Details about Amine TARAZI
Access statistics for papers by Amine TARAZI.
Last updated 2025-01-06. Update your information in the RePEc Author Service.
Short-id: pta345
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Working Papers
2025
- Net Stable Funding Ratio: Implication for Bank Stability in Europe
Working Papers, HAL 
Also in Working Papers, HAL (2024)
- Relationship Banking: The Borrower's Incentives Channel
Working Papers, HAL 
Also in Working Papers, HAL (2024)  Swiss Finance Institute Research Paper Series, Swiss Finance Institute (2024)
2024
- Bank Liquidity Regulation and Risk
Working Papers, HAL
- Changes in liquidity regulation and bank credit growth
Working Papers, HAL 
Also in Working Papers, HAL (2024)
- Corruption and Bank Risk‐Taking in Dual Banking Systems
Post-Print, HAL
Also in Working Papers, HAL (2024)
- Do banks adjust their capital when they face liquidity shortages? Evidence from U.S. commercial banks
Post-Print, HAL
Also in Working Papers, HAL (2023)
- ESG activity and bank lending during financial crises
Post-Print, HAL View citations (12)
Also in Working Papers, HAL (2022) View citations (3)
See also Journal Article ESG activity and bank lending during financial crises, Journal of Financial Stability, Elsevier (2024) View citations (13) (2024)
- Economic policy uncertainty and bank stability: Size, capital, and liquidity matter
Post-Print, HAL
See also Journal Article Economic policy uncertainty and bank stability: Size, capital, and liquidity matter, The Quarterly Review of Economics and Finance, Elsevier (2024) (2024)
- Subcategories of ESG controversies and firm value
Working Papers, HAL
- The Digital Finance Era: A Journey Through Fintech and Cryptocurrency
Post-Print, HAL
- The sale of failed banks: The importance of their branch networks and of the acquirers’ financial strength
Post-Print, HAL
See also Journal Article The sale of failed banks: The importance of their branch networks and of the acquirers’ financial strength, Journal of Financial Stability, Elsevier (2024) (2024)
2023
- Bank Liquidity Management during Financial Crises
Working Papers, HAL
- Disentangling the effect of Trust on Bank Lending
Post-Print, HAL
Also in Working Papers, HAL (2019) 
See also Journal Article Disentangling the effect of Trust on Bank Lending, Journal of Economic Behavior & Organization, Elsevier (2023) View citations (2) (2023)
- Does banks’ systemic importance affect their capital structure and balance sheet adjustment processes?
Post-Print, HAL View citations (1)
Also in Other publications TiSEM, Tilburg University, School of Economics and Management (2022)  Working Paper Research, National Bank of Belgium (2019) View citations (9) Working Papers, HAL (2017)  Post-Print, HAL (2019) View citations (3)
See also Journal Article Does banks’ systemic importance affect their capital structure and balance sheet adjustment processes?, Journal of Banking & Finance, Elsevier (2023) View citations (1) (2023)
- Liquidity Regulation and Bank Risk
Working Papers, HAL
- Liquidity Shock and Bank Risk
Working Papers, HAL
- Resilience of Environmental and Social Stocks under Stress: Lessons from the COVID‐19 Pandemic
Post-Print, HAL
See also Journal Article Resilience of Environmental and Social Stocks under Stress: Lessons from the COVID‐19 Pandemic, Financial Markets, Institutions & Instruments, John Wiley & Sons (2023) (2023)
- Small Banks Really Are Different: Unexpected Deposit Flows, Loan Production, and Off-Balance-Sheet Funding Liquidity Risk
Working Papers, HAL
- Trust in banks and borrower discouragement
Working Papers, HAL
2022
- A note on regulatory responses to COVID-19 pandemic: Balancing banks' solvency and contribution to recovery
Post-Print, HAL View citations (6)
Also in Working Papers, HAL (2020) View citations (2) Post-Print, HAL (2022) View citations (1)
See also Journal Article A note on regulatory responses to COVID-19 pandemic: Balancing banks’ solvency and contribution to recovery, Journal of Financial Stability, Elsevier (2022) View citations (6) (2022)
- Big data analytics application in multi-criteria decision making: the case of eWallet adoption
Working Papers, HAL
- Cash shortfall, SEO offer size, and SEO announcement returns
Post-Print, HAL View citations (1)
See also Journal Article Cash shortfall, SEO offer size, and SEO announcement returns, The European Journal of Finance, Taylor & Francis Journals (2023) (2023)
- Competition in dual markets: Implications for banking system stability
Post-Print, HAL 
Also in Post-Print, HAL (2020) View citations (4) Working Papers, HAL (2018) 
See also Journal Article Competition in dual markets: Implications for banking system stability, Global Finance Journal, Elsevier (2022) View citations (1) (2022)
- Expropriation risk vs. government bailout: implications for minority shareholders of state-owned banks
Post-Print, HAL
Also in Working Papers, HAL (2020)
- Government ownership of banks: Implications for minority shareholders
Post-Print, HAL
See also Journal Article Government ownership of banks: Implications for minority shareholders, Economic Modelling, Elsevier (2022) (2022)
- How does regulation affect the organizational form of foreign banks' presence in developing versus developed countries?
