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Details about Jens Hagendorff

Workplace:Business School, University of Edinburgh, (more information at EDIRC)

Access statistics for papers by Jens Hagendorff.

Last updated 2020-01-27. Update your information in the RePEc Author Service.

Short-id: pha899


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Working Papers

2012

  1. The safety and soundness effects of bank M&A in the EU
    FRB Atlanta Working Paper, Federal Reserve Bank of Atlanta Downloads View citations (1)
  2. The safety and soundness effects of bank M&As in the EU: does prudential regulation have any impact?
    Working Papers, Banco de España Downloads View citations (1)
    See also Journal Article in European Financial Management (2015)

2010

  1. Controlling Shareholders and the Acquisition Premiums Paid in European Takeover Bids
    Post-Print, HAL Downloads
  2. What do premiums paid for bank M&As reflect? The case of the European Union
    Working Papers, Banco de España Downloads View citations (3)
    Also in FRB Atlanta Working Paper, Federal Reserve Bank of Atlanta (2010) Downloads

    See also Journal Article in Journal of Banking & Finance (2012)

Journal Articles

2019

  1. Is the fox guarding the henhouse? Bankers in the Federal Reserve, bank leverage and risk-shifting
    Journal of Corporate Finance, 2019, 58, (C), 478-504 Downloads

2018

  1. Better safe than sorry? CEO inside debt and risk-taking in bank acquisitions
    Journal of Financial Stability, 2018, 36, (C), 208-224 Downloads View citations (2)
  2. Does a CEO’s Cultural Heritage Affect Performance under Competitive Pressure?
    Review of Financial Studies, 2018, 31, (1), 97-141 Downloads View citations (2)
  3. When Banks Grow Too Big for Their National Economies: Tail Risks, Risk Channels, and Government Guarantees
    Journal of Financial and Quantitative Analysis, 2018, 53, (5), 2041-2066 Downloads View citations (1)

2017

  1. Independent director reputation incentives and stock price informativeness
    Journal of Corporate Finance, 2017, 47, (C), 219-235 Downloads View citations (6)

2016

  1. Can Bank Boards Prevent Misconduct?
    Review of Finance, 2016, 20, (1), 1-36 Downloads View citations (9)
  2. Women on board: Does boardroom gender diversity affect firm risk?
    Journal of Corporate Finance, 2016, 36, (C), 26-53 Downloads View citations (38)

2015

  1. The Impact of Mega‐Catastrophes on Insurers: An Exposure‐Based Analysis of the U.S. Homeowners’ Insurance Market
    Risk Analysis, 2015, 35, (1), 157-173 Downloads View citations (3)
  2. The Safety and Soundness Effects of Bank M&A in the EU: Does Prudential Regulation Have any Impact?
    European Financial Management, 2015, 21, (3), 462-490 Downloads
    See also Working Paper (2012)

2014

  1. CEO inside debt holdings and risk-shifting: Evidence from bank payout policies
    Journal of Banking & Finance, 2014, 47, (C), 41-53 Downloads View citations (10)
  2. The risk implications of insurance securitization: The case of catastrophe bonds
    Journal of Corporate Finance, 2014, 25, (C), 387-402 Downloads View citations (8)

2013

  1. The Risk Sensitivity of Capital Requirements: Evidence from an International Sample of Large Banks*
    Review of Finance, 2013, 17, (6), 1947-1988 Downloads View citations (48)
  2. The Shareholder Wealth Effects of Insurance Securitization: Preliminary Evidence from the Catastrophe Bond Market
    Journal of Financial Services Research, 2013, 44, (3), 281-301 Downloads View citations (5)

2012

  1. Do Announcements About Corporate Social Responsibility Create or Destroy Shareholder Wealth? Evidence from the UK
    Journal of Business Ethics, 2012, 106, (3), 253-266 Downloads View citations (14)
  2. The value of board diversity in banking: evidence from the market for corporate control
    The European Journal of Finance, 2012, 18, (1), 41-58 Downloads View citations (7)
  3. What do premiums paid for bank M&As reflect? The case of the European Union
    Journal of Banking & Finance, 2012, 36, (3), 749-759 Downloads View citations (9)
    See also Working Paper (2010)

2011

  1. CEO pay incentives and risk-taking: Evidence from bank acquisitions
    Journal of Corporate Finance, 2011, 17, (4), 1078-1095 Downloads View citations (57)
  2. The impact of European bank mergers on bidder default risk
    Journal of Banking & Finance, 2011, 35, (4), 902-915 Downloads View citations (31)

2010

  1. Distance to default, subordinated debt, and distress indicators in the banking industry
    Accounting and Finance, 2010, 50, (4), 853-870 Downloads View citations (8)

2009

  1. Post‐merger strategy and performance: evidence from the US and European banking industries
    Accounting and Finance, 2009, 49, (4), 725-751 Downloads View citations (18)

2008

  1. Investor protection and the value effects of bank merger announcements in Europe and the US
    Journal of Banking & Finance, 2008, 32, (7), 1333-1348 Downloads View citations (34)

2007

  1. Bank Governance and Acquisition Performance
    Corporate Governance: An International Review, 2007, 15, (5), 957-968 Downloads View citations (10)
  2. Bank deregulation and acquisition activity: the cases of the US, Italy and Germany
    Journal of Financial Regulation and Compliance, 2007, 15, (2), 199-209 Downloads View citations (2)

Books

2013

  1. Size, Risk, and Governance in European Banking
    OUP Catalogue, Oxford University Press View citations (1)

Chapters

2012

  1. CEO Pay and Risk-taking in Banking: The Roles of Bonus Plans and Deferred Compensation in Curbing Bank Risk-taking
    Chapter 9 in Research Handbook on International Banking and Governance, 2012 Downloads View citations (1)
 
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