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National culture and bank risk-taking. (2019). Milidonis, Andreas ; Mourouzidou-Damtsa, Stella ; Stathopoulos, Konstantinos.
In: Journal of Financial Stability.
RePEc:eee:finsta:v:40:y:2019:i:c:p:132-143.

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  73. Central bank independence and systemic risk. (2020). Sprincean, Nicu ; Andrieș, Alin Marius ; Podpiera, Anca Maria.
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  74. Individualism, formal institutional environment and bank capital decisions. (2020). TARAZI, Amine ; Bitar, Mohammad.
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  75. Capital regulation, deposit insurance and bank risk: International evidence from normal and crisis periods. (2020). Ashraf, Badar Nadeem ; Qian, Ningyu ; Jiang, Chong Hui ; Zheng, Changjun.
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  76. National culture and bank risk-taking: Contradictory case of individualism. (2020). Illiashenko, Pavlo ; Laidroo, Laivi.
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  77. Environmental regulation and the cost of bank loans: International evidence. (2020). Javadi, Siamak ; Kim, Incheol ; Fard, Amirhossein.
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  78. National culture and housing credit. (2020). Pasiouras, Fotios ; HASAN, IFTEKHAR ; Gaganis, Chrysovalantis.
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  79. Central bank independence and systemic risk. (2020). Sprincean, Nicu ; Podpiera, Anca Maria.
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  80. Does regulatory and supervisory independence affect financial stability?. (2020). Sowerbutts, Rhiannon ; Fraccaroli, Nicolò ; Whitworth, Andrew.
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  40. The role of macroeconomic news in sovereign CDS markets: Domestic and spillover news effects from the U.S., the Eurozone and China. (2015). Wu, Eliza ; Kim, Suk-Joong ; Salem, Leith .
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  41. Sovereign and corporate credit risk: Evidence from the Eurozone. (2015). Colla, Paolo ; Bedendo, Mascia.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:33:y:2015:i:c:p:34-52.

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  42. Sovereign risk, interbank freezes, and aggregate fluctuations. (2015). Grosse Steffen, Christoph ; Engler, Philipp.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20151840.

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  43. Between capture and discretion - The determinants of distressed bank treatment and expected government support. (2015). Ignatowski, Magdalena ; Korte, Josef ; Werger, Charlotte .
    In: Working Paper Series.
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  44. Domestic creditors as last lenders in debt crises: a simple model with multiple equilibria. (2015). Gandré, Pauline.
    In: Economics Bulletin.
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  45. A theory of bazookas; or, when (and when not) to use large-scale official sector support. (2015). Frost, Jon.
    In: Working Papers.
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  46. Determinants and Valuation Effects of the Home Bias in European Banks Sovereign Debt Portfolios. (2015). Ioannidou, Vasso ; Huizinga, Harry ; Horvath, Balint.
    In: CEPR Discussion Papers.
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  47. Cross-Border Liquidity, Relationships and Monetary Policy: Evidence from the Euro Area Interbank Crisis. (2015). Peydro, Jose-Luis ; Fecht, Falko ; Bräuning, Falk ; Abbassi, Puriya ; Brauning, Falk.
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  48. Bank failure and bail-in: an introduction. (2015). Wingfield, Venetia ; Chennells, Lucy .
    In: Bank of England Quarterly Bulletin.
    RePEc:boe:qbullt:0179.

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  49. Cross-border liquidity, relationships and monetary policy: Evidence from the Euro area interbank crisis. (2014). Peydro, Jose-Luis ; Fecht, Falko ; Bräuning, Falk ; Abbassi, Puriya ; Brauning, Falk.
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    RePEc:zbw:bubdps:452014.

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  50. Sovereign Defaults, Bank Runs, and Contagion. (2014). Luck, Stephan ; Schempp, Paul .
    In: Discussion Paper Series of the Max Planck Institute for Research on Collective Goods.
    RePEc:mpg:wpaper:2014_15.

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