Post-Print, HAL View citations (1)
Also in Post-Print, HAL (2020) View citations (1)
See also Journal Article How does regulation affect the organizational form of foreign banks' presence in developing versus developed countries?, International Journal of Finance & Economics, John Wiley & Sons, Ltd. (2022) View citations (1) (2022)
- Individualism, formal institutional environments, and bank capital decisions
Post-Print, HAL View citations (2)
Also in Working Papers, HAL (2020) 
See also Journal Article Individualism, formal institutional environments, and bank capital decisions, Journal of Corporate Finance, Elsevier (2022) View citations (5) (2022)
- Special issue on Islamic banking: Stability and governance
Post-Print, HAL 
Also in Post-Print, HAL (2020) View citations (1)
See also Journal Article Special issue on Islamic banking: Stability and governance, Global Finance Journal, Elsevier (2022) (2022)
2021
- Adoption of fintech services: role of saving and borrowing mechanisms
Working Papers, HAL View citations (1)
- Bank credit in uncertain times: Islamic vs. conventional banks
Post-Print, HAL View citations (17)
Also in Post-Print, HAL (2020) View citations (6) Working Papers, HAL (2020) View citations (6)
See also Journal Article Bank credit in uncertain times: Islamic vs. conventional banks, Finance Research Letters, Elsevier (2021) View citations (16) (2021)
- Corruption and bank risk-taking: The deterring role of Shari'ah supervision
Working Papers, HAL
- Economic policy uncertainty and bank stability
Working Papers, HAL
- Economic uncertainty and bank stability: Conventional vs. Islamic banking
Post-Print, HAL View citations (2)
Also in Working Papers, HAL (2020) 
See also Journal Article Economic uncertainty and bank stability: Conventional vs. Islamic banking, Journal of Financial Stability, Elsevier (2021) View citations (20) (2021)
- How organizational and geographic complexity influence performance: Evidence from European banks
Post-Print, HAL View citations (1)
Also in Working Papers, HAL (2020) View citations (2)
See also Journal Article How organizational and geographic complexity influence performance: Evidence from European banks, Journal of Financial Stability, Elsevier (2021) View citations (7) (2021)
- Liquidity Regulation and Bank Lending
Post-Print, HAL View citations (3)
Also in Working Papers, HAL (2020)  Post-Print, HAL (2021) View citations (2) Working Papers, HAL (2021) View citations (4)
See also Journal Article Liquidity regulation and bank lending, Journal of Corporate Finance, Elsevier (2021) View citations (17) (2021)
- The Sale of Failed Banks: The Characteristics of Acquirersas Well as of the Acquired -Matter
Working Papers, HAL 
Also in Working Papers, HAL (2020)
- The State Expropriation Risk and the Pricing of Foreign Earnings
Post-Print, HAL
- Trust and Financial Development: Forms of Trust and Ethnic Fractionalization Matter
Working Papers, HAL
2020
- Charter value, risk-taking and systemic risk in banking before and after the global financial crisis of 2007-2008
Post-Print, HAL
See also Journal Article Charter value, risk-taking and systemic risk in banking before and after the global financial crisis of 2007-2008, Applied Economics, Taylor & Francis Journals (2020) View citations (1) (2020)
- Credit information sharing in the nexus between charter value and systemic risk in Asian banking
Post-Print, HAL View citations (2)
See also Journal Article Credit information sharing in the nexus between charter value and systemic risk in Asian banking, Research in International Business and Finance, Elsevier (2020) View citations (1) (2020)
- Deposit structure, market discipline, and ownership type: Evidence from Indonesia
Post-Print, HAL View citations (5)
Also in Post-Print, HAL (2019)
See also Journal Article Deposit structure, market discipline, and ownership type: Evidence from Indonesia, Economic Systems, Elsevier (2020) View citations (6) (2020)
- Financial Inclusion and Bank Stability: Evidence from Europe
Post-Print, HAL View citations (16)
Also in Post-Print, HAL (2020) View citations (31) Working Papers, HAL (2020) View citations (17)
See also Journal Article Financial inclusion and bank stability: evidence from Europe, The European Journal of Finance, Taylor & Francis Journals (2020) View citations (33) (2020)
- Interbank network characteristics, monetary policy "News" and sensitivity of bank stock returns
Post-Print, HAL
Also in Working Papers, HAL (2019)
- LINKING BANK COMPETITION, FINANCIAL STABILITY, AND ECONOMIC GROWTH
Post-Print, HAL View citations (10)
- Unexpected deposit flows, off-balance sheet funding liquidity risk and bank loan production
Working Papers, HAL
2019
- Bank consolidation and financial stability revisited: Evidence from Indonesia
Post-Print, HAL View citations (6)
Also in Working Papers, HAL (2017)
- Charter value and bank stability before and after the global financial crisis of 2007-2008 Charter value and bank stability before and after the global financial crisis of 2007-2008
Post-Print, HAL
Also in Working Papers, HAL (2017) View citations (1)
- Creditor rights and bank capital decisions: Conventional vs. Islamic banking
Post-Print, HAL View citations (20)
Also in Working Papers, HAL (2018) View citations (2) Post-Print, HAL (2019) View citations (20)
See also Journal Article Creditor rights and bank capital decisions: Conventional vs. Islamic banking, Journal of Corporate Finance, Elsevier (2019) View citations (27) (2019)
- Does Market Discipline Impact Bank Charter Value? The Case for Australia and Canada"
Post-Print, HAL View citations (2)
See also Journal Article Does market discipline impact bank charter value? The case for Australia and Canada, Accounting and Finance, Accounting and Finance Association of Australia and New Zealand (2019) View citations (1) (2019)
- Falling under the control of a different type of owner: risk-taking implications for Banks
Post-Print, HAL View citations (1)
Also in Working Papers, HAL (2016)  Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics (2016) 
See also Journal Article Falling under the control of a different type of owner:risk-taking implications for banks, Applied Economics, Taylor & Francis Journals (2019) View citations (1) (2019)
- Institutional Environment and Bank Capital Ratios
Post-Print, HAL View citations (21)
Also in Working Papers, Economic Research Forum (2003)  Working Papers, HAL (2018) View citations (2)
See also Journal Article Institutional environment and bank capital ratios, Journal of Financial Stability, Elsevier (2019) View citations (21) (2019)
- Market liquidity shortage and banks' capital structure and balance sheet adjustments: evidence from U.S. commercial Banks
Working Papers, HAL
2018
- Does It Pay To Get Connected ? An Examination Of Bank Alliance Network And Bond Spread
Post-Print, HAL View citations (2)
See also Journal Article Does it pay to get connected? An examination of bank alliance network and bond spread, Journal of Economics and Business, Elsevier (2018) View citations (2) (2018)
- Local Versus International Crises, Foreign Subsidiaries and Bank Stability: Evidence from the MENA Region
Post-Print, HAL
Also in Working Papers, Economic Research Forum (2016)  Working Papers, HAL (2016)
- Local versus International Crises and Bank Stability: does bank foreign expansion make a difference
Post-Print, HAL View citations (2)
See also Journal Article Local versus International Crises and Bank Stability: does bank foreign expansion make a difference?, Applied Economics, Taylor & Francis Journals (2018) View citations (2) (2018)
- Non-Interest Income Activities and Bank Lending
Post-Print, HAL View citations (5)
Also in Working Papers, HAL (2014) View citations (3)
- The Joint Regulation of Bank Liquidity and Bank Capital
Post-Print, HAL View citations (35)
See also Journal Article The joint regulation of bank liquidity and bank capital, Journal of Financial Intermediation, Elsevier (2018) View citations (38) (2018)
2017
- Abnormal loan growth, credit information sharing and systemic risk in Asian banks
Working Papers, HAL View citations (14)
Also in Post-Print, HAL (2017) View citations (13)
See also Journal Article Abnormal loan growth, credit information sharing and systemic risk in Asian banks, Research in International Business and Finance, Elsevier (2017) View citations (15) (2017)
- Bank Liquidity Management and Bank Capital Shocks
Working Papers, HAL
- Do banks differently set their liquidity ratios based on their network characteristics?
