create a website

Bank financing diversification, market structure, and stability in a dual-banking system. (2024). Smolo, Edib ; Bacha, Obiyathulla ; Eho, Mirzet.
In: Pacific-Basin Finance Journal.
RePEc:eee:pacfin:v:86:y:2024:i:c:s0927538x24002129.

Full description at Econpapers || Download paper

Cited: 1

Citations received by this document

Cites: 74

References cited by this document

Cocites: 50

Documents which have cited the same bibliography

Coauthors: 0

Authors who have wrote about the same topic

Citations

Citations received by this document

  1. The role of diversification in stabilizing bank credit over the business cycle. (2024). Chowdhury, Mohammad Ashraful ; Haque, Md Mahmudul ; Eho, Mirzet.
    In: International Review of Finance.
    RePEc:bla:irvfin:v:24:y:2024:i:4:p:793-813.

    Full description at Econpapers || Download paper

References

References cited by this document

  1. Acharya, Viral V. ; Hasan, I. ; Saunders, A. Should banks be diversified? Evidence from individual Bank loan portfolios. 2006 J. Bus.. 79 1355-1412

  2. Al-kayed, L.T. ; Aliani, K.C. Effects of focus versus diversification on bank risk and return: evidence from Islamic banks’ loan portfolios. 2020 J. Islam. Account. Bus. Res.. 11 2155-2168

  3. AlKhouri, R. The effect of diversification on risk and return in banking sector: evidence from the Gulf cooperation council countries. 2019 Int. J. Manag. Financ.. 15 100-128
    Paper not yet in RePEc: Add citation now
  4. Allen, F. ; Gale, D. Competition and financial stability. 2004 J. Money Credit Bank.. 453-480

  5. Amendola, A. ; Barra, C. ; Boccia, M. ; Papaccio, A. Market structure and financial stability: the interaction between profit-oriented and mutual cooperative banks in Italy. 2021 J. Financ. Serv. Res.. 60 235-259

  6. Arellano, M. ; Bond, S. Some tests of specification for panel data: Monte Carlo evidence and an application to employment equations. 1991 Rev. Econ. Stud.. 58 277-297

  7. Arellano, M. ; Bover, O. Another look at the instrumental variable estimation of error-components models. 1995 J. Econ.. 68 29-51

  8. Azmi, W. ; Ali, M. ; Arshad, S. ; Rizvi, S.A.R. Intricacies of competition, stability, and diversification: evidence from dual banking economies. 2019 Econ. Model.. 83 111-126

  9. Bebczuk, R. ; Galindo, A. Financial crisis and sectoral diversification of argentine banks, 1999–2004. 2008 Appl. Financ. Econ.. 18 199-211
    Paper not yet in RePEc: Add citation now
  10. Beck, T. ; Demirgüç-Kunt, A. ; Levine, R. Bank concentration, competition, and crises: first results. 2006 J. Bank. Financ.. 30 1581-1603

  11. Ben Lahouel, B. ; Taleb, L. ; Kočišová, K. ; Ben Zaied, Y. The threshold effects of income diversification on bank stability: an efficiency perspective based on a dynamic network slacks-based measure model. 2023 Ann. Oper. Res.. 330 267-304
    Paper not yet in RePEc: Add citation now
  12. Berger, A.N. ; Hasan, I. ; Korhonen, I. ; Zhou, M. Does diversification increase or decrease bank risk and performance? Evidence on diversification and the risk-return tradeoff in banking. 2010 :

  13. Berger, A.N. ; Klapper, L.F. ; Turk-Ariss, R. Bank competition and financial stability. 2009 J. Financ. Serv. Res.. 35 99-118

  14. Bergh, D.D. ; Lawless, M.W. Portfolio restructuring and limits to hierarchical governance: the effects of environmental uncertainty and diversification strategy. 1998 Organ. Sci.. 9 87-102

  15. Blundell, R. ; Bond, S. Initial conditions and moment restrictions in dynamic panel data models. 1998 J. Econ.. 87 115-143

  16. Boeve, R. ; Duellmann, K. ; Pfingsten, A. Do Specialization Benefits Outweigh Concentration Risks in Credit Portfolios of German Banks?. 2010 :

