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Asset Encumbrance and Bank Risk: Theory and First Evidence from Public Disclosures in Europe
SSRN Electronic Journal
◽
10.2139/ssrn.3911225
◽
2021
◽
Author(s):
Albert Banal-Estanol
◽
Enrique Benito
◽
Dmitry Khametshin
◽
Jianxing Wei
Keyword(s):
Risk Theory
◽
Bank Risk
◽
Public Disclosures
Download Full-text
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References
Market Discipline of Bank Risk: Theory and Evidence
10.20955/r.72.3-18
◽
1990
◽
Vol 72
(1)
◽
Cited By ~ 14
Author(s):
R. Alton Gilbert
Keyword(s):
Market Discipline
◽
Risk Theory
◽
Bank Risk
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Factors Affecting Bank Risk-Taking: Evidence from Southeast Asian Countries
Journal of Economic Development
◽
10.24311/jed/2016.23.2.08
◽
2016
◽
Vol 23
(2)
◽
pp. 120-136
Author(s):
NGUYEN THANH LIEM
◽
TRAN HUNG SON
◽
HOANG TRUNG NGHIA
Keyword(s):
Risk Taking
◽
Southeast Asian
◽
Bank Risk
◽
Asian Countries
◽
Factors Affecting
◽
Southeast Asian Countries
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The Strategic Underreporting of Bank Risk
CFA Digest
◽
10.2469/dig.v48.n5.4
◽
2018
◽
Vol 48
(5)
◽
Author(s):
Servaas Houben
Keyword(s):
Bank Risk
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Exports of SMEs against Risk? Theory and Evidence from Foreign Exchange Risk Insurance Schemes in Korea
10.35611/jkt.2019.23.5.87
◽
2019
◽
Vol 23
(5)
◽
pp. 87-101
Author(s):
Seo-Young Lee
Keyword(s):
Foreign Exchange
◽
Risk Theory
◽
Foreign Exchange Risk
◽
Exchange Risk
◽
Risk Insurance
Download Full-text
Supervisory bank risk early warning modeling: an examiner’s first line of defense
The Journal of Credit Risk
◽
10.21314/jcr.2020.270
◽
2020
◽
Vol 16
(3)
◽
pp. 75-100
Author(s):
Christopher Henderson
◽
Shaohui Jia
◽
Charles Mattioli
Keyword(s):
Early Warning
◽
Bank Risk
◽
First Line
Download Full-text
Bank Risk Regulation and the Credit Crunch
SSRN Electronic Journal
◽
10.2139/ssrn.1146947
◽
2008
◽
Cited By ~ 1
Author(s):
Simona Mihai Yiannaki
Keyword(s):
Bank Risk
◽
Credit Crunch
◽
Risk Regulation
Download Full-text
Bank Market Power Rents and Risk: Theory and Measurement
SSRN Electronic Journal
◽
10.2139/ssrn.1639387
◽
2010
◽
Cited By ~ 7
Author(s):
Gianni De Nicolo
◽
Rima Turk Ariss
Keyword(s):
Market Power
◽
Risk Theory
Download Full-text
Market Discipline of Bank Risk and the Too-Big-To-Fail Protection: Evidence from Risk Management Decisions
SSRN Electronic Journal
◽
10.2139/ssrn.1657836
◽
2010
◽
Author(s):
Mohamed Belkhir
Keyword(s):
Risk Management
◽
Market Discipline
◽
Bank Risk
◽
Too Big To Fail
◽
Management Decisions
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The Effect of Holding Company Affiliation on Bank Risk and the 2008 Financial Crisis
SSRN Electronic Journal
◽
10.2139/ssrn.1664105
◽
2010
◽
Author(s):
Edward R. Lawrence
◽
Fernando Patterson
◽
Arun J. Prakash
Keyword(s):
Financial Crisis
◽
Bank Risk
◽
2008 Financial Crisis
◽
Holding Company
◽
The 2008 Financial Crisis
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Asset Securitization and Bank Risk Taking
SSRN Electronic Journal
◽
10.2139/ssrn.1784046
◽
2011
◽
Cited By ~ 1
Author(s):
Lai Van Vo
◽
Huong Thi Thu Le
Keyword(s):
Risk Taking
◽
Bank Risk
◽
Asset Securitization
Download Full-text
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