Mohamed, Nora Yusma ; Fianto, Bayu Arie. In: International Journal of Energy Economics and Policy. RePEc:eco:journ2:2021-02-33.

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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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2021Stability efficiency in Islamic banks: Does board governance matter?. (2021). Safiullah, MD. In: Journal of Behavioral and Experimental Finance. RePEc:eee:beexfi:v:29:y:2021:i:c:s2214635020303713.

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2021CEO’s social capital and performance of zakat institutions: Cross-country evidence. (2021). Trinugroho, Irwan ; Risfandy, Tastaftiyan ; Syakir, Muhammad Fahmi. In: Journal of Behavioral and Experimental Finance. RePEc:eee:beexfi:v:31:y:2021:i:c:s2214635021000654.

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2022Financial sector components in a religious context: Judaism, Christianity, and Islam. (2022). Smailova, Indira ; Bairkenova, Gulmira ; Orsayeva, Raissa ; Sabitova, Assyl ; Ramazanova, Ainur. In: Journal of Behavioral and Experimental Finance. RePEc:eee:beexfi:v:34:y:2022:i:c:s221463502200020x.

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2022Is bank diversification a linking channel between regulatory capital and bank value?. (2022). Velasco, Pilar. In: The British Accounting Review. RePEc:eee:bracre:v:54:y:2022:i:4:s0890838921000962.

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2021Board financial expertise and the capital decisions of US banks. (2021). Vallascas, Francesco ; Keasey, Kevin ; Gilani, Usman. In: Journal of Corporate Finance. RePEc:eee:corfin:v:71:y:2021:i:c:s0929119921002133.

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2023Liability taxes, risk, and the cost of banking crises. (2023). Fatica, Serena ; Pagano, Andrea ; Kvedaras, Virmantas ; Heynderickx, Wouter ; Bellucci, Andrea. In: Journal of Corporate Finance. RePEc:eee:corfin:v:79:y:2023:i:c:s0929119923000366.

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2023Uptake, use, and impact of Islamic savings: Evidence from a field experiment in Pakistan1. (2023). Mueller, Annika ; Lensink, Robert ; Ahmad, Syedah. In: Journal of Development Economics. RePEc:eee:deveco:v:163:y:2023:i:c:s0304387823000536.

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2022New evidence on liquidity creation and bank capital: The roles of liquidity and political risk. (2022). Lee, Chien-Chiang ; Lin, Yi-Ching ; Hsieh, Meng-Fen. In: Economic Analysis and Policy. RePEc:eee:ecanpo:v:73:y:2022:i:c:p:778-794.

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2022Credit default risk in Islamic and conventional banks: Evidence from a GARCH option pricing model. (2022). Hassan, Hussein A ; Cevik, Emrah I ; Dibooglu, Sel. In: Economic Analysis and Policy. RePEc:eee:ecanpo:v:75:y:2022:i:c:p:396-411.

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2021Impact of foreign ownership on market power: Do regional banks behave differently in ASEAN countries?. (2021). Hamid, Fazelina Sahul ; Kasman, Adnan ; Yildirim, Canan. In: Economic Modelling. RePEc:eee:ecmode:v:105:y:2021:i:c:s0264999321002431.

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2021Local gambling preferences and bank risk–taking: Evidence from China. (2021). Wu, Qian ; Qian, Xianhang. In: Economic Modelling. RePEc:eee:ecmode:v:105:y:2021:i:c:s0264999321002649.

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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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2022Bank liquidity creation under micro uncertainty: The conditioning role of income structure. (2022). Dang, Van Dan. In: Economic Modelling. RePEc:eee:ecmode:v:112:y:2022:i:c:s0264999322000980.

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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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2021Income diversification and bank risk in Asia Pacific. (2021). Lin, Yongjia ; Wang, Chunyang. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:57:y:2021:i:c:s1062940821000760.

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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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2022The risk–return relation in the corporate loan market. (2022). Duran, Miguel. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:60:y:2022:i:c:s1062940822000043.

