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Deposits and bank capital structure. (2015). Marquez, Robert ; Carletti, Elena ; Allen, Franklin.
In: Journal of Financial Economics.
RePEc:eee:jfinec:v:118:y:2015:i:3:p:601-619.

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  1. Why do banks issue equity?. (2024). Vu, Tuyet Nhung ; Liu, Hong ; He, Liangliang.
    In: Research in International Business and Finance.
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  2. Risk contribution to deposit insurance: Evidence from commercial and cooperative banks in the Eurozone. (2024). Martinez, Eduardo Trigo ; Urea, Antonio Partal ; Fernandez-Aguado, Pilar Gomez.
    In: Economic Analysis and Policy.
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  3. The impact of bank mergers on corporate tax aggressiveness. (2024). Mishra, Tapas ; Song, Wei ; Chen, Jie ; Zhang, Zhuang.
    In: Journal of Corporate Finance.
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  4. Deposit Insurance Premiums and Bank Risk. (2023). Rezende, Marcelo ; Kim, Edward T.
    In: Review of Corporate Finance Studies.
    RePEc:oup:rcorpf:v:12:y:2023:i:2:p:291-325..

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  5. Market Freeze and Bank Capital Structure Heterogeneity. (2023). Thakor, Anjan V ; Song, Fenghua.
    In: Management Science.
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  6. COVID-19, bank risk, and capital regulation: The aggregate shock and social distancing. (2023). Tseng, Ping-Lun ; Guo, Wen-Chung.
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  7. Stock market liquidity and bank stability. (2023). Samarasinghe, Ama.
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  8. Firm-bank linkages and optimal policies after a rare disaster. (2023). Villacorta, Alonso ; Segura, Anatoli.
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  9. The paradox of safe asset creation. (2023). Villacorta, Alonso ; Segura, Anatoli.
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  11. Eliminating the Tax Shield through Allowance for Corporate Equity: Cross?Border Credit Supply Effects. (2022). Zhai, Wei ; Horvath, Balint L ; Biswas, Sonny.
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  13. Corporate Tax Shields and Capital Structure: Levelling the Playing Field in Debt vs Equity Finance. (2022). Whyte, Kemar ; Cao, Yifei.
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  14. Fintech, Credit Market Competition, and Bank Asset Quality. (2022). Guo, Wen-Chung ; Tseng, Ping-Lun.
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  15. The mediating role of competition on deposit insurance and the risk-taking of banks in ASEAN countries. (2022). Sok-Gee, Chan ; Isa, Che Ruhana ; Pervin, Sajeda ; Hassan, Kabir M ; Hanifa, Abu.
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  16. Ethics, capital and talent competition in banking. (2022). Thakor, Anjan ; Song, Fenghua.
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  17. Bank capital structure and regulation: Overcoming and embracing adverse selection. (2022). Koufopoulos, Kostas ; Biswas, Sonny.
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  18. Bank levy and household risk-aversion. (2022). Papageorgiou, Stylianos.
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  19. Does bank capital reduce liquidity creation?. (2022). Haq, Mamiza ; Evans, Joshua J.
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  20. Surety bonds and moral hazard in banking. (2022). Samartin, Margarita ; Hasman, Augusto ; Dwyer, Gerald P.
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  21. Liquidity and bank capital structure. (2022). Thornton, John H ; Sorokina, Nonna ; Patel, Ajay.
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  23. Does subsidiary bank failure affect parents’ capital decisions? Evidence from US bank holding companies. (2022). Wang, William Senyu.
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  24. Bank risk-taking and impaired monetary policy transmission. (2022). Schliephake, Eva ; Koenig, Philipp J.
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  26. Stock market liquidity and traditional sources of bank business. (2022). Uylangco, Katherine ; Samarasinghe, Ama.
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  27. Bank risk-taking and impaired monetarypolicy transmission. (2021). Schliephake, Eva ; Koenig, Philipp J.
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  28. The leverage effect of bank disclosures. (2021). Pothier, David ; Laux, Christian ; Konig, Philipp Johann.
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  29. Deposit insurance and reinsurance. (2021). Gersbach, Hans ; Haller, Hans ; Britz, Volker.
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  30. Supervisory Incentives in a Banking Union. (2021). Marquez, Robert ; Dellariccia, Giovanni ; Carletti, Elena.
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  32. Did Basel regulation cause a significant procyclicality?. (2021). Shimizu, Katsutoshi ; Ly, Kim Cuong.
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  33. Bail-in vs bail-out: Bank resolution and liability structure. (2021). Tarelli, Andrea ; Sbuelz, Alessandro ; Leanza, Luca.
