Details about Olivier De Jonghe
Access statistics for papers by Olivier De Jonghe.
Last updated 2023-04-11. Update your information in the RePEc Author Service.
Short-id: pde200
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Working Papers
2021
- Bank specialization and zombie lending
Working Paper Research, National Bank of Belgium View citations (1)
2020
- Going green by putting a price on pollution: Firm-level evidence from the EU
Working Paper Research, National Bank of Belgium View citations (3)
2019
- Does banks' systemic importance affect their capital structure and balance sheet adjustment processes?
Post-Print, HAL View citations (3)
Also in Working Paper Research, National Bank of Belgium (2019) View citations (8)
- Some borrowers are more equal than others: bank funding shocks and credit reallocation
Working Paper Series, European Central Bank View citations (51)
See also Journal Article in Review of Finance (2020)
2018
- Identifying credit supply shocks with bank-firm data: methods and applications
Working Paper Research, National Bank of Belgium View citations (17)
See also Journal Article in Journal of Financial Intermediation (2019)
2017
- Bank sectoral concentration and (systemic) risk: Evidence from a worldwide sample of banks
CEPR Discussion Papers, C.E.P.R. Discussion Papers View citations (12)
- Does banks' systemic importance affect their capital structure adjustment process?
Working Papers, HAL
2016
- Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
Working Paper Research, National Bank of Belgium View citations (25)
See also Journal Article in Journal of Corporate Finance (2020)
2015
- Bank capital management: International evidence
Other publications TiSEM, Tilburg University, School of Economics and Management View citations (44)
See also Journal Article in Journal of Financial Intermediation (2015)
- Banks’ size, scope and systemic risk: What role for conflicts of interest?
Other publications TiSEM, Tilburg University, School of Economics and Management View citations (47)
See also Journal Article in Journal of Banking & Finance (2015)
- Model uncertainty and systematic risk in US banking
Other publications TiSEM, Tilburg University, School of Economics and Management View citations (19)
See also Journal Article in Journal of Banking & Finance (2015)
2013
- Lending concentration, bank performance and systemic risk: exploring cross-country variation
Policy Research Working Paper Series, The World Bank View citations (11)
2012
- Do Stock Markets Discipline US Bank Holding Companies: Just Monitoring, or also In?uencing?
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (4)
See also Journal Article in The North American Journal of Economics and Finance (2014)
2011
- Bank competition and stability: cross-country heterogeneity
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (36)
See also Journal Article in Journal of Financial Intermediation (2013)
- Corporate governance, opaque bank activities, and risk/return efficiency: Pre- and post-crisis evidence from Turkey
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (4)
See also Journal Article in Journal of Financial Services Research (2012)
2009
- Back to the Basics in Banking? A Micro-Analysis of Banking System Stability
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (15)
Also in Working Paper Research, National Bank of Belgium (2009) View citations (15)
See also Journal Article in Journal of Financial Intermediation (2010)
2007
- Competition versus Efficiency: What drives franchise values in European banking?
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (4)
See also Journal Article in Journal of Banking & Finance (2008)
2004
- Bank risks and the business cycle
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (14)
- Competition, transmission and bank pricing policies: Evidence from Belgian loan and deposit markets
Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration View citations (9)
See also Journal Article in Journal of Banking & Finance (2007)
- The Determinants of Pass-Through of Market Conditions to Bank Retail Interest Rates in Belgium
Working Paper Research, National Bank of Belgium View citations (27)
Journal Articles
2022
- Bank Sectoral Concentration and Risk: Evidence from a Worldwide Sample of Banks
Journal of Money, Credit and Banking, 2022, 54, (6), 1705-1739 View citations (5)
2021
- Belgian corporate sector liquidity and solvency in the COVID-19 crisis: a post-first-wave assessment
Economic Review, 2021, (i), 117-165
2020
- Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
Journal of Corporate Finance, 2020, 60, (C) View citations (93)
See also Working Paper (2016)
- Some Borrowers Are More Equal than Others: Bank Funding Shocks and Credit Reallocation*
(A theory of systemic risk and design of prudential bank regulation)
Review of Finance, 2020, 24, (1), 1-43 View citations (34)
See also Working Paper (2019)
2019
- Identifying credit supply shocks with bank-firm data: Methods and applications
Journal of Financial Intermediation, 2019, 40, (C) View citations (115)
See also Working Paper (2018)
2015
- Bank capital management: International evidence
Journal of Financial Intermediation, 2015, 24, (2), 154-177 View citations (49)
See also Working Paper (2015)
- Banks’ size, scope and systemic risk: What role for conflicts of interest?
Journal of Banking & Finance, 2015, 61, (S1), S3-S13 View citations (51)
See also Working Paper (2015)
- Model uncertainty and systematic risk in US banking
Journal of Banking & Finance, 2015, 53, (C), 49-66 View citations (13)
See also Working Paper (2015)
2014
- Do stock markets discipline US Bank Holding Companies: Just monitoring, or also influencing?
The North American Journal of Economics and Finance, 2014, 29, (C), 124-145 View citations (5)
See also Working Paper (2012)
2013
- Bank competition and stability: Cross-country heterogeneity
Journal of Financial Intermediation, 2013, 22, (2), 218-244 View citations (440)
See also Working Paper (2011)
2012
- Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency: Pre- and Post-Crisis Evidence from Turkey
Journal of Financial Services Research, 2012, 41, (1), 51-80 View citations (23)
See also Working Paper (2011)
2010
- Back to the basics in banking? A micro-analysis of banking system stability
Journal of Financial Intermediation, 2010, 19, (3), 387-417 View citations (281)
See also Working Paper (2009)
2008
- Competition versus efficiency: What drives franchise values in European banking?
Journal of Banking & Finance, 2008, 32, (9), 1820-1835 View citations (53)
See also Working Paper (2007)
2007
- Competition, transmission and bank pricing policies: Evidence from Belgian loan and deposit markets
Journal of Banking & Finance, 2007, 31, (1), 259-278 View citations (123)
See also Working Paper (2004)
- Does the stock market value bank diversification?
Journal of Banking & Finance, 2007, 31, (7), 1999-2023 View citations (277)
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