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2022Cyclicality of bank credit growth: Conventional vs Islamic banks in the GCC. (2022). Al-Shboul, Mohammad ; Mallek, Ray Saadaoui ; Hanifa, Abu ; Albaity, Mohamed. In: Economic Systems. RePEc:eee:ecosys:v:46:y:2022:i:1:s0939362521000327.

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2022On the role of institutional factors in shaping working capital management policies: Empirical evidence from European listed firms. (2022). Afloarei, Anca Elena ; Anton, Sorin Gabriel. In: Economic Systems. RePEc:eee:ecosys:v:46:y:2022:i:2:s0939362522000383.

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2022Bank competition, financial development and macroeconomic stability: Empirical evidence from emerging economies. (2022). Khan, Habib Hussain. In: Economic Systems. RePEc:eee:ecosys:v:46:y:2022:i:4:s093936252200084x.

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2022Oil structural shocks, bank-level characteristics, and systemic risk: Evidence from dual banking systems. (2022). Maghyereh, Aktham ; Al-Shboul, Mohammad ; Abdoh, Hussein. In: Economic Systems. RePEc:eee:ecosys:v:46:y:2022:i:4:s0939362522001005.

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2023Favoring the small and the plenty: Islamic banking for MSMEs. (2023). Abdelsalam, Omneya ; Aysan, Ahmet F ; Disli, Mustafa. In: Economic Systems. RePEc:eee:ecosys:v:47:y:2023:i:1:s0939362522001133.

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2023Political environment and bank performance: Does bank size matter?. (2023). Kouzez, Marc. In: Economic Systems. RePEc:eee:ecosys:v:47:y:2023:i:1:s0939362522001182.

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2022The impact of regulatory reforms on European bank behaviour: A dynamic structural estimation. (2022). ap Gwilym, Owain ; Mantovan, Noemi ; Alsakka, Rasha ; Jones, Laurence. In: European Economic Review. RePEc:eee:eecrev:v:150:y:2022:i:c:s0014292122001684.

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2021Addressing systemic risk using contingent convertible debt – A network analysis. (2021). Lu, Yueliang ; Wang, Runzu ; Gupta, Aparna. In: European Journal of Operational Research. RePEc:eee:ejores:v:290:y:2021:i:1:p:263-277.

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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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2022Banks to basics! Why banking regulation should focus on equity. (2022). le Quang, Gaetan ; Durand, Pierre. In: European Journal of Operational Research. RePEc:eee:ejores:v:301:y:2022:i:1:p:349-372.

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2023Selecting slacks-based data envelopment analysis models. (2023). Izadikhah, Mohammad ; Tone, Kaoru ; Toloo, Mehdi. In: European Journal of Operational Research. RePEc:eee:ejores:v:308:y:2023:i:3:p:1302-1318.

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2021Regulation, ownership and bank performance in the MENA region: Evidence for Islamic and conventional banks. (2021). Bachvarov, Petko ; Mateev, Miroslav. In: Emerging Markets Review. RePEc:eee:ememar:v:47:y:2021:i:c:s1566014120305987.

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2021On the prediction of financial distress in emerging markets: What matters more? Empirical evidence from Arab spring countries. (2021). Elbannan, Mona A. In: Emerging Markets Review. RePEc:eee:ememar:v:47:y:2021:i:c:s1566014121000145.

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2021Political uncertainty and city bank lending in China: Evidence from city government official changes. (2021). Geng, Hongyan ; Jin, Justin Yiqiang ; Guo, Pin ; Cheng, Maoyong. In: Emerging Markets Review. RePEc:eee:ememar:v:49:y:2021:i:c:s1566014121000108.

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2022How does financial inclusion affect bank stability in emerging economies?. (2022). Luo, Hang ; Wang, Rui. In: Emerging Markets Review. RePEc:eee:ememar:v:51:y:2022:i:pa:s1566014121000844.