Working Papers, HAL
- Does banks' systemic importance affect their capital structure adjustment process?
Working Papers, HAL
- Dual Market Competition and Deposit Rate Setting in Islamic and Conventional Banks
Post-Print, HAL View citations (30)
Also in Working Papers, HAL (2016) View citations (2)
See also Journal Article Dual market competition and deposit rate setting in Islamic and conventional banks, Economic Modelling, Elsevier (2017) View citations (30) (2017)
- How Does Regulation Affect the Organizational Form of Banks' Presence in Developing and Developed Countries?
Working Papers, HAL
- The procyclicality of loan loss provisions in Islamic banks
Post-Print, HAL View citations (10)
Also in Working Papers, HAL (2016) View citations (4)
See also Journal Article The procyclicality of loan loss provisions in Islamic banks, Research in International Business and Finance, Elsevier (2017) View citations (12) (2017)
2016
- Bank Charter Value, Systemic Risk and Credit Reporting Systems: Evidence from the Asia-Pacific Region
Working Papers, HAL
- Bank Lending and Income Inequality: Evidence from Indonesia
Working Papers, HAL View citations (1)
- Banking in France
Post-Print, HAL
- Finance-Growth Nexus and Dual-Banking Systems: Relative Importance of Islamic Banks
Working Papers, HAL View citations (47)
Also in Post-Print, HAL (2016) View citations (45) Working Papers, HAL (2014) View citations (2)
See also Journal Article Finance-growth nexus and dual-banking systems: Relative importance of Islamic banks, Journal of Economic Behavior & Organization, Elsevier (2016) View citations (48) (2016)
- Loan Loss Provisions and Lending Behavior of Banks: Do Information Sharing and Borrower Legal Rights Matter?
Working Papers, HAL View citations (2)
Also in Working Papers, HAL (2016) View citations (2)
- The Benefits and Costs of Geographic Diversification in Banking
Post-Print, HAL View citations (19)
See also Journal Article The benefits and costs of geographic diversification in banking, Journal of International Money and Finance, Elsevier (2016) View citations (19) (2016)
- The procyclicality of loan loss provisions in Islamic banks: Do managerial discretions matter?
Working Papers, HAL View citations (1)
- Value Relevance of Earnings of Multinational Firms: Regulatory Regimes Associated with Foreign Subsidiaries
Working Papers, HAL View citations (1)
2015
- Competition, financial intermediation and riskiness of banks: Evidence from the Asia-Pacific region
Working Papers, HAL View citations (8)
See also Journal Article Competition, Financial Intermediation, and Riskiness of Banks: Evidence from the Asia-Pacific Region, Emerging Markets Finance and Trade, Taylor & Francis Journals (2016) View citations (14) (2016)
- Determinants of Cross Regional Disparity in Financial Deepening: Evidence from Indonesian provinces
Post-Print, HAL View citations (3)
Also in Working Papers, HAL (2015) View citations (3)
See also Journal Article Determinants of cross regional disparity in financial deepening: Evidence from Indonesian provinces, Economics Bulletin, AccessEcon (2015) View citations (4) (2015)
- Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes
Post-Print, HAL
Also in Working Papers, HAL (2015) 
See also Journal Article Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes, Revue économique, Presses de Sciences-Po (2015) (2015)
- Excess Control Rights, Financial Crisis and Bank Profitability and Risk
Post-Print, HAL View citations (32)
Also in Working Papers, HAL (2013) View citations (8)
See also Journal Article Excess control rights, financial crisis and bank profitability and risk, Journal of Banking & Finance, Elsevier (2015) View citations (36) (2015)
- Excess control rights, bank capital structure adjustment and lending
Post-Print, HAL View citations (37)
Also in Working Papers, HAL (2013) View citations (6) Post-Print, HAL (2015) View citations (36)
See also Journal Article Excess control rights, bank capital structure adjustments, and lending, Journal of Financial Economics, Elsevier (2015) View citations (43) (2015)
- Islamic Banking and Finance: Recent Empirical Literature and Directions for Future Research
Post-Print, HAL View citations (59)
Also in Working Papers, HAL (2014) View citations (4)
See also Journal Article ISLAMIC BANKING AND FINANCE: RECENT EMPIRICAL LITERATURE AND DIRECTIONS FOR FUTURE RESEARCH, Journal of Economic Surveys, Wiley Blackwell (2015) View citations (59) (2015)
- Market structure, financial intermediation and riskiness of banks:Evidence from Asia Pacific
Post-Print, HAL View citations (1)
Also in Working Papers, HAL (2014) View citations (2)
- New challenges in banking and financial stability across the world
Post-Print, HAL
- Political Connections, Bank Deposits, and Formal Deposit Insurance: Evidence from an Emerging Economy
Post-Print, HAL View citations (34)
Also in Working Papers, HAL (2013)
- The Benefits of Geographic Diversification in Banking
Working Papers, HAL View citations (3)
2014
- Disclosure, ownership structure and bank risk: Evidence from Asia
Working Papers, HAL
- Does diversity of bank board members affect performance and risk? Evidence from an emerging market
Working Papers, HAL View citations (5)
See also Chapter Does Diversity of Bank Board Members Affect Performance and Risk? Evidence from an Emerging Market, CSR, Sustainability, Ethics & Governance, Springer (2018) View citations (2) (2018)
- Does the presence of institutional investors in family banks affect profitability and risk? Evidence from an emerging market
Working Papers, HAL
- Is Bank Income Diversification Beneficial? Evidence from an Emerging Economy
Post-Print, HAL View citations (71)
Also in Working Papers, HAL (2013) View citations (4)
See also Journal Article Is bank income diversification beneficial? Evidence from an emerging economy, Journal of International Financial Markets, Institutions and Money, Elsevier (2014) View citations (76) (2014)
- The Benefits of Intrastate and Interstate Geographic Diversification in Banking
Working Papers, HAL
- Why Have Bank Interest Margins Been so High in Indonesia Since the 1997/1998 Financial Crisis?
