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Research Article

Charter value, risk-taking and systemic risk in banking before and after the global financial crisis of 2007-2008

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Dat T Nguyen & Tu DQ Le. (2022) The interrelationships between bank risk and charter value in ASIAN-5. Journal of Applied Economics 25:1, pages 1182-1199.
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Alin Marius Andrieș & Nicu Sprincean. (2021) Cyclical behaviour of systemic risk in the banking sector. Applied Economics 53:13, pages 1463-1497.
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Articles from other publishers (9)

Daniel Ofori-Sasu, Elikplimi Komla Agbloyor, Emmanuel Sarpong-Kumankoma & Joshua Yindenaba Abor. (2024) Threshold effect of bank governance on risk-taking behaviours of banks; the role of regulatory framework in Africa. SN Business & Economics 4:5.
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Xiaoming Zhang, Wenzhe Zhang & Chien‐Chiang Lee. (2024) Bank leverage and systemic risk: Impact of bank risk‐taking and inter‐bank business. International Journal of Finance & Economics.
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Meixu Ren, Jingmei Zhao, Konglin Ke & Yidong Li. (2023) Bank homogeneity and risk-taking: Evidence from China. The Quarterly Review of Economics and Finance 92, pages 142-154.
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Ken-Yien Leong, Mohamed Ariff, Zarei Alireza & M. Ishaq Bhatti. (2022) Bank stock valuation theories: do they explain prices based on theories?. International Journal of Managerial Finance 19:2, pages 331-350.
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Dat T. Nguyen & Tu Le. (2022) The interrelationships between bank risk and market discipline in Southeast Asia. Studies in Economics and Finance 40:2, pages 354-372.
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Alireza Ebrahim, Natalya Schenck & Sebastian Bautista. (2023) Bank Charter Values and Operational Risk. SSRN Electronic Journal.
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Yassine Bakkar. (2023) Climate Risk and Bank Capital Structure. SSRN Electronic Journal.
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Nicholas Apergis, Ahmet F. Aysan & Yassine Bakkar. (2022) Borrower- and lender-based macroprudential policies: what works best against bank systemic risk?. Journal of International Financial Markets, Institutions and Money, pages 101648.
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Yassine Bakkar & Annick Pamen Nyola. (2021) Internationalization, foreign complexity and systemic risk: Evidence from European banks. Journal of Financial Stability 55, pages 100892.
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