  17. Bowen, H.P. ; Wiersema, M.F. Foreign-based competition and corporate diversification strategy. 2005 Strateg. Manag. J.. 26 1153-1171
    Paper not yet in RePEc: Add citation now
  18. Boyd, J.H. ; De Nicolo, G. The theory of bank risk taking and competition revisited. 2005 J. Financ.. 60 1329-1343

  19. Boyd, J.H. ; Prescott, E.C. Financial intermediary-coalitions. 1986 J. Econ. Theory. 38 211-232
    Paper not yet in RePEc: Add citation now
  20. Brambor, T. ; Clark, W.R. ; Golder, M. Understanding interaction models: improving empirical analyses. 2006 Polit. Anal.. 14 63-82

  21. Calice, P. ; Leonida, L. ; Muzzupappa, E. Concentration-stability vs concentration-fragility. New cross-country evidence. 2021 J. Int. Financ. Mark. Inst. Money. 74 -

  22. Caminal, R. ; Matutes, C. Market power and banking failures. 2002 Int. J. Ind. Organ.. 20 1341-1361

  23. Chen, Y. ; Shi, Y. ; Wei, X. ; Zhang, L. How does credit portfolio diversification affect banks’ return and risk? Evidence from Chinese listed commercial banks. 2014 Technol. Econ. Dev. Econ.. 20 332-352
    Paper not yet in RePEc: Add citation now
  24. Dang, V.D. A risk-return analysis of loan portfolio diversification in the Vietnamese banking system. 2020 J. Asian Financ. Econ. Bus.. 7 105-115
    Paper not yet in RePEc: Add citation now
  25. Demsetz, R.S. ; Strahan, P.E. Diversification, size, and risk at bank holding companies. 1997 J. Money Credit Bank.. 300-313

  26. Di Patti, E.B. ; Dell’Ariccia, G. Bank competition and firm creation. 2004 J. Money Credit Bank.. 225-251

  27. Diamond, D.W. Financial intermediation and delegated monitoring. 1984 Rev. Econ. Stud.. 51 393-414

  28. Doumpos, M. ; Gaganis, C. ; Pasiouras, F. Bank diversification and overall financial strength: international evidence. 2016 Financ. Mark. Inst. Instrum.. 25 169-213

  29. Elfeituri, H. Banking stability, institutional quality, market concentration, competition and political conflict in MENA. 2022 J. Int. Financ. Mark. Inst. Money. 76 -

  30. Feghali, K. ; Mora, N. ; Nassif, P. Financial inclusion, bank market structure, and financial stability: international evidence. 2021 Q. Rev. Econ. Financ.. 80 236-257

  31. Goetz, M.R. Competition and bank stability. 2018 J. Financ. Intermed.. 35 57-69

  32. Harkati, R. ; Alhabshi, S.M. ; Kassim, S. ; Ariffin, N.M. Market structure and power: comparative empirical evidence from a dual banking system. 2022 Econ. Chang. Restruct.. 55 1815-1873

  33. Huynh, J. ; Dang, V.D. Loan portfolio diversification and bank returns: do business models and market power matter?. 2021 Cogent Econ. Financ.. 9 1891709-

  34. Ibrahim, M.H. ; Rizvi, S.A.R. Bank lending, deposits and risk-taking in times of crisis: a panel analysis of Islamic and conventional banks. 2018 Emerg. Mark. Rev.. 35 31-47

  35. Ibrahim, M.H. ; Salim, K. ; Abojeib, M. ; Yeap, L.W. Structural changes, competition and bank stability in Malaysia’s dual banking system. 2019 Econ. Syst.. 43 111-129

  36. Ismath Bacha, O. The Islamic inter bank money market and a dual banking system: the Malaysian experience. 2008 Int. J. Islam. Middle East. Financ. Manag.. 1 210-226

  37. Jahn, N. ; Memmel, C. ; Pfingsten, A. Banks’ Concentration Versus Diversification in the Loan Portfolio: New Evidence from Germany. 2013 :