Post-Print, HAL View citations (17)
Also in Working Papers, HAL (2012) View citations (2)
See also Journal Article Why have bank interest margins been so high in Indonesia since the 1997/1998 financial crisis?, Research in International Business and Finance, Elsevier (2014) View citations (7) (2014)
2013
- Bank Competition, Crisis and Risk Taking: Evidence from Emerging Markets in Asia
Post-Print, HAL View citations (99)
Also in Working Papers, HAL (2012) View citations (8) Post-Print, HAL (2013) View citations (92)
See also Journal Article Bank competition, crisis and risk taking: Evidence from emerging markets in Asia, Journal of International Financial Markets, Institutions and Money, Elsevier (2013) View citations (105) (2013)
- Bank Opacity, Intermediation Cost and Globalization: Evidence from a Sample of Publicly Traded Banks in Asia
Working Papers, HAL View citations (10)
Also in Post-Print, HAL (2013) View citations (10) Post-Print, HAL (2013) View citations (11)
See also Journal Article Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia, Journal of Asian Economics, Elsevier (2013) View citations (11) (2013)
- Bank Regulatory Capital and Liquidity: Evidence from U.S. and European publicly traded banks
Post-Print, HAL View citations (117)
Also in Post-Print, HAL (2013) View citations (120)
See also Journal Article Bank regulatory capital and liquidity: Evidence from US and European publicly traded banks, Journal of Banking & Finance, Elsevier (2013) View citations (130) (2013)
- Ex Ante Capital Position, Changes in the Different Components of Regulatory Capital and Bank Risk
Debats Economiques et financiers, Banque de France View citations (30)
Also in Post-Print, HAL (2013) View citations (26) Post-Print, HAL (2013) View citations (26)
See also Journal Article Ex ante capital position, changes in the different components of regulatory capital and bank risk, Applied Economics, Taylor & Francis Journals (2013) View citations (30) (2013)
- Interbank Deposits and Market Discipline: Evidence from Central and Eastern Europe
Post-Print, HAL View citations (29)
See also Journal Article Interbank deposits and market discipline: Evidence from Central and Eastern Europe, Journal of Comparative Economics, Elsevier (2013) View citations (30) (2013)
- Interbank Deposits and Market discipline: Evidence from Central and Eastern European Banks
Post-Print, HAL View citations (23)
Also in Post-Print, HAL (2012) View citations (1)
- Market Discipline and Bank Charter Value: The Case of Two Safe Banking Industries
Working Papers, HAL View citations (2)
- Predicting rating changes for banks: how accurate are accounting and stock market indicators?
Post-Print, HAL View citations (5)
Also in Post-Print, HAL (2012) View citations (2) Bank of Finland Research Discussion Papers, Bank of Finland (2012) 
See also Journal Article Predicting rating changes for banks: how accurate are accounting and stock market indicators?, Annals of Finance, Springer (2013) View citations (7) (2013)
- Risk in Islamic Banking
Post-Print, HAL View citations (202)
Also in Working Papers, HAL (2012) View citations (12) Post-Print, HAL (2013) View citations (216)
See also Journal Article Risk in Islamic Banking, Review of Finance, European Finance Association (2013) View citations (268) (2013)
2012
- Bank Regulatory Capital Adjustment and Ultimate Ownership Structure: Evidence from European Commercial Banks
Working Papers, HAL View citations (3)
- Bank regulatory Capital Buffer and Liquidity: Evidence from US and European Publicly Traded Banks
Working Papers, HAL View citations (1)
- Bâle 3 et la réhabilitation du ratio de levier des banques: Pourquoi et comment ?