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2022Bank liquidity and exposure to industry shocks: Evidence from Ukraine. (2022). Talavera, Oleksandr ; Tsapin, Andriy ; Arias, Jose. In: Emerging Markets Review. RePEc:eee:ememar:v:53:y:2022:i:c:s1566014122000590.

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2023Credit risk in Islamic microfinance institutions: The role of women, groups, and rural borrowers. (2023). Elgammal, Mohammed M ; Mohamed, Toka S. In: Emerging Markets Review. RePEc:eee:ememar:v:54:y:2023:i:c:s156601412200111x.

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2023The impact of proximity within elite corporate networks on the Shariah governance-firm performance nexus: Evidence from the global Shariah elite. (2023). Shahgholian, Azar ; Kok, Seng Kiong. In: Emerging Markets Review. RePEc:eee:ememar:v:54:y:2023:i:c:s1566014123000031.

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2023Bank branching deregulation and the credit risk of the regional banking sector: Evidence from city commercial banks in China. (2023). Ge, Ran ; Dong, Yan ; Wang, Chaochao. In: Emerging Markets Review. RePEc:eee:ememar:v:55:y:2023:i:c:s1566014122000863.

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2023Economic policy uncertainty, bank deposits, and liability structure. (2023). Yang, Ming ; Xing, Fei ; Gao, Lei ; Deng, Wei. In: Emerging Markets Review. RePEc:eee:ememar:v:55:y:2023:i:c:s1566014123000298.

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2023Can corporate financing through the stock market create systemic risk? Evidence from the BRVM securities market. (2023). Amenounve, Edoh ; Soumare, Issouf ; Kanga, Desire. In: Emerging Markets Review. RePEc:eee:ememar:v:55:y:2023:i:c:s1566014123000365.

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2021Do negative interest rates affect bank risk-taking?. (2021). Williams, Jonathan ; Reghezza, Alessio ; Santamaria, Riccardo ; Bongiovanni, Alessio. In: Journal of Empirical Finance. RePEc:eee:empfin:v:63:y:2021:i:c:p:350-364.

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2021Predictors of bank distress: The 1907 crisis in Sweden. (2021). Grodecka-Messi, Anna ; Ogren, Anders ; Kenny, Sean. In: Explorations in Economic History. RePEc:eee:exehis:v:80:y:2021:i:c:s0014498320300826.

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2021The Impact of Supervisory Stress Tests on Bank Ex-Ante Risk-Taking Behaviour: Empirical Evidence from a Quasi-Natural Experiment. (2021). Vo, Xuan Vinh ; Luu, Hiep Ngoc. In: International Review of Financial Analysis. RePEc:eee:finana:v:75:y:2021:i:c:s1057521920302301.

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2021Board gender diversity, power, and bank risk taking. (2021). Abou-El, Heba. In: International Review of Financial Analysis. RePEc:eee:finana:v:75:y:2021:i:c:s1057521921000764.

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2021Interbank funding, bank risk exposure and performance in the UK: A three-stage network DEA approach. (2021). Danso, Albert ; James, Gregory A ; Lartey, Theophilus. In: International Review of Financial Analysis. RePEc:eee:finana:v:75:y:2021:i:c:s1057521921000958.

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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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2022Openness, financial structure, and bank risk: International evidence. (2022). Yao, Chi ; Ma, Yong. In: International Review of Financial Analysis. RePEc:eee:finana:v:81:y:2022:i:c:s1057521922000400.

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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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2022The role of strategic interactions in risk-taking behavior: A study from asset growth perspective. (2022). Schinckus, Christophe ; Vu, Thai ; Quynh, Huong Nguyen. In: International Review of Financial Analysis. RePEc:eee:finana:v:82:y:2022:i:c:s1057521922000953.

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2022The extreme risk connectedness of the new financial system: European evidence. (2022). Foglia, Matteo ; Miglietta, Federica ; Pacelli, Vincenzo. In: International Review of Financial Analysis. RePEc:eee:finana:v:84:y:2022:i:c:s1057521922003581.