  38. Jones, G.R. ; Hill, C.W. Transaction cost analysis of strategy-structure choice. 1988 Strateg. Manag. J.. 9 159-172
    Paper not yet in RePEc: Add citation now
  39. Kabir, M.N. ; Worthington, A.C. The ‘competition–stability/fragility’nexus: a comparative analysis of Islamic and conventional banks. 2017 Int. Rev. Financ. Anal.. 50 111-128
    Paper not yet in RePEc: Add citation now
  40. Kamaruddin, M.I.H. ; Hanefah, M. ; Shafii, Z. ; Salleh, S. Comparative analysis on Shariah governance in Malaysia: SGF 2010, IFSA 2013 and SGPD 2019. 2020 J. Public Admin. Govern.. 10 110-131

  41. Khattak, M.A. ; Alaeddin, O. ; Abojeib, M. Competition-stability relationship in dual banking systems: evidence from efficiency-adjusted market power. 2021 Singapore Econ. Rev.. 1-24
    Paper not yet in RePEc: Add citation now
  42. Khattak, M.A. ; Ali, M. ; Hamid, B.A. ; Islam, M.U. Competition, diversification, and stability in the Indonesian banking system. 2021 Buletin Ekonomi Moneter Dan Perbankan. 24 59-88

  43. Kim, H. ; Batten, J.A. ; Ryu, D. Financial crisis, bank diversification, and financial stability: OECD countries. 2020 Int. Rev. Econ. Financ.. 65 94-104

  44. Klein, P.G. ; Saidenberg, M.R. Organizational structure and the diversification discount: evidence from commercial banking. 2010 J. Ind. Econ.. 58 127-155

  45. 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
  46. Laeven, L. ; Levine, R. Bank governance, regulation and risk taking. 2009 J. Financ. Econ.. 93 259-275

  47. Markowitz, H. PORTFOLIO SELECTION*. 1952 J. Financ.. 7 77-91

  48. Mensi, S. ; Labidi, W. The effect of diversification of banking products on the relationship between market power and financial stability. 2015 Am. J. Econ. Bus. Admin.. 7 -

  49. Muñoz-Mendoza, J.A. ; Sepúlveda-Yelpo, S.M. ; Veloso-Ramos, C.L. ; Delgado-Fuentealba, C.L. Market concentration and income diversification: do they always promote the financial stability of banking industry?. 2020 Revista Finanzas Polít. Econ.. 12 341-365

  50. Nguyen, T.V. ; Phan, A. ; Tran, D.V. Activity strategies, bank stability and policy uncertainty. 2023 J. Econ. Financ.. 47 959-983
    Paper not yet in RePEc: Add citation now
  51. Nickell, S. Biases in dynamic models with fixed effects. 1981 Econometrica. 1417-1426

  52. Paltrinieri, A. ; Dreassi, A. ; Rossi, S. ; Khan, A. Risk-adjusted profitability and stability of Islamic and conventional banks: does revenue diversification matter?. 2020 Glob. Financ. J.. 100517 -
    Paper not yet in RePEc: Add citation now
  53. Ramakrishnan, R.T. ; Thakor, A.V. Information reliability and a theory of financial intermediation. 1984 Rev. Econ. Stud.. 51 415-432

  54. Roodman, D. How to do xtabond2: an introduction to difference and system GMM in Stata. 2009 Stata J.. 9 86-136

  55. Rose, P. ; Hudgins, S. Bank Management and Financial Services. 2006 The McGraw− Hill:
    Paper not yet in RePEc: Add citation now
  56. Rossi, S.P. ; Schwaiger, M.S. ; Winkler, G. How loan portfolio diversification affects risk, efficiency and capitalization: a managerial behavior model for Austrian banks. 2009 J. Bank. Financ.. 33 2218-2226

  57. Sahul Hamid, F. The effect of market structure on banks’ profitability and stability: evidence from ASEAN-5 countries. 2017 Int. Econ. J.. 31 578-598
    Paper not yet in RePEc: Add citation now
  58. Sahul Hamid, F. ; Ibrahim, M.H. Competition, diversification and performance in dual banking: a panel VAR analysis. 2021 Economic Research-Ekonomska Istraživanja. 34 194-220

