Items where Subject is "HG1501 Banking"

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Number of items at this level: 44.

A

Ahamed, M Mostak (2017) Asset quality, non-interest income, and bank profitability: evidence from Indian banks. Economic Modelling, 63. pp. 1-14. ISSN 0264-9993

Ahamed, M Mostak and Mallick, Sushanta (2019) Is financial inclusion good for bank stability? International evidence. Journal of Economic Behavior & Organization, 157. pp. 403-427. ISSN 0167-2681

Ahamed, M Mostak and Mallick, Sushanta K (2017) House of restructured assets: how do they affect bank risk in an emerging market? Journal of International Financial Markets, Institutions and Money, 47. pp. 1-14. ISSN 1042-4431

Appleton, Samuel James (2015) The World Bank and the origins of the Washington Consensus: negotiating the imperatives of American finance. Doctoral thesis (PhD), University of Sussex.

B

Beck, Mareike (2019) German banking and the rise of financial capitalism: a case of extraverted financialisation. Doctoral thesis (PhD), University of Sussex.

Bircan, Çağatay and Saka, Orkun (2021) Lending cycles and real outcomes: costs of political misalignment. The Economic Journal. ISSN 0013-0133

Brissimis, Sophocles N, Delis, Manthos D and Papanikolaou, Nikolaos I (2008) Exploring the nexus between banking sector reform and performance: evidence from newly acceded EU countries. Journal of Banking and Finance, 32 (12). pp. 2674-2683. ISSN 0378-4266

D

Dafe, Florence (2015) Structural power and the political sources of central bank policy in developing countries. Doctoral thesis (PhD), University of Sussex.

Delis, Manthos D and Papanikolaou, Nikolaos I (2009) Determinants of bank efficiency: evidence from a semi-parametric mathodology. Managerial Finance, 35 (3). pp. 260-275. ISSN 0307-4358

G

Grammatikos, Theoharry and Papanikolaou, Nikolaos (2016) Applying Benford’s law to detect fraudulent practices in the banking industry. Working Paper. Luxembourg School of Finance, Luxembourg.

Grammatikos, Theoharry and Papanikolaou, Nikolaos I (2013) What lies behind the "Too-Small-To-Survive" banks. Working Paper. Luxembourg School of Finance, Luxembourg.

H

Hoebelt, Johannes (2019) Bank stress tests: implications on accounting discretion, transparency and market discipline. Doctoral thesis (PhD), University of Sussex.

Hu, W, Zhang, X and Mamatzakis, E (2017) Credit rating agencies and bank performance in emerging economies: the effects of credit rating, bank regulation and investor protection standards. In: IFABS Asia 2017 Ningbo Conference, 31 Auguest - 2 September 2017, Ningbo China.

Hu, Wentao (2018) The impact of regulation, governance, market power and diversification on bank performance and risk. Doctoral thesis (PhD), University of Sussex.

Hughes, Matthieu (2016) The peculiarities of universal banking: politics, economics and social struggle in the making of German finance. Doctoral thesis (PhD), University of Sussex.

I

Iglesias-Rodriguez, Pablo (2018) Supervisory cooperation in the single market for financial services: united in diversity? Fordham International Law Journal, 41 (3). a2 589-668. ISSN 0747-9395

K

Kalyvas, Antonois Nikolaos (2014) The impact of business regulations on bank performance in the European Union (2000-2010). Doctoral thesis (PhD), University of Sussex.

Koutsomanoli-Filippaki, Anastasia and Mamatzakis, Emmanuel (2009) Performance and Merton-type default risk of listed banks in the EU: A panel VAR approach. Journal of Banking and Finance, 33 (11). pp. 2050-2061. ISSN 0378-4266

Koutsomanoli-Filippaki, Anastasia, Mamatzakis, Emmanuel and Pasiouras, Fotios (2013) A quantile regression approach to bank efficiency measurement. In: Pasiouras, Fotios (ed.) Efficiency and productivity growth: modelling in the financial services industry. John Wiley & Sons Ltd, pp. 253-262. ISBN 9781119967521

M

Mabvira, Lazarus Tapuwa (2018) Essays on the interplay between bank competition, corporate governance, financial stability and misreporting in the context of the global financial crisis. Doctoral thesis (PhD), University of Sussex.

Mamatzakis, E, Hu, W and Zhang, X (2016) Liquidity risk, deposit diversification and insurance of bank in G7 and BRIC countries. In: Portsmouth-Fordham Conference on Banking & Finance, 24-25 September 2016, Portsmouth, UK.

Mamatzakis, E, Wang, C and Zhang, X (2016) How the internal and external corporate governance mechanisms affect bank performance. In: IFABS 2016 Asia Conference, 16-18 August 2016, Brunei.