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2023Geopolitical, economic uncertainty and bank risk: Do CEO power and board strength matter?. (2023). Wang, Peng ; Shahab, Yasir ; Jiang, Ping ; Shabir, Mohsin. In: International Review of Financial Analysis. RePEc:eee:finana:v:87:y:2023:i:c:s1057521923001199.

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2023Risk-sharing function in internal capital markets: Evidence from intragroup reinsurance activities. (2023). Shiu, Yung-Ming ; Hsiao, Ching-Yuan. In: International Review of Financial Analysis. RePEc:eee:finana:v:87:y:2023:i:c:s1057521923001503.

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2021European banks straddling borders: Risky or rewarding?. (2021). Schoenmaker, Dirk ; Duijm, Patty. In: Finance Research Letters. RePEc:eee:finlet:v:38:y:2021:i:c:s1544612319310797.

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2021Banks, Funds, and risks in islamic finance: Literature & future research avenues. (2021). Labidi, Chiraz ; Grira, Jocelyn. In: Finance Research Letters. RePEc:eee:finlet:v:41:y:2021:i:c:s1544612320316299.

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2021The effect of revenue diversification on bank profitability and risk during the COVID-19 pandemic. (2021). Carter, David A ; Zhao, Sebastian ; Feng, Hongrui ; Li, Xingjian. In: Finance Research Letters. RePEc:eee:finlet:v:43:y:2021:i:c:s1544612321000386.

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2021How do bank characteristics affect the bank liquidity creation channel of monetary policy?. (2021). Dang, Van Cuong. In: Finance Research Letters. RePEc:eee:finlet:v:43:y:2021:i:c:s1544612321000659.

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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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2022Does diversification protect European banks’ market valuations in a pandemic?. (2022). Vander Vennet, Rudi ; Simoens, Mathieu. In: Finance Research Letters. RePEc:eee:finlet:v:44:y:2022:i:c:s1544612321001744.

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2022Fintech-based Financial Inclusion and Risk-taking of Microfinance Institutions (MFIs): Evidence from Sub-Saharan Africa. (2022). Yarovaya, Larisa ; Nourani, Mohammad ; Mia, Md Aslam ; Banna, Hasanul. In: Finance Research Letters. RePEc:eee:finlet:v:45:y:2022:i:c:s1544612321002300.

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

Works by Amine TARAZI:


YearTitleTypeCited
2013Ex Ante Capital Position, Changes in the Different Components of Regulatory Capital and Bank Risk In: Débats économiques et financiers.
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2015ISLAMIC BANKING AND FINANCE: RECENT EMPIRICAL LITERATURE AND DIRECTIONS FOR FUTURE RESEARCH In: Journal of Economic Surveys.
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2015Islamic Banking and Finance: Recent Empirical Literature and Directions for Future Research.(2015) In: Post-Print.
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2014Islamic Banking and Finance: Recent Empirical Literature and Directions for Future Research.(2014) In: Working Papers.
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2012Predicting rating changes for banks : How accurate are accounting and stock market indicators? In: Research Discussion Papers.
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2011Crises bancaires dans les pays de lUEMOA :un système dalerte avancée fondé sur une approche logit multinomiale In: Brussels Economic Review.
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2011Crises bancaires dans les pays de lUEMOA : Un système dalerte avancée fondé sur une approche logit multinomiale.(2011) In: Post-Print.
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2011Crises bancaires dans les pays de l’UEMOA : un système d’alerte avancée fondé sur une approche logit multinomiale.(2011) In: Post-Print.
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2001Marché financier et évaluation du risque bancaire. Les agences de notation contribuent-elles à améliorer la discipline de marché ? In: Revue économique.
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article0
2001Marché financier et évaluation du risque bancaire. Les agences de notation contribuent-elles à améliorer la discipline de marché ?.(2001) In: Revue Économique.
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2006Contrôle prudentiel et détection des difficultés financières des banques. Quel est lapport de linformation de marché ? In: Revue économique.
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2006Contrôle prudentiel et détection des difficultés financières des banques : Quel est lapport de linformation de marché ?.(2006) In: Post-Print.
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2008The Determinants of Domestic and Cross Border Bank Contagion Risk in Southeast Asia In: Revue économique.
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2008The Determinants of Domestic and Cross Border Bank Contagion Risk in Southeast Asia.(2008) In: Post-Print.
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2007The Determinants of Domestic and Cross Border Bank Contagion Risk in South East Asia.(2007) In: Working Papers.
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2012Bâle 3 et la réhabilitation du ratio de levier des banques. Pourquoi et comment ? In: Revue économique.
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2012Bâle 3 et la réhabilitation du ratio de levier des banques : Pourquoi et comment ?.(2012) In: Post-Print.
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2015Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes In: Revue économique.
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2015Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes.(2015) In: Post-Print.
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2015Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes.(2015) In: Working Papers.
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2002Rentabilité bancaire et taux dintérêt de marché. Une application aux principaux systèmes bancaires européens sur la période 1988-1995 In: Revue d'économie politique.
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2002Rentabilité bancaire et taux dintérêt de marché : Une application aux principaux systèmes bancaires européens sur la période 1988-1995.(2002) In: Post-Print.
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2006Reaction of European bank stock prices to events of the Asian and Russian financial crises In: Revue d'économie politique.
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2006Reaction of European bank stock prices to events of the Asian and Russian financial crises.(2006) In: Post-Print.
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2006Reaction of European Bank Stock Prices to Events of the Asian and Russian Financial Crises.(2006) In: Working Papers.
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2019Bank consolidation and financial stability in Indonesia In: International Economics.
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2019Bank consolidation and financial stability in Indonesia.(2019) In: International Economics.
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2009The determinants of bank stock returns co-movements in East Asia In: Economics Bulletin.
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2009The determinants of bank stock returns co-movements in East Asia.(2009) In: Post-Print.
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2008The Determinants of Bank Stock Returns Co-Movements in East Asia.(2008) In: Working Papers.
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2010Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia In: Economics Bulletin.
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2010Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia.(2010) In: Post-Print.
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2015Determinants of cross regional disparity in financial deepening: Evidence from Indonesian provinces In: Economics Bulletin.
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2015Determinants of Cross Regional Disparity in Financial Deepening: Evidence from Indonesian provinces.(2015) In: Post-Print.
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2015Determinants of Cross Regional Disparity in Financial Deepening: Evidence from Indonesian provinces.(2015) In: Working Papers.
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2011Bank market power, economic growth and financial stability: Evidence from Asian banks In: Journal of Asian Economics.
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article54
2011Bank Market Power, Economic Growth and Financial Stability: Evidence from Asian Banks.(2011) In: Post-Print.
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2011Bank market power, economic growth and financial stability: Evidence from Asian banks.(2011) In: Post-Print.
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2013Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia In: Journal of Asian Economics.
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2013Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly-traded banks in Asia.(2013) In: Post-Print.