  59. Sanya, S. ; Wolfe, S. Can banks in emerging economies benefit from revenue diversification?. 2011 J. Financ. Serv. Res.. 40 79-101

  60. Saunders, A. ; Walter, I. Financial architecture, systemic risk, and universal banking. 2012 Fin. Mkts. Portfolio Mgmt.. 26 39-59

  61. Šeho, M. ; Bacha, O.I. ; Smolo, E. The effects of interest rate on Islamic bank financing instruments: cross-country evidence from dual-banking systems. 2020 Pac. Basin Financ. J.. 101292 -

  62. Šeho, M. ; Ibrahim, M.H. ; Mirakhor, A. Does sectoral diversification of loans and financing improve bank returns and risk in dual-banking systems?. 2021 Pac. Basin Financ. J.. 68 -

  63. Šeho, M. ; Shaiban, M.S.M. ; Ghafoor, A. Loan and financing diversification and bank stability in dual-banking systems. 2023 Financ. Res. Lett.. 51 -

  64. Shabir, M. ; Jiang, P. ; Shahab, Y. ; Wang, W. ; Işık, Ö. ; Mehroush, I. Diversification and bank stability: role of political instability and climate risk. 2024 Int. Rev. Econ. Financ.. 89 63-92

  65. Shim, J. Loan portfolio diversification, market structure and bank stability. 2019 J. Bank. Financ.. 104 103-115

  66. Stiroh, K.J. Diversification in banking: is noninterest income the answer?. 2004 J. Money Credit Bank.. 853-882

  67. Stiroh, K.J. ; Rumble, A. The dark side of diversification: the case of US financial holding companies. 2006 J. Bank. Financ.. 30 2131-2161

  68. Sukmana, R. ; Ibrahim, M.H. Restructuring and bank performance in dual banking system. 2021 Signifikan: Jurnal Ilmu Ekonomi. 10 223-247
    Paper not yet in RePEc: Add citation now
  69. Sutrisno, S. ; Widarjono, A. ; Mohamad, M. Does financing diversification improve bank risk? Evidence from Indonesian Islamic rural banks. 2023 Int. J. Econ. Financ. Stud.. 15 103-124
    Paper not yet in RePEc: Add citation now
  70. Tabak, B.M. ; Fazio, D.M. ; Cajueiro, D.O. The effects of loan portfolio concentration on Brazilian banks’ return and risk. 2011 J. Bank. Financ.. 35 3065-3076
    Paper not yet in RePEc: Add citation now
  71. Uhde, A. ; Heimeshoff, U. Consolidation in banking and financial stability in Europe: empirical evidence. 2009 J. Bank. Financ.. 33 1299-1311

  72. Windmeijer, F. A finite sample correction for the variance of linear efficient two-step GMM estimators. 2005 J. Econ.. 126 25-51

  73. Winton, A. . 1999 :
    Paper not yet in RePEc: Add citation now
  74. Wu, Y. Bank diversification and performance: empirical evidence from Japan. 2024 Int. Rev. Financ.. -
    Paper not yet in RePEc: Add citation now

Cocites

Documents in RePEc which have cited the same bibliography

  1. Modeling Financial Networks: a feedback approach. (2016). Tabak, Benjamin ; Silva, Thiago ; Alexandre, Michel ; da Silva, Michel Alexandre.
    In: Working Papers Series.
    RePEc:bcb:wpaper:438.

    Full description at Econpapers || Download paper

  2. Basel III leverage ratio requirement and the probability of bank runs. (2015). Dermine, jean.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:53:y:2015:i:c:p:266-277.

    Full description at Econpapers || Download paper

  3. On the Fundamental Relation Between Equity Returns and Interest Rates. (2014). Choi, Jaewon ; Whitelaw, Robert F. ; Richardson, Matthew P..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:20187.

    Full description at Econpapers || Download paper

  4. Disciplinary tools and bank risk exposure. (2014). Seth, Rama ; faff, robert ; Mohanty, Sunil ; Haq, Mamiza.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:26:y:2014:i:c:p:37-64.

