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Details about Davide Salvatore Mare

E-mail:
Workplace:Finance and Private Sector Research, World Bank Group, (more information at EDIRC)
Business School, University of Edinburgh, (more information at EDIRC)

Access statistics for papers by Davide Salvatore Mare.

Last updated 2021-02-24. Update your information in the RePEc Author Service.

Short-id: pma2099


Jump to Journal Articles

Working Papers

2020

  1. Bank Capital and Risk in Europe and Central Asia Ten Years After the Crisis
    Policy Research Working Paper Series, The World Bank Downloads
  2. Taking Stock of the Financial Sector Policy Response to COVID-19 around the World
    Policy Research Working Paper Series, The World Bank Downloads

2019

  1. Bank Regulation and Supervision Ten Years after the Global Financial Crisis
    Policy Research Working Paper Series, The World Bank Downloads View citations (2)

2017

  1. Average Pay in Banks: Do Agency Problems and Bank Performance Matter?
    MPRA Paper, University Library of Munich, Germany Downloads
    See also Journal Article in Review of Quantitative Finance and Accounting (2019)
  2. Formal and informal household savings: how does trust in financial institutions influence the choice of saving instruments?
    MPRA Paper, University Library of Munich, Germany Downloads View citations (3)
  3. State ownership of financial institutions in Europe and Central Asia
    Policy Research Working Paper Series, The World Bank Downloads View citations (2)

2016

  1. The Nexus of financial inclusion and financial stability: a study of trade-offs and synergies
    Policy Research Working Paper Series, The World Bank Downloads View citations (9)

2015

  1. Nonstationary Z-score measures
    MPRA Paper, University Library of Munich, Germany Downloads
    See also Journal Article in European Journal of Operational Research (2017)
  2. State-Aid, Stability and Competition in European Banking
    MPRA Paper, University Library of Munich, Germany Downloads View citations (2)

Journal Articles

2021

  1. Risk exposures of European cooperative banks: a comparative analysis
    Review of Quantitative Finance and Accounting, 2021, 56, (1), 1-23 Downloads

2020

  1. Independence in bank governance structure: Empirical evidence of effects on bank risk and performance
    Research in International Business and Finance, 2020, 52, (C) Downloads
  2. The paradoxical effects of market fragmentation on adverse selection risk and market efficiency
    The European Journal of Finance, 2020, 26, (14), 1439-1461 Downloads

2019

  1. Average pay in banks: do agency problems and bank performance matter?
    Review of Quantitative Finance and Accounting, 2019, 53, (1), 101-122 Downloads
    See also Working Paper (2017)

2018

  1. Bank capital, institutional environment and systemic stability
    Journal of Financial Stability, 2018, 37, (C), 97-106 Downloads View citations (17)
  2. Cooperative banks: What do we know about competition and risk preferences?
    Journal of International Financial Markets, Institutions and Money, 2018, 52, (C), 90-101 Downloads View citations (5)

2017

  1. Nonstationary Z-Score measures
    European Journal of Operational Research, 2017, 260, (1), 348-358 Downloads View citations (7)
    See also Working Paper (2015)

2015

  1. Contribution of macroeconomic factors to the prediction of small bank failures
    Journal of International Financial Markets, Institutions and Money, 2015, 39, (C), 25-39 Downloads View citations (23)

2014

  1. Competition and financial stability in European cooperative banks
    Journal of International Money and Finance, 2014, 45, (C), 1-16 Downloads View citations (89)

2013

  1. Probability of default and efficiency in cooperative banking
    Journal of International Financial Markets, Institutions and Money, 2013, 26, (C), 30-45 Downloads View citations (33)
 
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