Post-Print, HAL 
See also Journal Article Bâle 3 et la réhabilitation du ratio de levier des banques. Pourquoi et comment ?, Revue économique, Presses de Sciences-Po (2012) (2012)
- Ultimate Ownership Structure and Bank Regulatory Capital Adjustment: Evidence from European Commercial Banks
Working Papers, HAL
2011
- Bank Capital and Self-Interested Managers: Evidence from Indonesia
Working Papers, HAL
- Bank Market Power, Economic Growth and Financial Stability: Evidence from Asian Banks
Post-Print, HAL View citations (72)
Also in Post-Print, HAL (2011) View citations (72)
See also Journal Article Bank market power, economic growth and financial stability: Evidence from Asian banks, Journal of Asian Economics, Elsevier (2011) View citations (77) (2011)
- Crises bancaires dans les pays de l'UEMOA: Un système d'alerte avancée fondé sur une approche logit multinomiale
Post-Print, HAL View citations (3)
Also in Post-Print, HAL (2011)
See also Journal Article Crises bancaires dans les pays de l'UEMOA:un système d'alerte avancée fondé sur une approche logit multinomiale, Brussels Economic Review, ULB -- Universite Libre de Bruxelles (2011) View citations (3) (2011)
- Ownership Structure and Bank Efficiency in Six Asian Countries
Post-Print, HAL View citations (7)
- Ownership Structure and Risk in Publicly Held and Privately Owned Banks
Post-Print, HAL View citations (151)
Also in Post-Print, HAL (2011) View citations (144) Post-Print, HAL (2011) View citations (151)
See also Journal Article Ownership structure and risk in publicly held and privately owned banks, Journal of Banking & Finance, Elsevier (2011) View citations (170) (2011)
- Safety and Soundness of the financial system in South East Asia
Post-Print, HAL
- The Use of Accounting Data to Predict Bank Financial Distress in MENA Countries
Post-Print, HAL
Also in Post-Print, HAL (2010) View citations (2) Post-Print, HAL (2010) View citations (4)
See also Journal Article The use of accounting data to predict bank financial distress in MENA countries, International Journal of Banking, Accounting and Finance, Inderscience Enterprises Ltd (2010) View citations (3) (2010)
- The use of accounting and stock market data to predict bank financial distress: the case of East Asian banks
Post-Print, HAL View citations (1)
Also in Working Papers, HAL (2008) View citations (1)
2010
- Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia
Post-Print, HAL 
See also Journal Article Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia, Economics Bulletin, AccessEcon (2010) (2010)
2009
- The determinants of bank stock return's co-movements in East Asia
Post-Print, HAL View citations (1)
Also in Working Papers, HAL (2008) 
See also Journal Article The determinants of bank stock return's co-movements in East Asia, Economics Bulletin, AccessEcon (2009) View citations (3) (2009)
2008
- Bank income structure and risk: An empirical analysis of European banks
Post-Print, HAL View citations (324)
Also in Post-Print, HAL (2008) View citations (347)
See also Journal Article Bank income structure and risk: An empirical analysis of European banks, Journal of Banking & Finance, Elsevier (2008) View citations (374) (2008)
- Ownership Structure and Bank Efficiency in the asia pacific region
Working Papers, HAL View citations (2)
- The Determinants of Domestic and Cross Border Bank Contagion Risk in Southeast Asia
Post-Print, HAL View citations (4)
Also in Working Papers, HAL (2007) 
See also Journal Article The Determinants of Domestic and Cross Border Bank Contagion Risk in Southeast Asia, Revue économique, Presses de Sciences-Po (2008) View citations (7) (2008)
- The expansion of services in European banking: Implications for loan pricing and interest margins
Post-Print, HAL View citations (151)
Also in Post-Print, HAL (2008) View citations (150)
See also Journal Article The expansion of services in European banking: Implications for loan pricing and interest margins, Journal of Banking & Finance, Elsevier (2008) View citations (161) (2008)
2006
- Concurrence et mutations des marchés financiers en Europe
Post-Print, HAL View citations (1)
- Contrôle prudentiel et détection des difficultés financières des banques: Quel est l'apport de l'information de marché ?
Post-Print, HAL 
See also Journal Article Contrôle prudentiel et détection des difficultés financières des banques. Quel est l'apport de l'information de marché ?, Revue économique, Presses de Sciences-Po (2006) (2006)
- Market Discipline and the Use of Stock Market Data to Predict Bank Financial Distress
Post-Print, HAL View citations (31)
See also Journal Article Market Discipline and the Use of Stock Market Data to Predict Bank Financial Distress, Journal of Financial Services Research, Springer (2006) View citations (37) (2006)
- Reaction of European Bank Stock Prices to Events of the Asian and Russian Financial Crises
Working Papers, HAL View citations (1)
Also in Post-Print, HAL (2006) View citations (1)
See also Journal Article Reaction of European bank stock prices to events of the Asian and Russian financial crises, Revue d'économie politique, Dalloz (2006) View citations (1) (2006)
- The Provision of Services, Interest Margins and Loan Pricing in European Banking
Working Papers, HAL View citations (1)
2005
- Product Diversification in the European Banking Industry: Risk and Loan Pricing Implications
Working Papers, HAL View citations (4)
2004
- Bank stock volatility, news and asymmetric information in banking: an empirical investigation
Post-Print, HAL View citations (7)
See also Journal Article Bank stock volatility, news and asymmetric information in banking: an empirical investigation, Journal of Multinational Financial Management, Elsevier (2004) View citations (10) (2004)
2002
- Rentabilité bancaire et taux d'intérêt de marché: Une application aux principaux systèmes bancaires européens sur la période 1988-1995
Post-Print, HAL 
See also Journal Article Rentabilité bancaire et taux d'intérêt de marché. Une application aux principaux systèmes bancaires européens sur la période 1988-1995, Revue d'économie politique, Dalloz (2002) (2002)
- Risk and optimal interest margins: the case of commercial banks in Central Europe
Post-Print, HAL
See also Chapter Risk and optimal interest margins: the case of commercial banks in Central Europe, Chapters, Edward Elgar Publishing (2002) (2002)
1992
- An Empirical Investigation on Bank Risk in Europe
Working Papers, University of Birmingham - International Financial Group View citations (5)
Journal Articles
2024
- ESG activity and bank lending during financial crises
Journal of Financial Stability, 2024, 70, (C) View citations (13)
See also Working Paper ESG activity and bank lending during financial crises, Post-Print (2024) View citations (12) (2024)
- Economic policy uncertainty and bank stability: Size, capital, and liquidity matter
The Quarterly Review of Economics and Finance, 2024, 93, (C), 102-118 
See also Working Paper Economic policy uncertainty and bank stability: Size, capital, and liquidity matter, Post-Print (2024) (2024)
- The sale of failed banks: The importance of their branch networks and of the acquirers’ financial strength
Journal of Financial Stability, 2024, 75, (C) 
See also Working Paper The sale of failed banks: The importance of their branch networks and of the acquirers’ financial strength, Post-Print (2024) (2024)
2023
- Cash shortfall, SEO offer size, and SEO announcement returns
The European Journal of Finance, 2023, 29, (5), 567-582 
See also Working Paper Cash shortfall, SEO offer size, and SEO announcement returns, Post-Print (2022) View citations (1) (2022)
- Disentangling the effect of Trust on Bank Lending
Journal of Economic Behavior & Organization, 2023, 210, (C), 360-378 View citations (2)
See also Working Paper Disentangling the effect of Trust on Bank Lending, Post-Print (2023) (2023)
- Does banks’ systemic importance affect their capital structure and balance sheet adjustment processes?