    Full description at Econpapers || Download paper

  5. The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions. (2014). Apergis, Nicholas.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:45:y:2014:i:c:p:61-73.

    Full description at Econpapers || Download paper

  6. Dealing with cross-firm heterogeneity in bank efficiency estimates: Some evidence from Latin America. (2014). Williams, Jonathan ; Molyneux, Philip ; Goddard, John.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:40:y:2014:i:c:p:130-142.

    Full description at Econpapers || Download paper

  7. Loss given default of residential mortgages in a low LTV regime: Role of foreclosure auction process and housing market cycles. (2014). Park, Yun ; Bang, Doowon.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:39:y:2014:i:c:p:192-210.

    Full description at Econpapers || Download paper

  8. Institutional development and bank stability: Evidence from transition countries. (2014). HASAN, IFTEKHAR ; Fang, Yiwei ; Marton, Katherin.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:39:y:2014:i:c:p:160-176.

    Full description at Econpapers || Download paper

  9. The relationship between revenue diversification and bank performance: Do financial structures and financial reforms matter?. (2014). Lee, Chien-Chiang ; Yang, Shih-Jui ; Hsieh, Meng-Fen.
    In: Japan and the World Economy.
    RePEc:eee:japwor:v:29:y:2014:i:c:p:18-35.

    Full description at Econpapers || Download paper

  10. Bank valuation in new EU member countries. (2014). HASAN, IFTEKHAR ; Fang, Yiwei ; Waisman, Maya ; Marton, Katherin.
    In: Economic Systems.
    RePEc:eee:ecosys:v:38:y:2014:i:1:p:55-72.

    Full description at Econpapers || Download paper

  11. THE EFFECT OF REVENUE AND GEOGRAPHIC DIVERSIFICATION ON BANK PERFORMANCE. (2013). Venturelli, Valeria ; Brighi, Paola.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
    RePEc:mod:wcefin:13103.

    Full description at Econpapers || Download paper

  12. Financial derivatives, opacity, and crash risk: Evidence from large US banks. (2013). Shao, Yingying ; Dewally, Michael.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:565-577.

    Full description at Econpapers || Download paper

  13. The random parameters stochastic frontier cost function and the effectiveness of public policy: Evidence from bank restructuring in Mexico. (2013). Williams, Jonathan ; Barros, Carlos Pestana.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:30:y:2013:i:c:p:98-108.

    Full description at Econpapers || Download paper

  14. Dealing with Cross-Firm Heterogeneity in Bank Efficiency Estimates: Some evidence from Latin America. (2013). Williams, Jonathan ; Molyneux, Philip ; Goddard, John.
    In: Working Papers.
    RePEc:bng:wpaper:13011.

    Full description at Econpapers || Download paper

  15. Bank Efficiency and Executive Compensation. (2013). Williams, Jonathan ; King, Timothy.
    In: Working Papers.
    RePEc:bng:wpaper:13009.

    Full description at Econpapers || Download paper

  16. Income Diversification and Bank Performance: Evidence From Turkish Banking Sector. (2013). Yanik, Serhat ; Ayturk, Yusuf ; Gurbuz, Ali Osman.
    In: Journal of BRSA Banking and Financial Markets.
    RePEc:bdd:journl:v:7:y:2013:i:1:p:9-29.

    Full description at Econpapers || Download paper

  17. Were multinational banks taking excessive risks before the recent financial crisis?. (2012). Pozzolo, Alberto ; Gulamhussen, Mohamed Azzim ; Pinheiro, Carlos.
    In: Economics & Statistics Discussion Papers.
    RePEc:mol:ecsdps:esdp12067.

    Full description at Econpapers || Download paper

  18. The flight home effect: Evidence from the syndicated loan market during financial crises. (2012). Laeven, Luc ; Giannetti, Mariassunta.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:104:y:2012:i:1:p:23-43.

    Full description at Econpapers || Download paper

  19. Financial integration, specialization, and systemic risk. (2012). Hartmann, Philipp ; Fecht, Falko ; Gruner, Hans Peter.
    In: Journal of International Economics.
    RePEc:eee:inecon:v:88:y:2012:i:1:p:150-161.