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  34. Impact of Financial Sector Opacity on the Capital Structure Choice of Asian Banks. (2021). Nishiyama, Shin-Ichi ; Mohammad, Khalil Ullah.
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  35. Sovereign risk and bank fragility. (2020). Mankart, Jochen ; Anand, Kartik.
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  36. Interbank borrowing and lending between financially constrained banks. (2020). Dietrich, Diemo ; Hauck, Achim.
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  37. Bank capital, fire sales, and the social value of deposits. (2020). Gale, Douglas ; Yorulmazer, Tanju.
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  38. Deposit insurance and the coexistence of commercial and shadow banks. (2020). Singhania, Rish ; LeRoy, Stephen.
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  39. Bank Characteristics Effect on Capital Structure: Evidence from PMG and CS-ARDL. (2020). Rjoub, Husam ; Erulgen, Ahmet ; Adalier, Ahmet.
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  40. Capital regulation, deposit insurance and bank risk: International evidence from normal and crisis periods. (2020). Ashraf, Badar Nadeem ; Qian, Ningyu ; Jiang, Chonghui ; Zheng, Changjun.
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  41. Financial institutions, asymmetric information and capital structure adjustments. (2020). Ripamonti, Alexandre.
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  42. The redistributive effects of bank capital regulation. (2020). Marquez, Robert ; Carletti, Elena ; Petriconi, Silvio.
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  43. A general equilibrium theory of banks capital structure. (2020). Gottardi, Piero ; Gale, Douglas.
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  44. The role of bank funding in systematic risk transmission. (2020). Satchell, Stephen ; Muijsson, Cherry.
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  45. Demand for safety, risky loans: A model of securitization. (2020). Villacorta, Alonso ; Velez, Anatoli Segura.
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  46. Size?conditioned mandatory capital adequacy disclosure and bank intermediation. (2020). faff, robert ; Zelenyuk, Natalya ; Pathan, Shams.
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  47. Demand for safety, risky loans: A model of securitization. (2020). Villacorta, Alonso ; Segura, Anatoli.
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  48. The financial crisis and the shadow price of bank capital. (2019). Staikouras, Christos ; Margaritis, Dimitris ; Hasannasab, Maryam.
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  49. A dynamic model of bank behaviour under multiple regulatory constraints. (2019). Salleo, Carmelo ; Daminato, Claudio ; Behn, Markus.
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  50. The interdependence of bank capital and liquidity. (2019). Leonello, Agnese ; Goldstein, Itay ; Carletti, Elena.
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  51. Implications of bank regulation for loan supply and bank stability: A dynamic perspective. (2018). Dietrich, Diemo ; Bucher, Monika ; Hauck, Achim.
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  52. Did Basel regulations cause a significant procyclicality?. (2018). Ly, Kim Cuong ; Shimizu, Katsutoshi.
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  53. Dynamic Bank Capital Regulation in Equilibrium. (2018). Gale, Douglas ; Gamba, Andrea ; Lucchetta, Marcella.
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  57. Financing as a supply chain: The capital structure of banks and borrowers. (2018). Gornall, Will ; Strebulaev, Ilya A.
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  58. Liquidity Requirements and Bank Deposits: Evidence from Ethiopia. (2018). Limodio, Nicola ; Strobbe, Francesco.
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  59. The redistributive effects of bank capital regulation. (2018). Petriconi, Silvio ; Marquez, Roberto ; Carletti, Elena.
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  66. Raising capital when the going gets tough: U.S. bank equity issuance from 2001 to 2014. (2016). Sengupta, Rajdeep ; Black, Lamont K ; Floros, Ioannis .
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  71. Cheap But Flighty: How Global Imbalances Create Financial Fragility. (2015). Perotti, Enrico ; Ahnert, Toni.
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  4. Ultimate recovery mixtures. (2014). Altman, Edward I. ; Kalotay, Egon A..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:40:y:2014:i:c:p:116-129.

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  5. Predicting restaurant financial distress using decision tree and AdaBoosted decision tree models. (2014). Upneja, Arun ; Kim, Soo Y..
    In: Economic Modelling.
    RePEc:eee:ecmode:v:36:y:2014:i:c:p:354-362.

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  6. Distressed Acquisitions. (2014). Servaes, Henri ; Meier, Jean-Marie.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:10093.

