Result Number | Material Type | Add to My Shelf Action | Record Details and Options |
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1 |
Material Type: Book
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Brazen: Big Banks, Swap Mania And The FalloutISBN: 9789813275560 ;ISBN: 9813275561 ;EISBN: 9789813275577 ;EISBN: 981327557X ;DOI: 10.1142/11136#t=tocDigital Resources/Online E-Resources |
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2 |
Material Type: Article
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The effects of efficiency on banks’ market risk: Empirical evidence from ChinaAsian academy of management journal of accounting and finance, 2021-01, Vol.17 (2), p.81-106 [Peer Reviewed Journal]ISSN: 1823-4992 ;EISSN: 2180-4192 ;DOI: 10.21315/aamjaf2021.17.2.4Full text available |
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3 |
Material Type: Article
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The short-term debt choice under asymmetric informationSERIEs : journal of the Spanish Economic Association, 2017-08, Vol.8 (3), p.261-285 [Peer Reviewed Journal]The Author(s) 2017 ;Copyright Springer Science & Business Media Aug 2017 ;ISSN: 1869-4195 ;ISSN: 1869-4187 ;EISSN: 1869-4195 ;DOI: 10.1007/s13209-017-0160-2Full text available |
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4 |
Material Type: Article
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Loan delinquency and macroeconomic conditions: An ARDL and error correction approachAmerican journal of business, 2018-01, Vol.33 (3), p.82-95 [Peer Reviewed Journal]Emerald Publishing Limited 2018 ;ISSN: 1935-5181 ;ISSN: 1935-519X ;EISSN: 1935-5181 ;DOI: 10.1108/AJB-03-2018-0006Full text available |
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5 |
Material Type: Article
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Impact of Investment, Financial and Trade Freedom on Bank’s Risk-TakingStudies in business and economics (Romania), 2021-12, Vol.16 (3), p.5-23 [Peer Reviewed Journal]ISSN: 2344-5416 ;EISSN: 2344-5416 ;DOI: 10.2478/sbe-2021-0041Full text available |
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6 |
Material Type: Article
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Is Economic Freedom a Moderator of the Relationship Between Bank Capital and Profitability?Scientific Annals of Economics and Business, 2022-01, Vol.69 (2), p.273-292 [Peer Reviewed Journal]ISSN: 2501-1960 ;EISSN: 2501-3165 ;DOI: 10.47743/saeb-2022-0016Full text available |
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7 |
Material Type: Article
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How commercial banks adjust capital ratios: Empirical evidence from the USA?Cogent business & management, 2020, Vol.7 (1), p.1-18 [Peer Reviewed Journal]2020 The Author(s). This open access article is distributed under a Creative Commons Attribution (CC-BY) 4.0 license. 2020 ;2020 The Author(s). This open access article is distributed under a Creative Commons Attribution (CC-BY) 4.0 license. This work is licensed under the Creative Commons Attribution License http://creativecommons.org/licenses/by/4.0/ (the “License”). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2331-1975 ;EISSN: 2331-1975 ;DOI: 10.1080/23311975.2020.1859848Full text available |
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8 |
Material Type: Article
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Economics of risk-taking, risk-based capital and profitability: Empirical evidence of Islamic banksAsian academy of management journal of accounting and finance, 2022-07, Vol.18 (1), p.1-31 [Peer Reviewed Journal]ISSN: 1823-4992 ;EISSN: 2180-4192 ;DOI: 10.21315/aamjaf2022.18.1.1Full text available |
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9 |
Material Type: Article
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Investment, Financial, Trade Freedom and Risk-taking: Empirical Evidence from USAEstudios de economía aplicada, 2021-01, Vol.39 (3)ISSN: 1133-3197 ;EISSN: 1697-5731 ;DOI: 10.25115/eea.v39i2.3736Digital Resources/Online E-Resources |
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10 |
Material Type: Article
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How banks adjust capital ratios: the most recent empirical factsQuantitative finance and economics, 2020-01, Vol.4 (3), p.412-429 [Peer Reviewed Journal]ISSN: 2573-0134 ;EISSN: 2573-0134 ;DOI: 10.3934/QFE.2020019Full text available |
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11 |
Material Type: Article
