Acharya, V.V. ; Hasan, I. ; Saunders, A. Should banks be diversified? Evidence from individual bank loan portfolios. 2006 J. Bus.. 79 1355-1412
Adams, R.B. ; Mehran, H. Bank board structure and performance: Evidence for large bank holding companies. 2012 J. Financ. Intermed.. 21 243-267
Agusman, A. ; Cullen, G.S. ; Gasbarro, D. ; Monroe, G.S. ; Zumwalt, J.K. Government intervention, bank ownership and risk-taking during the Indonesian financial crisis. 2014 Pac.-Basin Finance J.. 30 114-131
Anderson, H. ; Calomiris, C.W. ; Jaremski, M. ; Richardson, G. Liquidity risk, bank networks, and the value of joining the federal reserve system. 2018 J. Money Credit Bank.. 50 173-201
Berger, A.N. ; Bouwman, C.H. Bank liquidity creation. 2009 Rev. Financ. Stud.. 22 3779-3837
Bonner, C. ; Eijffinger, S. The impact of the lcr on the interbank money market. 2012 SSRN Electron. J.. -
Borio, C. ; Zhu, H. Capital regulation, risk-taking and monetary policy: a missing link in the transmission mechanism?. 2012 J. Financ. Stab.. 8 236-251
- Breuer, J.B. Problem bank loans, conflicts of interest, and institutions. 2006 J. Financ. Stab.. 2 266-285
Paper not yet in RePEc: Add citation now
Bubeck, J. ; Maddaloni, A. ; Peydró, J.-L. Negative monetary policy rates and systemic banks’ risk-taking: Evidence from the euro area securities register. 2020 J. Money Credit Bank.. 52 197-231
Carbó, S. ; Humphrey, D. ; Maudos, J. ; Molyneux, P. Cross-country comparisons of competition and pricing power in European banking. 2009 J. Int. Money Finance. 28 115-134
- Chen, X. ; Liu, G. ; Liu, Y. ; Zhang, Y. Banks’ liability structure and risk taking: Evidence from a quasi-natural experiment in China. 2022 Finance Res. Lett.. 49 -
Paper not yet in RePEc: Add citation now
Cubillas, E. ; Fonseca, A.R. ; González, F. Banking crises and market discipline: International evidence. 2012 J. Bank. Finance. 36 2285-2298
Danisman, G.O. ; Demirel, P. Bank risk-taking in developed countries: The influence of market power and bank regulations. 2019 J. Int. Financ. Mark. Inst. Money. 59 202-217
Dell’Ariccia, G. ; Marquez, R. Lending booms and lending standards. 2006 J. Finance. 61 2511-2546
Demirgüç-Kunt, A. ; Huizinga, H. Bank activity and funding strategies: The impact on risk and returns. 2010 J. Financ. Econ.. 98 626-650
Demirgüç-Kunt, A. ; Kane, E. ; Laeven, L. Deposit insurance around the world: A comprehensive analysis and database. 2015 J. Financ. Stab.. 20 155-183
- Dias, R. Capital regulation and bank risk-taking–new global evidence. 2021 Account. Finance. 61 847-884
Paper not yet in RePEc: Add citation now
Duan, Y. ; Fan, X. ; Wang, Y. Economic policy uncertainty and bank systemic risk: A cross-country analysis. 2022 Pac.-Basin Finance J.. 75 -
- Esty, B.C. The impact of contingent liability on commercial bank risk taking. 1998 J. Financ. Econ.. 47 189-218
Paper not yet in RePEc: Add citation now
Fahlenbrach, R. ; Stulz, R.M. Bank CEO incentives and the credit crisis. 2011 J. Financ. Econ.. 99 11-26
- Fang, J. ; Lau, C.-K.M. ; Lu, Z. ; Tan, Y. ; Zhang, H. Bank performance in China: A perspective from bank efficiency, risk-taking and market competition. 2019 Pac.-Basin Finance J.. 56 290-309
Paper not yet in RePEc: Add citation now