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  7. Credit Contagion in Financial Markets: A Network-Based Approach. (2013). Steinbacher, Mitja.
    In: MPRA Paper.
    RePEc:pra:mprapa:49616.

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  8. Creditor recovery: the macroeconomic dependence of industry equilibrium. (2013). Mora, Nada.
    In: Research Working Paper.
    RePEc:fip:fedkrw:rwp13-06.

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  9. Estimating Default and Recovery Rate Correlations. (2013). Witzany, Jiří.
    In: Working Papers IES.
    RePEc:fau:wpaper:wp2013_03.

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  10. Growth options, macroeconomic conditions, and the cross section of credit risk. (2013). Wagner, Alexander ; Arnold, Marc ; Westermann, Ramona .
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:107:y:2013:i:2:p:350-385.

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  11. Improvements in loss given default forecasts for bank loans. (2013). Gurtler, Marc ; Hibbeln, Martin .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:7:p:2354-2366.

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  12. Effects of debt collection practices on loss given default. (2013). Han, Chulwoo ; Jang, Youngmin .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:1:p:21-31.

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  13. Implied Severity Density Estimation: An Extended Semiparametric Method to Compute Credit Value at Risk. (2012). Alvarez, Susana ; Baixauli, J..
    In: Computational Economics.
    RePEc:kap:compec:v:40:y:2012:i:2:p:115-129.

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  14. Fire sales and the financial accelerator. (2012). Cook, David ; Choi, Woon Gyu.
    In: Journal of Monetary Economics.
    RePEc:eee:moneco:v:59:y:2012:i:4:p:336-351.

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  15. Options-based structural model estimation of bond recovery rates. (2012). Mason, Joseph R. ; Cangemi, Robert R. ; Pagano, Michael S..
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:21:y:2012:i:3:p:473-506.

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  16. Information asymmetry and bank regulation: Can the spread of debt contracts be explained by recovery rates?. (2012). Ozdemir, Bogie ; Chang, Yuanchen ; Liu, Wenchien ; Miu, Peter .
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:21:y:2012:i:1:p:123-150.

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  17. The seeds of a crisis: A theory of bank liquidity and risk taking over the business cycle. (2012). Naqvi, Hassan ; Acharya, Viral.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:106:y:2012:i:2:p:349-366.

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  18. Competition and the cost of debt. (2012). Valta, Philip.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:105:y:2012:i:3:p:661-682.

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  19. What happens after corporate default? Stylized facts on access to credit. (2012). Richmond, Christine ; Dias, Daniel ; Bonfim, Diana.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:7:p:2007-2025.

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  20. The determinants of bank loan recovery rates. (2012). Mullineaux, Donald J. ; Khieu, Hinh D. ; Yi, Ha-Chin.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:4:p:923-933.

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  21. Duration of sovereign debt renegotiation. (2012). Zhang, Jing ; Bai, Yan.
    In: Journal of International Economics.
    RePEc:eee:inecon:v:86:y:2012:i:2:p:252-268.

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  22. Pitfalls in modeling loss given default of bank loans. (2011). Gurtler, Marc ; Hibbeln, Martin .
    In: Working Papers.
    RePEc:zbw:tbsifw:if35v1.

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  23. Securitization Rating Performance and Agency Incentives. (2011). Scheule, Harald ; Roesch, Daniel.
    In: Working Papers.
    RePEc:hkm:wpaper:182011.

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  24. Cross-country variations in capital structures: The role of bankruptcy codes. (2011). John, Kose ; Acharya, Viral ; Sundaram, Rangarajan K..
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:20:y:2011:i:1:p:25-54.

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  25. Creditor rights and corporate risk-taking. (2011). Amihud, Yakov ; Acharya, Viral ; Litov, Lubomir .
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:102:y:2011:i:1:p:150-166.

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  26. The implications of dynamic financial frictions for DSGE models. (2011). Aysun, Uluc.
    In: Working Papers.
    RePEc:cfl:wpaper:2011-02.

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  27. An option theoretic model for ultimate loss-given-default with systematic recovery risk and stochastic returns on defaulted debt. (2011). Jacobs, Jr Michael .
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:58-12.

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  28. Financial Frictions and Monetary Transmission Strength: A Cross-Country Analysis. (2010). Honig, Adam ; Brady, Ryan ; Aysun, Uluc.
    In: Working papers.
    RePEc:uct:uconnp:2009-24.