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How Do Bank Capital and Capital Buffer Affect Risk: Empirical Evidence from Large US Commercial BanksJournal of Central Banking Theory and Practice (Podgorica), 2021-05, Vol.10 (2), p.109-131 [Peer Reviewed Journal]2021. This work is published under https://creativecommons.org/licenses/by/4.0/ (the “License”). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2336-9205 ;ISSN: 1800-9581 ;EISSN: 2336-9205 ;DOI: 10.2478/jcbtp-2021-0016Full text available |
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12 |
Material Type: Article
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CROSS-SECTIONAL FACTS ON BANK BALANCE SHEETS OVER THE BUSINESS CYCLECentral Bank review, 2015-05, Vol.15 (2), p.31 [Peer Reviewed Journal]Copyright Ali Hakan KARA, Ph.D. May 2015 ;ISSN: 1303-0701 ;EISSN: 1305-8800Full text available |
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13 |
Material Type: Article
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The Impact of Market Concentration on Bank Risk-Taking: Evidence from a Panel Threshold ModelJournal of the knowledge economy, 2023-12, Vol.14 (4), p.4170-4194 [Peer Reviewed Journal]The Author(s), under exclusive licence to Springer Science+Business Media, LLC, part of Springer Nature 2022 ;The Author(s), under exclusive licence to Springer Science+Business Media, LLC, part of Springer Nature 2022. ;ISSN: 1868-7865 ;EISSN: 1868-7873 ;DOI: 10.1007/s13132-022-01028-4Digital Resources/Online E-Resources |
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14 |
Material Type: Article
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Exploring the dynamics of bank liquidity holding in Islamic and conventional banksInternational journal of Islamic and Middle Eastern finance and management, 2023-04, Vol.16 (3), p.557-575 [Peer Reviewed Journal]Emerald Publishing Limited ;Emerald Publishing Limited. ;ISSN: 1753-8394 ;EISSN: 1753-8408 ;DOI: 10.1108/IMEFM-02-2021-0068Full text available |
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15 |
Material Type: Article
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Macroeconomic shocks and credit risk stress testing the Iranian banking sectorJournal of economic studies (Bradford), 2021-02, Vol.48 (2), p.275-295 [Peer Reviewed Journal]Emerald Publishing Limited ;Emerald Publishing Limited 2020 ;ISSN: 0144-3585 ;EISSN: 1758-7387 ;DOI: 10.1108/JES-11-2019-0498Full text available |
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16 |
Material Type: Article
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IAS 39, income smoothing, and pro-cyclicality: evidence from Hong Kong banksJournal of financial economic policy, 2016-01, Vol.8 (1), p.80-94 [Peer Reviewed Journal]Emerald Group Publishing Limited ;Emerald Group Publishing Limited 2016 ;ISSN: 1757-6385 ;EISSN: 1757-6393 ;DOI: 10.1108/JFEP-05-2015-0026Full text available |
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17 |
Material Type: Article
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Bank Risk and Financial Development: Evidence From Dual Banking CountriesEmerging markets finance & trade, 2020-01, Vol.56 (2), p.286-304 [Peer Reviewed Journal]Copyright © Taylor & Francis Group, LLC ;Copyright © Taylor & Francis Group, LLC. ;ISSN: 1540-496X ;EISSN: 1558-0938 ;DOI: 10.1080/1540496X.2019.1669445Digital Resources/Online E-Resources |
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18 |
Material Type: Article
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Financing Structure and Liquidity Risk: Lesson from Malaysian ExperienceJournal of Central Banking Theory and Practice (Podgorica), 2017-05, Vol.6 (2), p.125-148 [Peer Reviewed Journal]ISSN: 2336-9205 ;EISSN: 2336-9205 ;DOI: 10.1515/jcbtp-2017-0016Full text available |
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19 |
Material Type: Article
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Risk-Taking Behavior and Capital Adequacy in a Mixed Banking System: New Evidence from Malaysia Using Dynamic OLS and Two-Step Dynamic System GMM EstimatorsEmerging markets finance & trade, 2017-01, Vol.53 (1), p.180-198 [Peer Reviewed Journal]Copyright © Taylor & Francis Group, LLC ;Copyright © Taylor & Francis Group, LLC. ;ISSN: 1540-496X ;EISSN: 1558-0938 ;DOI: 10.1080/1540496X.2016.1162151Digital Resources/Online E-Resources |
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20 |
Material Type: Article
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U.S. Banking Sector Operational Losses and the Macroeconomic EnvironmentJournal of money, credit and banking, 2020-02, Vol.52 (1), p.115-144 [Peer Reviewed Journal]2019 The Ohio State University ;2020 The Ohio State University ;ISSN: 0022-2879 ;EISSN: 1538-4616 ;DOI: 10.1111/jmcb.12661Digital Resources/Online E-Resources |