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2013Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia.(2013) In: Post-Print.
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2013Bank Opacity, Intermediation Cost and Globalization: Evidence from a Sample of Publicly Traded Banks in Asia.(2013) In: Working Papers.
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2019Creditor rights and bank capital decisions: Conventional vs. Islamic banking In: Journal of Corporate Finance.
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2019Creditor rights and bank capital decisions: Conventional vs. Islamic banking.(2019) In: Post-Print.
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2019Creditor rights and bank capital decisions : Conventional vs. Islamic banking.(2019) In: Post-Print.
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2018Creditor rights and bank capital decisions: Conventional vs. Islamic banking.(2018) In: Working Papers.
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2021Liquidity regulation and bank lending In: Journal of Corporate Finance.
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article3
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2020Liquidity Regulation and Bank Lending.(2020) In: Working Papers.
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2021Liquidity Regulation and Bank Lending.(2021) In: Working Papers.
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2022Individualism, formal institutional environments, and bank capital decisions In: Journal of Corporate Finance.
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2020Individualism, formal institutional environment and bank capital decisions.(2020) In: Working Papers.
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2022Government ownership of banks: Implications for minority shareholders In: Economic Modelling.
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2017Dual market competition and deposit rate setting in Islamic and conventional banks In: Economic Modelling.
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article20
2017Dual Market Competition and Deposit Rate Setting in Islamic and Conventional Banks.(2017) In: Post-Print.
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2016Dual Market Competition and Deposit Rate Setting in Islamic and Conventional Banks.(2016) In: Working Papers.
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2020Deposit structure, market discipline, and ownership type: Evidence from Indonesia In: Economic Systems.
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article4
2019Deposit Structure, Market Discipline, and Ownership Type: Evidence from Indonesia.(2019) In: Post-Print.
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2020Deposit structure, market discipline, and ownership type : Evidence from Indonesia.(2020) In: Post-Print.
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2020Do banks change their liquidity ratios based on network characteristics? In: European Journal of Operational Research.
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article3
2021Bank credit in uncertain times: Islamic vs. conventional banks In: Finance Research Letters.
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article12
2020Bank credit in uncertain times: Islamic vs. conventional banks.(2020) In: Post-Print.
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2021Bank credit in uncertain times: Islamic vs. conventional banks.(2021) In: Post-Print.
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2020Bank credit in uncertain times: Islamic vs. conventional banks.(2020) In: Working Papers.
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2015Political connections, bank deposits, and formal deposit insurance In: Journal of Financial Stability.
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article31
2019Institutional environment and bank capital ratios In: Journal of Financial Stability.
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article12
2003Institutional Environment and Bank Capital Ratios.(2003) In: Working Papers.
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2019Institutional Environment and Bank Capital Ratios.(2019) In: Post-Print.
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2018Institutional Environment and Bank Capital Ratios.(2018) In: Working Papers.
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2021How organizational and geographic complexity influence performance: Evidence from European banks In: Journal of Financial Stability.
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2020How Organizational and Geographic Complexity Influence Performance? Evidence from European Banks.(2020) In: Working Papers.
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2021Economic uncertainty and bank stability: Conventional vs. Islamic banking In: Journal of Financial Stability.
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2020Economic uncertainty and bank stability: Conventional vs. Islamic banking.(2020) In: Working Papers.
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2022A note on regulatory responses to COVID-19 pandemic: Balancing banks’ solvency and contribution to recovery In: Journal of Financial Stability.
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2022A note on regulatory responses to COVID-19 pandemic: Balancing banks solvency and contribution to recovery.(2022) In: Post-Print.
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2020A note on regulatory responses to COVID-19 pandemic: Balancing banks solvency and contribution to recovery.(2020) In: Working Papers.
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2022Special issue on Islamic banking: Stability and governance In: Global Finance Journal.
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article1
2020Special Issue on Islamic Banking: Stability and Governance.(2020) In: Post-Print.
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2022Competition in dual markets: Implications for banking system stability In: Global Finance Journal.
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article2
2020Competition in dual markets : Implications for banking system stability.(2020) In: Post-Print.
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2018Competition in dual markets: Implications for banking system stability.(2018) In: Working Papers.
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2013Bank competition, crisis and risk taking: Evidence from emerging markets in Asia In: Journal of International Financial Markets, Institutions and Money.
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article90
2013Bank Competition, Crisis and Risk Taking : Evidence from Emerging Markets in Asia.(2013) In: Post-Print.