    Full description at Econpapers || Download paper

  20. Efficiency and market power in Latin American banking. (2012). Williams, Jonathan.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:8:y:2012:i:4:p:263-276.

    Full description at Econpapers || Download paper

  21. Were Multinational Banks Taking Excessive Risks Before the Recent Financial Crisis?. (2012). Pozzolo, Alberto ; Gulamhussen, Mohamed Azzim ; Pinheiro, Carlos.
    In: Development Working Papers.
    RePEc:csl:devewp:332.

    Full description at Econpapers || Download paper

  22. Were multinational banks taking excessive risks before the recent financial crisis?. (2012). Pozzolo, Alberto ; Gulamhussen, Mohamed Azzim ; Pinheiro, Carlos.
    In: Mo.Fi.R. Working Papers.
    RePEc:anc:wmofir:69.

    Full description at Econpapers || Download paper

  23. The Valuation Effects of Geographic Diversification: Evidence from U.S. Banks. (2011). Levine, Ross ; Laeven, Luc ; Goetz, Martin.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17660.

    Full description at Econpapers || Download paper

  24. Revenue diversification in emerging market banks: implications for financial performance. (2011). Ben Gamra, Saoussen ; Plihon, Dominique.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00598136.

    Full description at Econpapers || Download paper

  25. The impact of European bank mergers on bidder default risk. (2011). Hagendorff, Jens ; Vallascas, Francesco.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:4:p:902-915.

    Full description at Econpapers || Download paper

  26. The impact of management and board ownership on profitability in banks with different strategies. (2011). Westman, Hanna.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:12:p:3300-3318.

    Full description at Econpapers || Download paper

  27. The effects of loan portfolio concentration on Brazilian banks return and risk. (2011). Tabak, Benjamin ; Fazio, Dimas ; Cajueiro, Daniel.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:11:p:3065-3076.

    Full description at Econpapers || Download paper

  28. A smoke screen theory of financial intermediation. (2011). Breton, Régis.
    In: Working papers.
    RePEc:bfr:banfra:356.

    Full description at Econpapers || Download paper

  29. Is foreign-bank efficiency in financial centers driven by homecountry characteristics?. (2011). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Guarda, Paolo ; Curi, Claudia.
    In: BCL working papers.
    RePEc:bcl:bclwop:bclwp068.

    Full description at Econpapers || Download paper

  30. Revenue diversification in emerging market banks: implications for financial performance. (2011). Ben Gamra, Saoussen ; Plihon, Dominique.
    In: Papers.
    RePEc:arx:papers:1107.0170.

    Full description at Econpapers || Download paper

  31. An Empirical Analysis on Board Monitoring Role and Loan Portfolio Quality Measurement in Banks. (2010). Cotugno, Matteo ; Stefanelli, Valeria.
    In: MPRA Paper.
    RePEc:pra:mprapa:29766.

    Full description at Econpapers || Download paper

  32. The effects of focus versus diversification on bank performance: Evidence from Chinese banks. (2010). Zhou, Mingming ; HASAN, IFTEKHAR ; Berger, Allen N..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:7:p:1417-1435.

    Full description at Econpapers || Download paper

  33. The anatomy of bank diversification. (2010). Elsas, Ralf ; Holzhauser, Markus ; Hackethal, Andreas.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:6:p:1274-1287.

    Full description at Econpapers || Download paper

  34. Market Strucutre, Screening Activity and Bank Lending Behavior. (2010). Papanikolaou, Nikolaos.
    In: LSF Research Working Paper Series.
    RePEc:crf:wpaper:10-11.

    Full description at Econpapers || Download paper

  35. Do multinational banks create or destroy economic value?. (2010). Pozzolo, Alberto ; Gulamhussen, Mohamed Azzim ; Pinheiro, Carlos.
    In: Mo.Fi.R. Working Papers.
    RePEc:anc:wmofir:36.

    Full description at Econpapers || Download paper

  36. The strategic behavior of banks during a financial crisis; evidence from the syndicated loan market. (2009). Van Horen, Neeltje ; De Haas, Ralph.
    In: MPRA Paper.
    RePEc:pra:mprapa:14164.