Journal of Banking & Finance, 2023, 151, (C) View citations (1)
See also Working Paper Does banks’ systemic importance affect their capital structure and balance sheet adjustment processes?, Post-Print (2023) View citations (1) (2023)
- Resilience of Environmental and Social Stocks under Stress: Lessons from the COVID‐19 Pandemic
Financial Markets, Institutions & Instruments, 2023, 32, (2), 23-50 
See also Working Paper Resilience of Environmental and Social Stocks under Stress: Lessons from the COVID‐19 Pandemic, Post-Print (2023) (2023)
2022
- A note on regulatory responses to COVID-19 pandemic: Balancing banks’ solvency and contribution to recovery
Journal of Financial Stability, 2022, 60, (C) View citations (6)
See also Working Paper A note on regulatory responses to COVID-19 pandemic: Balancing banks' solvency and contribution to recovery, Post-Print (2022) View citations (6) (2022)
- Competition in dual markets: Implications for banking system stability
Global Finance Journal, 2022, 52, (C) View citations (1)
See also Working Paper Competition in dual markets: Implications for banking system stability, Post-Print (2022) (2022)
- Government ownership of banks: Implications for minority shareholders
Economic Modelling, 2022, 112, (C) 
See also Working Paper Government ownership of banks: Implications for minority shareholders, Post-Print (2022) (2022)
- How does regulation affect the organizational form of foreign banks' presence in developing versus developed countries?
International Journal of Finance & Economics, 2022, 27, (2), 2367-2419 View citations (1)
See also Working Paper How does regulation affect the organizational form of foreign banks' presence in developing versus developed countries?, Post-Print (2022) View citations (1) (2022)
- Individualism, formal institutional environments, and bank capital decisions
Journal of Corporate Finance, 2022, 76, (C) View citations (5)
See also Working Paper Individualism, formal institutional environments, and bank capital decisions, Post-Print (2022) View citations (2) (2022)
- Special issue on Islamic banking: Stability and governance
Global Finance Journal, 2022, 51, (C) 
See also Working Paper Special issue on Islamic banking: Stability and governance, Post-Print (2022) (2022)
2021
- Bank credit in uncertain times: Islamic vs. conventional banks
Finance Research Letters, 2021, 39, (C) View citations (16)
See also Working Paper Bank credit in uncertain times: Islamic vs. conventional banks, Post-Print (2021) View citations (17) (2021)
- Economic uncertainty and bank stability: Conventional vs. Islamic banking
Journal of Financial Stability, 2021, 56, (C) View citations (20)
See also Working Paper Economic uncertainty and bank stability: Conventional vs. Islamic banking, Post-Print (2021) View citations (2) (2021)
- How organizational and geographic complexity influence performance: Evidence from European banks
Journal of Financial Stability, 2021, 55, (C) View citations (7)
See also Working Paper How organizational and geographic complexity influence performance: Evidence from European banks, Post-Print (2021) View citations (1) (2021)
- Liquidity regulation and bank lending
Journal of Corporate Finance, 2021, 69, (C) View citations (17)
See also Working Paper Liquidity Regulation and Bank Lending, Post-Print (2021) View citations (3) (2021)
2020
- Charter value, risk-taking and systemic risk in banking before and after the global financial crisis of 2007-2008
Applied Economics, 2020, 52, (36), 3898-3918 View citations (1)
See also Working Paper Charter value, risk-taking and systemic risk in banking before and after the global financial crisis of 2007-2008, Post-Print (2020) (2020)
- Credit information sharing in the nexus between charter value and systemic risk in Asian banking
Research in International Business and Finance, 2020, 53, (C) View citations (1)
See also Working Paper Credit information sharing in the nexus between charter value and systemic risk in Asian banking, Post-Print (2020) View citations (2) (2020)
- Deposit structure, market discipline, and ownership type: Evidence from Indonesia
Economic Systems, 2020, 44, (2) View citations (6)
See also Working Paper Deposit structure, market discipline, and ownership type: Evidence from Indonesia, Post-Print (2020) View citations (5) (2020)
- Do banks change their liquidity ratios based on network characteristics?
European Journal of Operational Research, 2020, 285, (2), 789-803 View citations (4)
- Financial inclusion and bank stability: evidence from Europe
The European Journal of Finance, 2020, 26, (18), 1842-1855 View citations (33)
See also Working Paper Financial Inclusion and Bank Stability: Evidence from Europe, Post-Print (2020) View citations (16) (2020)
- Islamic banks’ equity financing, Shariah supervisory board, and banking environments
Pacific-Basin Finance Journal, 2020, 62, (C) View citations (8)
2019
- Bank consolidation and financial stability in Indonesia
International Economics, 2019, 159, (C), 94-104 View citations (6)
Also in International Economics, 2019, (159), 94-104 (2019) View citations (9)
- Creditor rights and bank capital decisions: Conventional vs. Islamic banking
Journal of Corporate Finance, 2019, 55, (C), 69-104 View citations (27)
See also Working Paper Creditor rights and bank capital decisions: Conventional vs. Islamic banking, Post-Print (2019) View citations (20) (2019)
- Does market discipline impact bank charter value? The case for Australia and Canada
Accounting and Finance, 2019, 59, (1), 253-276 View citations (1)
See also Working Paper Does Market Discipline Impact Bank Charter Value? The Case for Australia and Canada", Post-Print (2019) View citations (2) (2019)
- Falling under the control of a different type of owner:risk-taking implications for banks
Applied Economics, 2019, 51, (8), 831-847 View citations (1)
See also Working Paper Falling under the control of a different type of owner: risk-taking implications for Banks, Post-Print (2019) View citations (1) (2019)
- Institutional environment and bank capital ratios
Journal of Financial Stability, 2019, 43, (C), 1-24 View citations (21)
See also Working Paper Institutional Environment and Bank Capital Ratios, Post-Print (2019) View citations (21) (2019)
2018
- Does it pay to get connected? An examination of bank alliance network and bond spread
Journal of Economics and Business, 2018, 95, (C), 141-163 View citations (2)
See also Working Paper Does It Pay To Get Connected ? An Examination Of Bank Alliance Network And Bond Spread, Post-Print (2018) View citations (2) (2018)
- Local versus International Crises and Bank Stability: does bank foreign expansion make a difference?