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2013Bank competition, crisis and risk taking: Evidence from emerging markets in Asia.(2013) In: Post-Print.
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2012Bank Competition, Crisis and Risk-Taking: Evidence from Emerging Markets in Asia.(2012) In: Working Papers.
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2014Is bank income diversification beneficial? Evidence from an emerging economy In: Journal of International Financial Markets, Institutions and Money.
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article64
2014Is Bank Income Diversification Beneficial? Evidence from an Emerging Economy.(2014) In: Post-Print.
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2013Is Bank Income Diversification Beneficial? Evidence from an Emerging Economy.(2013) In: Working Papers.
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2008The expansion of services in European banking: Implications for loan pricing and interest margins In: Journal of Banking & Finance.
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article134
2008The expansion of services in European banking: Implications for loan pricing and interest margins.(2008) In: Post-Print.
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2008The expansion of services in European banking: implications for loan pricing and interest margins.(2008) In: Post-Print.
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2008Bank income structure and risk: An empirical analysis of European banks In: Journal of Banking & Finance.
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2008Bank income structure and risk: An empirical analysis of European banks.(2008) In: Post-Print.
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2008Bank income structure and risk: An empirical analysis of European banks.(2008) In: Post-Print.
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2011Ownership structure and risk in publicly held and privately owned banks In: Journal of Banking & Finance.
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article146
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2011Ownership Structure and Risk in Publicly Held and Privately Owned Banks.(2011) In: Post-Print.
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2011Ownership structure and risk in publicly held and privately owned banks.(2011) In: Post-Print.
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2013Bank regulatory capital and liquidity: Evidence from US and European publicly traded banks In: Journal of Banking & Finance.
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2013Bank Regulatory Capital and Liquidity: Evidence from U.S. and European publicly traded banks.(2013) In: Post-Print.
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2015Excess control rights, financial crisis and bank profitability and risk In: Journal of Banking & Finance.
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2013Excess Control Rights, Financial Crisis and Bank Profitability and Risk.(2013) In: Working Papers.
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2018Non-interest income and bank lending In: Journal of Banking & Finance.
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2013Interbank deposits and market discipline: Evidence from Central and Eastern Europe In: Journal of Comparative Economics.
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article24
2013Interbank Deposits and Market Discipline: Evidence from Central and Eastern Europe.(2013) In: Post-Print.
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2016Finance-growth nexus and dual-banking systems: Relative importance of Islamic banks In: Journal of Economic Behavior & Organization.
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2014Finance-Growth Nexus and Dual Banking System: Relative Importance of Islamic Banks.(2014) In: Working Papers.
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2016Finance-Growth Nexus and Dual-Banking Systems: Relative Importance of Islamic Banks.(2016) In: Working Papers.
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2018Does it pay to get connected? An examination of bank alliance network and bond spread In: Journal of Economics and Business.
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2018Does It Pay To Get Connected ? An Examination Of Bank Alliance Network And Bond Spread.(2018) In: Post-Print.
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2015Excess control rights, bank capital structure adjustments, and lending In: Journal of Financial Economics.
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2015Excess control rights, bank capital structure adjustment and lending.(2015) In: Post-Print.
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2015Excess control rights, bank capital structure adjustments, and lending.(2015) In: Post-Print.
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2013Excess control rights, bank capital structure adjustment and lending.(2013) In: Working Papers.
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2018The joint regulation of bank liquidity and bank capital In: Journal of Financial Intermediation.
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2018The Joint Regulation of Bank Liquidity and Bank Capital.(2018) In: Post-Print.
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2016The benefits and costs of geographic diversification in banking In: Journal of International Money and Finance.
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2016The Benefits and Costs of Geographic Diversification in Banking.(2016) In: Post-Print.
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2004Bank stock volatility, news and asymmetric information in banking: an empirical investigation In: Journal of Multinational Financial Management.
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2004Bank stock volatility, news and asymmetric information in banking: an empirical investigation.(2004) In: Post-Print.
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2020Islamic banks’ equity financing, Shariah supervisory board, and banking environments In: Pacific-Basin Finance Journal.
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2014Why have bank interest margins been so high in Indonesia since the 1997/1998 financial crisis? In: Research in International Business and Finance.
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article8
2014Why Have Bank Interest Margins Been so High in Indonesia Since the 1997/1998 Financial Crisis?.(2014) In: Post-Print.
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2012Why Have Bank Interest Margins Been so High in Indonesia Since the 1997/1998 Financial Crisis?.(2012) In: Working Papers.
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