    Full description at Econpapers || Download paper

  37. How loan portfolio diversification affects risk, efficiency and capitalization: A managerial behavior model for Austrian banks. (2009). Rossi, Stefania P. S., ; Schwaiger, Markus S. ; Winkler, Gerhard.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:33:y:2009:i:12:p:2218-2226.

    Full description at Econpapers || Download paper

  38. Liberalization, Corporate Governance, and Savings Banks. (2009). Udell, Gregory ; Norden, Lars ; Illueca, Manuel.
    In: Mo.Fi.R. Working Papers.
    RePEc:anc:wmofir:17.

    Full description at Econpapers || Download paper

  39. Financial integration, specialization and systemic risk. (2008). Hartmann, Philipp ; Fecht, Falko ; Gruner, Hans Peter.
    In: Discussion Paper Series 1: Economic Studies.
    RePEc:zbw:bubdp1:7562.

    Full description at Econpapers || Download paper

  40. The homogenization of the financial system and financial crises. (2008). Wagner, Wolf.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:17:y:2008:i:3:p:330-356.

    Full description at Econpapers || Download paper

  41. Mergers and acquisitions and bank performance in Europe: The role of strategic similarities. (2008). Marques-Ibanez, David ; Altunbas, Yener.
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:60:y:2008:i:3:p:204-222.

    Full description at Econpapers || Download paper

  42. The diversification and financial performance of US credit unions. (2008). Wilson, John ; Goddard, John ; Wilson, John O. S., ; McKillop, Donal.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:9:p:1836-1849.

    Full description at Econpapers || Download paper

  43. The Effects of Diversification on Banks´ Expected Returns. (2008). Gutiérrez Rueda, Javier ; Gonzalez, Angela ; Estrada, Dairo ; Arbelaez, Angela Gonzalez .
    In: Borradores de Economia.
    RePEc:col:000094:004991.

    Full description at Econpapers || Download paper

  44. The Effects of Diversification on Banks’ Expected Returns. (2008). Gutiérrez Rueda, Javier ; Gonzalez, Angela ; Estrada, Dairo ; Arbelaez, Angela Gonzalez .
    In: Borradores de Economia.
    RePEc:bdr:borrec:524.

    Full description at Econpapers || Download paper

  45. Measuring concentration risk for regulatory purposes. (2007). Gurtler, Marc ; Vohringer, Clemens ; Hibbeln, Martin.
    In: Working Papers.
    RePEc:zbw:tbsifw:if26v4.

    Full description at Econpapers || Download paper

  46. Does Diversification Improve the Performance of German Banks? Evidence from Individual Bank Loan Portfolios. (2007). von Westernhagen, Natalja ; Hayden, Evelyn ; Porath, Daniel.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:32:y:2007:i:3:p:123-140.

    Full description at Econpapers || Download paper

  47. Multiple-bank lending: Diversification and free-riding in monitoring. (2007). CERASI, VITTORIA ; Carletti, Elena ; Daltung, Sonja.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:16:y:2007:i:3:p:425-451.

    Full description at Econpapers || Download paper

  48. Diversification and the cost of debt of bank holding companies. (2007). Deng, Saiying ; Elyasiani, Elyas ; Mao, Connie X..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:31:y:2007:i:8:p:2453-2473.

    Full description at Econpapers || Download paper

  49. Does the stock market value bank diversification?. (2007). Vander Vennet, Rudi ; De Jonghe, Olivier ; Baele, Lieven.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:31:y:2007:i:7:p:1999-2023.

    Full description at Econpapers || Download paper

  50. Finance and Efficiency: Do Bank Branching Regulations Matter?. (2007). Sturgess, Jason ; Imbs, Jean ; Acharya, Viral.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:6202.

    Full description at Econpapers || Download paper

Coauthors

Authors registered in RePEc who have wrote about the same topic

Report date: 2025-09-24 22:27:46 || Missing content? Let us know

CitEc is a RePEc service, providing citation data for Economics since 2001. Last updated August, 3 2024. Contact: Jose Manuel Barrueco.