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FINANCIAL ECONOMICS

Geographic loan diversification and bank risk: A cross-country analysis

, & | (Reviewing editor)
Article: 1809120 | Received 05 May 2020, Accepted 05 Aug 2020, Published online: 17 Aug 2020

Keep up to date with the latest research on this topic with citation updates for this article.

Read on this site (10)

Tu DQ Le, Trang NT Ho, Dat T Nguyen & Thanh Ngo. (2022) Intellectual capital – bank efficiency nexus: evidence from an emerging market. Cogent Economics & Finance 10:1.
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Krishnan Chandramohan, CA Dipti Lunawat & CA Ajay Lunawat. (2022) The impact of diversification on bank stability in India. Cogent Business & Management 9:1.
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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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Baah Aye Kusi, Lord Mensah & Elikplimi Agbloyor. (2022) Bank Deposit Mobilization, Loan Advancement and Financial Stability: The Role of Bank Branches in an Emerging Market. Journal of African Business 23:4, pages 887-906.
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Khanh Hoang, Liem Nguyen & Son Tran. (2021) Multimarket Contact, Income Diversification and Bank Performance. International Journal of the Economics of Business 28:3, pages 439-455.
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Tin H Ho, Tu DQ Le & Dat T Nguyen. (2021) Abnormal loan growth and bank risk-taking in Vietnam: A quantile regression approach. Cogent Business & Management 8:1.
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Tu D. Q. Le & Dat T. Nguyen. (2020) Intellectual capital and bank profitability: New evidence from Vietnam. Cogent Business & Management 7:1.
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Articles from other publishers (6)

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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Tu DQ. Le, Tin H. Ho, Dat T. Nguyen & Thanh Ngo. (2022) A cross-country analysis on diversification, Sukuk investment, and the performance of Islamic banking systems under the COVID-19 pandemic. Heliyon 8:3, pages e09106.
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Kalluru Siva Reddy. (2021) Are Banks in India Diversified Enough, Geographically, Across States and Economic Sectors?. Review of Development and Change 26:1, pages 83-103.
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Dat T. Nguyen, Tu D. Q. Le & Tin H. Ho. (2021) Intellectual Capital and Bank Risk in Vietnam—A Quantile Regression Approach. Journal of Risk and Financial Management 14:1, pages 27.
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Tu Le. (2021) Multimarket contacts and bank profitability: Do diversification and bank ownership matter?. SSRN Electronic Journal.
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Tu Le. (2021) Can foreign ownership reduce bank risk? Evidence from Vietnam. SSRN Electronic Journal.
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