| A contemporary survey of islamic banking literature |
23 |
| Policy uncertainty, investment, and the cost of capital |
21 |
| Syndication, interconnectedness, and systemic risk |
20 |
| Bank capital, institutional environment and systemic stability |
13 |
| Identifying excessive credit growth and leverage |
12 |
| SMEs and access to bank credit: Evidence on the regional propagation of the financial crisis in the UK |
11 |
| Financial stability in Europe: Banking and sovereign risk |
11 |
| Bank lending and systemic risk: A financial-real sector network approach with feedback |
10 |
| Economic policy uncertainty and banks' loan pricing |
10 |
| Volatile capital flows and economic growth: The role of banking supervision |
10 |
| Multiplex interbank networks and systemic importance: An application to European data |
9 |
| The missing links: A global study on uncovering financial network structures from partial data |
8 |
| Bank capital buffers around the world: Cyclical patterns and the effect of market power |
8 |
| The effect of the political connections of government bank CEOs on bank performance during the financial crisis |
8 |
| National culture and bank risk-taking |
8 |
| Shareholder protection and bank executive compensation after the global financial crisis |
7 |
| Assessing macroprudential tools in OECD countries within a cointegration framework |
7 |
| Basel III and bank-lending: Evidence from the United States and Europe |
7 |
| The impact of loan loss provisioning on bank capital requirements |
7 |
| Contrasting financial and business cycles: Stylized facts and candidate explanations |
7 |
| Measuring the propagation of financial distress with Granger-causality tail risk networks |
7 |
| Benefits and costs of a higher bank leverage ratio |
7 |
| Network linkages to predict bank distress |
7 |
| Financial networks and stress testing: Challenges and new research avenues for systemic risk analysis and financial stability implications |
7 |
| How does risk flow in the credit default swap market? |
7 |
| Measuring sovereign contagion in Europe |
7 |
| Interconnectedness as a source of uncertainty in systemic risk |
6 |
| Does machine learning help us predict banking crises? |
6 |
| Can bubble theory foresee banking crises? |
6 |
| Measuring contagion risk in international banking |
6 |
| Liquidity creation performance and financial stability consequences of Islamic banking: Evidence from a multinational study |
6 |
| Fishing the Corporate Social Responsibility risk factors |
5 |
| The dark side of stress tests: Negative effects of information disclosure |
5 |
| Post-crisis regulatory reform in banking: Address insolvency risk, not illiquidity! |
5 |
| Optimal capital, regulatory requirements and bank performance in times of crisis: Evidence from France |
5 |
| Financial stability in networks of financial institutions and market infrastructures |
5 |
| Information contagion and systemic risk |
5 |
| Interest rate pass-through in the euro area: Financial fragmentation, balance sheet policies and negative rates |
5 |
| Identifying central bank liquidity super-spreaders in interbank funds networks |
4 |
| Bank value and geographic diversification: regional vs global |
4 |
| Explaining the cyclical volatility of consumer debt risk using a heterogeneous agents model: The case of Chile |
4 |
| Measuring systemic risk across financial market infrastructures |
4 |
| Banking crises and crisis dating: Disentangling shocks and policy responses |
4 |
| Crisis, contagion and international policy spillovers under foreign ownership of banks |
4 |
| Central bank communication and financial markets: New high-frequency evidence |
4 |
| Do different forms of government ownership matter for bank capital behavior? Evidence from China |
4 |
| Can parents protect their children? Risk comparison analysis between affiliates of multi- and single-bank holding companies |
3 |
| What influences banks' choice of credit risk management practices? Theory and evidence |
3 |
| Information sharing, credit booms and financial stability: Do developing economies differ from advanced countries? |
3 |
| Time to buy or just buying time? Lessons from October 2008 for the cross-border bailout of banks |
3 |