Applied Economics, 2018, 50, (10), 1138-1155 View citations (2)
See also Working Paper Local versus International Crises and Bank Stability: does bank foreign expansion make a difference, Post-Print (2018) View citations (2) (2018)
- Non-interest income and bank lending
Journal of Banking & Finance, 2018, 87, (C), 411-426 View citations (44)
- The joint regulation of bank liquidity and bank capital
Journal of Financial Intermediation, 2018, 34, (C), 32-46 View citations (38)
See also Working Paper The Joint Regulation of Bank Liquidity and Bank Capital, Post-Print (2018) View citations (35) (2018)
2017
- Abnormal loan growth, credit information sharing and systemic risk in Asian banks
Research in International Business and Finance, 2017, 42, (C), 1208-1218 View citations (15)
See also Working Paper Abnormal loan growth, credit information sharing and systemic risk in Asian banks, Working Papers (2017) View citations (14) (2017)
- Dual market competition and deposit rate setting in Islamic and conventional banks
Economic Modelling, 2017, 63, (C), 318-333 View citations (30)
See also Working Paper Dual Market Competition and Deposit Rate Setting in Islamic and Conventional Banks, Post-Print (2017) View citations (30) (2017)
- The procyclicality of loan loss provisions in Islamic banks
Research in International Business and Finance, 2017, 39, (PB), 911-919 View citations (12)
See also Working Paper The procyclicality of loan loss provisions in Islamic banks, Post-Print (2017) View citations (10) (2017)
2016
- Competition, Financial Intermediation, and Riskiness of Banks: Evidence from the Asia-Pacific Region
Emerging Markets Finance and Trade, 2016, 52, (4), 961-974 View citations (14)
See also Working Paper Competition, financial intermediation and riskiness of banks: Evidence from the Asia-Pacific region, Working Papers (2015) View citations (8) (2015)
- Finance-growth nexus and dual-banking systems: Relative importance of Islamic banks
Journal of Economic Behavior & Organization, 2016, 132, (S), 198-215 View citations (48)
See also Working Paper Finance-Growth Nexus and Dual-Banking Systems: Relative Importance of Islamic Banks, Working Papers (2016) View citations (47) (2016)
- The benefits and costs of geographic diversification in banking
Journal of International Money and Finance, 2016, 69, (C), 287-317 View citations (19)
See also Working Paper The Benefits and Costs of Geographic Diversification in Banking, Post-Print (2016) View citations (19) (2016)
2015
- Determinants of cross regional disparity in financial deepening: Evidence from Indonesian provinces
Economics Bulletin, 2015, 35, (2), 896-910 View citations (4)
See also Working Paper Determinants of Cross Regional Disparity in Financial Deepening: Evidence from Indonesian provinces, Post-Print (2015) View citations (3) (2015)
- Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes
Revue économique, 2015, 66, (3), 527-535 
See also Working Paper Droits de contrôle versus droits pécuniaires, crise financière et vulnérabilité des banques européennes, Post-Print (2015) (2015)
- Excess control rights, bank capital structure adjustments, and lending
Journal of Financial Economics, 2015, 115, (3), 574-591 View citations (43)
See also Working Paper Excess control rights, bank capital structure adjustment and lending, Post-Print (2015) View citations (37) (2015)
- Excess control rights, financial crisis and bank profitability and risk
Journal of Banking & Finance, 2015, 55, (C), 361-379 View citations (36)
See also Working Paper Excess Control Rights, Financial Crisis and Bank Profitability and Risk, Post-Print (2015) View citations (32) (2015)
- ISLAMIC BANKING AND FINANCE: RECENT EMPIRICAL LITERATURE AND DIRECTIONS FOR FUTURE RESEARCH
Journal of Economic Surveys, 2015, 29, (4), 637-670 View citations (59)
See also Working Paper Islamic Banking and Finance: Recent Empirical Literature and Directions for Future Research, Post-Print (2015) View citations (59) (2015)
- Political connections, bank deposits, and formal deposit insurance
Journal of Financial Stability, 2015, 19, (C), 83-104 View citations (38)
2014
- Is bank income diversification beneficial? Evidence from an emerging economy
Journal of International Financial Markets, Institutions and Money, 2014, 31, (C), 97-126 View citations (76)
See also Working Paper Is Bank Income Diversification Beneficial? Evidence from an Emerging Economy, Post-Print (2014) View citations (71) (2014)
- Why have bank interest margins been so high in Indonesia since the 1997/1998 financial crisis?
Research in International Business and Finance, 2014, 32, (C), 139-158 View citations (7)
See also Working Paper Why Have Bank Interest Margins Been so High in Indonesia Since the 1997/1998 Financial Crisis?, Post-Print (2014) View citations (17) (2014)
2013
- Bank competition, crisis and risk taking: Evidence from emerging markets in Asia
Journal of International Financial Markets, Institutions and Money, 2013, 23, (C), 196-221 View citations (105)
See also Working Paper Bank Competition, Crisis and Risk Taking: Evidence from Emerging Markets in Asia, Post-Print (2013) View citations (99) (2013)
- Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia
Journal of Asian Economics, 2013, 29, (C), 91-100 View citations (11)
See also Working Paper Bank Opacity, Intermediation Cost and Globalization: Evidence from a Sample of Publicly Traded Banks in Asia, Working Papers (2013) View citations (10) (2013)
- Bank regulatory capital and liquidity: Evidence from US and European publicly traded banks
Journal of Banking & Finance, 2013, 37, (9), 3295-3317 View citations (130)
See also Working Paper Bank Regulatory Capital and Liquidity: Evidence from U.S. and European publicly traded banks, Post-Print (2013) View citations (117) (2013)
- Ex ante capital position, changes in the different components of regulatory capital and bank risk
Applied Economics, 2013, 45, (34), 4831-4856 View citations (30)
See also Working Paper Ex Ante Capital Position, Changes in the Different Components of Regulatory Capital and Bank Risk, Debats Economiques et financiers (2013) View citations (30) (2013)
- Interbank deposits and market discipline: Evidence from Central and Eastern Europe
Journal of Comparative Economics, 2013, 41, (2), 544-560 View citations (30)
See also Working Paper Interbank Deposits and Market Discipline: Evidence from Central and Eastern Europe, Post-Print (2013) View citations (29) (2013)
- Predicting rating changes for banks: how accurate are accounting and stock market indicators?