Mamatzakis, Emmanuel and Bagntasarian, Anachit (2019) Testing for the underlying dynamics of bank capital buffer and performance nexus. Review of Quantitative Finance and Accounting, 52 (2). pp. 347-380. ISSN 0924-865X

Mamatzakis, Emmanuel and Bermpei, Theodora (2016) What is the effect of unconventional monetary policy on bank performance? Journal of International Money and Finance, 67. pp. 239-263. ISSN 0261-5606

Mamatzakis, Emmanuel, Matousek, Roman and Vu, Anh Nguyet (2019) What is the impact of problem loans on Japanese bank productivity growth? Financial Markets, Institutions And Instruments, 28 (2). pp. 213-240. ISSN 0963-8008

Mamatzakis, Emmanuel C and Vu, Anh N (2018) The interplay between quantitative easing, risk and competition: The case of Japanese banking. Financial Markets, Institutions and Instruments, 27 (1). pp. 3-46. ISSN 0963-8008

Molyneux, Philip, Nguyen, Linh H and Zhang, Xiaoxiang (2014) Executive compensation, board independence and bank efficiency in China: the effects of the financial crisis. Working Paper. University of St Andrews.

P

Papanikolaou, Nikolaos (2013) Bank off-balance-sheet leverage: some lessons to be learned from the financial crisis. In: Galizia, Federico (ed.) Managing systemic exposures: a risk management framework for SIFIs and their markets. Risk books/Incisive Media Investments Ltd, London, UK, pp. 93-109. ISBN 9781782720102

Papanikolaou, Nikolaos (2013) "Bank runs" und Staatliche Interventionen: Die Kolumne der "Luxembourg School of Finance“. Luxemburger Wort [Online article, 18 April 2013].

Papanikolaou, Nikolaos (2012) Ein blick auf die Finanzkrise jenseits der Bankbilanzen: Die Kolumne der "Luxembourg School of Finance“. Luxemburger Wort [Online article, 18 April 2013]. p. 55.

Papanikolaou, Nikolaos (2012) Finanzmarkstabilitat in Zeiten der Krise: Die Kolumne der "Luxembourg School of Finance“ [Financial stability in light of the crisis]. Luxemburger Wort [Online article, 24 July 2012]. p. 80.

Papanikolaou, Nikolaos (2009) How output diversification affects bnak efficiency and risk: an intra-EU comparison study. In: Balling, Morten, Gnan, Ernest, Lierman, Frank and Schoder, Jean-Pierre (eds.) Productivity in the financial services sector. Larcier, Brussels, pp. 245-273. ISBN 9783902109491

Papanikolaou, Nikolaos and Wolff, Christian (2015) A look on the global financial crisis beyond banks’ balance sheets. VOX: CEPR's Policy Portal.

Papanikolaou, Nikolaos I (2010) Market structure, screening activity and bank lending behaviour. Working Paper. Luxembourg School of Finance, Luxembourg.

Papanikolaou, Nikolaos I and Wolff, Christian C (2015) Does the CAMELS bank ratings system follow a procyclical pattern? Discussion Paper. Centre for Economic Policy Research (CEPR).

Papanikolaou, Nikolaos I and Wolff, Christian C P (2014) Financial stability, bank risk and regulation in the light of the crisis. Journal of Financial Stability, 14. pp. 1-2. ISSN 1572-3089

Papanikolaou, Nikolaos I and Wolff, Christian C P (2010) Leverage and risk in US commercial banking in the light of the current financial crisis. Working Paper. Luxembourg School of Finance, Luxembourg.

Papanikolaou, Nikolaos I and Wolff, Christian C P (2014) The role of on- and off-balance-sheet leverage of banks in the late 2000s crisis. Journal of Financial Stability, 14. pp. 3-22. ISSN 1572-3089

S

Saka, Orkun and Bircan, Çağatay (2019) Elections and economic cycles: what can we learn from the recent Turkish experience? In: Diwan, Ishac, Malik, Adeel and Atiyas, Izak (eds.) Crony capitalism in the Middle East. Oxford University Press, Oxford. ISBN 9780198799870

Saka, Orkun, Campos, Nauro F, De Grauwe, Paul, Ji, Yuemei and Martelli, Angelo (2020) Financial crises and liberalization: progress or reversals? In: Campos, Nauro F, De Grauwe, Paul and Ji, Yuemei (eds.) Economic growth and structural reforms in Europe. Cambridge University Press, Cambridge. ISBN 9781108479110

Sangster, Alan (2016) The genesis of double entry bookkeeping. The Accounting Review, 91 (1). pp. 299-315. ISSN 0001-4826

T

Tsionas, Mike G and Mamatzakis, Emmanuel (2019) Further results on estimating inefficiency effects in stochastic frontier models. European Journal of Operational Research, 275 (3). pp. 1157-1164. ISSN 0377-2217

V

Verdin, Rachel (2022) Contradictions of transparency: the changing architecture of gendered pay inequity in Britain’s finance sector. Doctoral thesis (PhD), University of Sussex.

Vu, Anh Nguyet (2019) On the impact of quantitative easing on credit standards and systemic risk: the Japanese experience. Economics Letters. ISSN 0165-1765

This list was generated on Wed Oct 4 09:08:14 2023 BST.