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  29. Bankruptcy and the Collateral Channel. (2010). Benmelech, Efraim ; Bergman, Nittai K..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15708.

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  30. Recovery Determinants of Distressed Banks; Regulators, Market Discipline, or the Environment?. (2010). Poghosyan, Tigran ; Koetter, Michael ; Kick, Thomas.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2010/027.

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  31. Recovery rates, default probabilities, and the credit cycle. (2010). González-Aguado, Carlos ; Bruche, Max ; Gonzalez-Aguado, Carlos .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:4:p:754-764.

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  32. Market conditions, default risk and credit spreads. (2010). yan, hong ; Tang, Dragon Yongjun.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:4:p:743-753.

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  33. The Role of Market-Implied Severity Modeling for Credit VaR. (2010). Baixauli, Samuel J. ; Alvarez, Susana .
    In: Annals of Economics and Finance.
    RePEc:cuf:journl:y:2010:v:11:i:2:p:337-353.

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  34. Crisis Resolution and Bank Liquidity. (2009). Yorulmazer, Tanju ; Shin, Hyun Song ; Acharya, Viral.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15567.

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  35. The Empirical Relation between Credit Quality, Recovery and Correlation. (2009). Scheule, Harald ; Rosch, Daniel.
    In: Hannover Economic Papers (HEP).
    RePEc:han:dpaper:dp-418.

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  36. Recovery rates of commercial lending: Empirical evidence for German companies. (2009). Weber, Martin ; Grunert, Jens .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:33:y:2009:i:3:p:505-513.

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  37. Bidding strategies and takeover premiums: A review. (2009). Eckbo, B..
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:15:y:2009:i:1:p:149-178.

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  38. Hazardous times for monetary policy: What do twenty-three million bank loans say about the effects of monetary policy on credit risk-taking?. (2009). Saurina, Jesús ; Peydro, Jose-Luis ; Ongena, Steven ; Jimenez, Gabriel.
    In: Working Papers.
    RePEc:bde:wpaper:0833.

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  39. Market conditions, default risk and credit spreads. (2008). yan, hong ; Tang, Dragon Yongjun.
    In: Discussion Paper Series 2: Banking and Financial Studies.
    RePEc:zbw:bubdp2:7318.

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  40. Credit Risk Management. (2008). Fantazzini, Dean.
    In: Applied Econometrics.
    RePEc:ris:apltrx:0025.

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  41. Measuring bank capital requirements through Dynamic Factor analysis. (2008). cipollini, andrea ; missaglia, giuseppe.
    In: Center for Economic Research (RECent).
    RePEc:mod:recent:010.

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  42. Securitization of mezzanine capital in Germany. (2008). Franke, Günter ; Hein, Julia.
    In: Financial Markets and Portfolio Management.
    RePEc:kap:fmktpm:v:22:y:2008:i:3:p:219-240.

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  43. Automatic bankruptcy auctions and fire-sales. (2008). Thorburn, Karin ; Eckbo, B..
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:89:y:2008:i:3:p:404-422.

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  44. Bank commercial loan fair value practices. (2007). Yang, Emily ; Moise, Michael ; Tschirhart, John ; O'Brien, James .
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2007-29.

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  45. Asset liquidity, debt valuation and credit risk. (2007). Cohen-Cole, Ethan.
    In: Risk and Policy Analysis Unit Working Paper.
    RePEc:fip:fedbqu:qau07-5.

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  46. Acquisition Values and Optimal Financial (In)Flexibility. (2007). Hege, Ulrich ; Hennessy, Christopher.
    In: HEC Research Papers Series.
    RePEc:ebg:heccah:0878.

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  47. Fire-sale FDI. (2007). Yorulmazer, Tanju ; Shin, Hyun Song ; Acharya, Viral.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:6319.

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  48. Fire Sales, Foreign Entry and Bank Liquidity. (2007). Yorulmazer, Tanju ; Shin, Hyun Song ; Acharya, Viral.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:6309.

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  49. Cash-in-the-market pricing and optimal resolution of bank failures. (2007). Yorulmazer, Tanju ; Acharya, Viral.
    In: Bank of England working papers.
    RePEc:boe:boeewp:328.

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  50. RECOVERY RATES, DEFAULT PROBABILITIES AND THE CREDIT CYCLE. (2006). Aguado, Carlos Gonzalez ; Gonzalezaguado, Carlos .
    In: Working Papers.
    RePEc:cmf:wpaper:wp2006_0612.

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