Details about Ion Lapteacru
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Short-id: pla559
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Working Papers
2017
- The Z-score is dead, long live the Z-score! A new way to measure bank risk
Working Papers, HAL View citations (2)
2016
- Bank Risk in Central and Eastern European Countries: Does Ownership Matter?
Working Papers, HAL View citations (3)
- Convergence of bank competition in Central and Eastern European countries: Does ownership matter?
Larefi Working Papers, Larefi, Université Bordeaux 4 
Also in Working Papers, HAL (2016)
- Income and funding structures, banking regulation and bank risk-taking: The role of ownership in Central and Eastern European banks
Working Papers, HAL
- Murphy-Topel adjustment of the variance-covariance matrix of a two-step panel data model: Evidence from competition-fragility nexus in banking
Working Papers, HAL View citations (1)
See also Journal Article Murphy-Topel adjustment of the variance-covariance matrix of a two-step panel data model: Evidence from competition-fragility nexus in banking, Economics Bulletin, AccessEcon (2017) (2017)
- On the consistency of the Z-score to measure the bank risk
Larefi Working Papers, Larefi, Université Bordeaux 4 View citations (14)
Also in Working Papers, HAL (2016) View citations (14)
2011
- L'impact de la concurrence bancaire sur l'efficience des banques: le cas des Pays d'Europe Centrale et Orientale
Post-Print, HAL View citations (1)
Journal Articles
2020
- Bank risk, competition and bank connectedness with firms: A literature review
Research in International Business and Finance, 2020, 51, (C) View citations (12)
2019
- (Un)Conventional monetary policy and bank risk-taking: A nonlinear relationship
Economic Modelling, 2019, 81, (C), 576-593 View citations (9)
- Do bank activities and funding strategies of foreign and state‐owned banks have a differential effect on risk‐taking in Central and Eastern Europe?
Economics of Transition and Institutional Change, 2019, 27, (2), 541-576 View citations (4)
2018
- Convergence of bank competition in Central and Eastern European countries: do foreign and domestic banks go hand in hand?
Post-Communist Economies, 2018, 30, (5), 588-616 View citations (4)
2017
- Market power and risk of Central and Eastern European banks: Does more powerful mean safer?
Economic Modelling, 2017, 63, (C), 46-59 View citations (20)
- Murphy-Topel adjustment of the variance-covariance matrix of a two-step panel data model: Evidence from competition-fragility nexus in banking
Economics Bulletin, 2017, 37, (2), 902-910 
See also Working Paper Murphy-Topel adjustment of the variance-covariance matrix of a two-step panel data model: Evidence from competition-fragility nexus in banking, Working Papers (2016) View citations (1) (2016)
2014
- Do more competitive banks have less market power? The evidence from Central and Eastern Europe
Journal of International Money and Finance, 2014, 46, (C), 41-60 View citations (22)
- Efficience et pouvoir de marché des banques en Thaïlande suite aux crises financières
Revue économique, 2014, 65, (5), 675-698 View citations (2)
2012
- Assessing lending market concentration in Bulgaria: the application of a new measure of concentration
European Journal of Comparative Economics, 2012, 9, (1), 79-102 View citations (2)
2011
- L'impact de la concurrence sur l'efficience des banques. Le cas des peco
Revue économique, 2011, 62, (2), 313-329 View citations (4)
2010
- The banking competition and efficiency in the transmission of monetary policy in CEECs
International Journal of Economic Policy in Emerging Economies, 2010, 3, (2), 158-182 View citations (2)
2009
- The transmission of monetary policy in central and east European countries: what is the role of the banks’ market power and efficiency?
SEER Journal for Labour and Social Affairs in Eastern Europe, 2009, 12, (4), 461-476
2008
- Incitation à la prise de risque sous la réglementation du capital. Influence du pouvoir de marché des banques
Revue économique, 2008, 59, (3), 463-473 View citations (1)
- L'influence de la réglementation du capital, de la concurrence bancaire et de l'assurance des dépôts sur le comportement risqué des banques
Brussels Economic Review, 2008, 51, (1), 105-130
- Three countries' debt profiles: Average maturities in Mexico, Brazil, and Russia
Journal of Multinational Financial Management, 2008, 18, (2), 94-111
Chapters
2008
- MARKET POWER AND BANKING COMPETITION ON THE CREDIT MARKET
Chapter 10 in Risk Management And Value Valuation and Asset Pricing, 2008, pp 205-229
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