Annals of Finance, 2013, 9, (3), 471-500 View citations (7)
See also Working Paper Predicting rating changes for banks: how accurate are accounting and stock market indicators?, Post-Print (2013) View citations (5) (2013)
- Risk in Islamic Banking
Review of Finance, 2013, 17, (6), 2035-2096 View citations (268)
See also Working Paper Risk in Islamic Banking, Post-Print (2013) View citations (202) (2013)
2012
- Bâle 3 et la réhabilitation du ratio de levier des banques. Pourquoi et comment ?
Revue économique, 2012, 63, (4), 809-820 
See also Working Paper Bâle 3 et la réhabilitation du ratio de levier des banques: Pourquoi et comment ?, Post-Print (2012) (2012)
2011
- Bank market power, economic growth and financial stability: Evidence from Asian banks
Journal of Asian Economics, 2011, 22, (6), 460-470 View citations (77)
See also Working Paper Bank Market Power, Economic Growth and Financial Stability: Evidence from Asian Banks, Post-Print (2011) View citations (72) (2011)
- Crises bancaires dans les pays de l'UEMOA:un système d'alerte avancée fondé sur une approche logit multinomiale
Brussels Economic Review, 2011, 54, (1), 21-50 View citations (3)
See also Working Paper Crises bancaires dans les pays de l'UEMOA: Un système d'alerte avancée fondé sur une approche logit multinomiale, Post-Print (2011) View citations (3) (2011)
- Ownership structure and risk in publicly held and privately owned banks
Journal of Banking & Finance, 2011, 35, (5), 1327-1340 View citations (170)
See also Working Paper Ownership Structure and Risk in Publicly Held and Privately Owned Banks, Post-Print (2011) View citations (151) (2011)
2010
- Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia
Economics Bulletin, 2010, 30, (2), 1680-1693 
See also Working Paper Are early market indicators of financial deterioration accurate for Too Big To Fail banks? Evidence from East Asia, Post-Print (2010) (2010)
- The use of accounting data to predict bank financial distress in MENA countries
International Journal of Banking, Accounting and Finance, 2010, 2, (4), 332-356 View citations (3)
See also Working Paper The Use of Accounting Data to Predict Bank Financial Distress in MENA Countries, Post-Print (2011) (2011)
2009
- The determinants of bank stock return's co-movements in East Asia
Economics Bulletin, 2009, 29, (3), 1596-1601 View citations (3)
See also Working Paper The determinants of bank stock return's co-movements in East Asia, Post-Print (2009) View citations (1) (2009)
2008
- Bank income structure and risk: An empirical analysis of European banks
Journal of Banking & Finance, 2008, 32, (8), 1452-1467 View citations (374)
See also Working Paper Bank income structure and risk: An empirical analysis of European banks, Post-Print (2008) View citations (324) (2008)
- The Determinants of Domestic and Cross Border Bank Contagion Risk in Southeast Asia
Revue économique, 2008, 59, (6), 1215-1242 View citations (7)
See also Working Paper The Determinants of Domestic and Cross Border Bank Contagion Risk in Southeast Asia, Post-Print (2008) View citations (4) (2008)
- The expansion of services in European banking: Implications for loan pricing and interest margins
Journal of Banking & Finance, 2008, 32, (11), 2325-2335 View citations (161)
See also Working Paper The expansion of services in European banking: Implications for loan pricing and interest margins, Post-Print (2008) View citations (151) (2008)
2006
- Contrôle prudentiel et détection des difficultés financières des banques. Quel est l'apport de l'information de marché ?
Revue économique, 2006, 57, (3), 497-506 
See also Working Paper Contrôle prudentiel et détection des difficultés financières des banques: Quel est l'apport de l'information de marché ?, Post-Print (2006) (2006)
- Market Discipline and the Use of Stock Market Data to Predict Bank Financial Distress
Journal of Financial Services Research, 2006, 30, (2), 151-176 View citations (37)
See also Working Paper Market Discipline and the Use of Stock Market Data to Predict Bank Financial Distress, Post-Print (2006) View citations (31) (2006)
- Reaction of European bank stock prices to events of the Asian and Russian financial crises
Revue d'économie politique, 2006, 116, (4), 457-469 View citations (1)
See also Working Paper Reaction of European Bank Stock Prices to Events of the Asian and Russian Financial Crises, Working Papers (2006) View citations (1) (2006)
2004
- Bank stock volatility, news and asymmetric information in banking: an empirical investigation
Journal of Multinational Financial Management, 2004, 14, (4-5), 443-461 View citations (10)
See also Working Paper Bank stock volatility, news and asymmetric information in banking: an empirical investigation, Post-Print (2004) View citations (7) (2004)
2002
- Rentabilité bancaire et taux d'intérêt de marché. Une application aux principaux systèmes bancaires européens sur la période 1988-1995
Revue d'économie politique, 2002, 112, (2), 275-291 
See also Working Paper Rentabilité bancaire et taux d'intérêt de marché: Une application aux principaux systèmes bancaires européens sur la période 1988-1995, Post-Print (2002) (2002)
2001
- Marché financier et évaluation du risque bancaire. Les agences de notation contribuent-elles à améliorer la discipline de marché ?
Revue économique, 2001, 52, (2), 265-283 View citations (1)
Also in Revue Économique, 2001, 52, (2), 265-283 (2001) View citations (1)
1999
- Risque et marges d'intérêt optimales des banques commerciales d'Europe centrale et orientale
Revue Économique, 1999, 50, (6), 1255-1274 View citations (1)
1998
- Sensibilité des résultats bancaires au taux d'intérêt
Revue Française d'Économie, 1998, 13, (2), 169-200 View citations (4)
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See also Working Paper Risk and optimal interest margins: the case of commercial banks in Central Europe, HAL (2002) (2002)
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