Golubeva, O. ; Duljic, M. ; Keminen, R. The impact of liquidity risk on bank profitability: some empirical evidence from the European banks following the introduction of Basel III regulations. 2019 J. Account. Manag. Inf. Syst.. 18 455-485
Gorton, G. ; Metrick, A. Securitized banking and the run on repo. 2012 J. Financ. Econ.. 104 425-451
Hahm, J.-H. ; Mishkin, F.S. ; Shin, H.S. ; Shin, K. Macroprudential Policies in Open Emerging Economies. 2012 National Bureau of Economic Research:
Hahm, J.-H. ; Shin, H.S. ; Shin, K. Noncore bank liabilities and financial vulnerability. 2013 J. Money Credit Bank.. 45 3-36
Huang, R. ; Ratnovski, L. The dark side of bank wholesale funding. 2011 J. Financ. Intermed.. 20 248-263
Hugonnier, J. ; Morellec, E. Bank capital, liquid reserves, and insolvency risk. 2017 J. Financ. Econ.. 125 266-285
Ivashina, V. ; Scharfstein, D. Bank lending during the financial crisis of 2008. 2010 J. Financ. Econ.. 97 319-338
Jin, J.Y. ; Kanagaretnam, K. ; Lobo, G.J. ; Mathieu, R. Impact of FDICIA internal controls on bank risk taking. 2013 J. Bank. Finance. 37 614-624
Kandrac, J. ; Schlusche, B. Quantitative easing and bank risk taking: evidence from lending. 2021 J. Money Credit Bank.. 53 635-676
- Khan, M.S. ; Scheule, H. ; Wu, E. Funding liquidity and bank risk taking. 2017 J. Bank. Finance. 82 203-216
Paper not yet in RePEc: Add citation now
Koetter, M. ; Poghosyan, T. The identification of technology regimes in banking: Implications for the market power-fragility nexus. 2009 J. Bank. Finance. 33 1413-1422
- Köhler, M. Which banks are more risky? The impact of business models on bank stability. 2015 J. Financ. Stab.. 16 195-212
Paper not yet in RePEc: Add citation now
Laeven, L. ; Levine, R. Bank governance, regulation and risk taking. 2009 J. Financ. Econ.. 93 259-275
Lu, Y. ; Wang, Y. Bank liquidity hoarding and bank systemic risk: The moderating effect of economic policy uncertainty. 2023 Pac.-Basin Finance J.. 82 -
Martinez-Miera, D. ; Repullo, R. Does competition reduce the risk of bank failure?. 2010 Rev. Financ. Stud.. 23 3638-3664
Mistrulli, P.E. Assessing financial contagion in the interbank market: Maximum entropy versus observed interbank lending patterns. 2011 J. Bank. Finance. 35 1114-1127
Mourouzidou-Damtsa, S. ; Milidonis, A. ; Stathopoulos, K. National culture and bank risk-taking. 2019 J. Financ. Stab.. 40 132-143
Naceur, S.B. ; Marton, K. ; Roulet, C. Basel III and bank-lending: Evidence from the United States and europe. 2018 J. Financ. Stab.. 39 1-27
Saunders, A. ; Strock, E. ; Travlos, N.G. Ownership structure, deregulation, and bank risk taking. 1990 J. Finance. 45 643-654
- Smaoui, H. ; Mimouni, K. ; Miniaoui, H. ; Temimi, A. Funding liquidity risk and banks’ risk-taking: Evidence from islamic and conventional banks. 2020 Pac.-Basin Finance J.. 64 -
Paper not yet in RePEc: Add citation now
Stiglitz, J.E. ; Weiss, A. Credit rationing in markets with imperfect information. 1981 Am. Econ. Rev.. 71 393-410
Tabak, B.M. ; Fazio, D.M. ; Cajueiro, D.O. The effects of loan portfolio concentration on Brazilian banks’ return and risk. 2011 J. Bank. Finance. 35 3065-3076
Vazquez, F. ; Federico, P. Bank funding structures and risk: Evidence from the global financial crisis. 2015 J. Bank. Finance. 61 1-14
Yuan, L. ; Zhong, Y. ; Lu, Z. Foreign strategic investors and bank credit risk in China: Disclosure, finance or management effects?. 2022 Pac.-Basin Finance J.. 73 -