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The impact of social and environmental sustainability on financial performance: A global analysis of the banking sector. (2019). Nagayev, Ruslan ; Dewandaru, Ginanjar ; Ng, Adam ; Nizam, Esma ; Nkoba, Malik Abdulrahman.
In: Journal of Multinational Financial Management.
RePEc:eee:mulfin:v:49:y:2019:i:c:p:35-53.

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  2. Modelli Creditizi nel Contesto ESG: La Domanda dei Mutui delle Famiglie Consumatrici nelle Regioni Italiane. (2024). LEOGRANDE, ANGELO ; Arnone, Massimo.
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  3. Modelli Creditizi nel Contesto ESG: La Domanda dei Mutui delle Famiglie Consumatrici nelle Regioni Italiane. (2024). LEOGRANDE, ANGELO ; Arnone, Massimo.
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    In: Renewable and Sustainable Energy Reviews.
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  17. Initial coin offerings and ESG: Allies or enemies?. (2023). Cerchiello, Paola ; Bitetto, Alessandro.
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  20. ESG performance and dividend stability of the world’s largest enterprises. (2023). Mrzygd, Urszula ; Matuszewska-Pierzynka, Agnieszka ; Pieloch-Babiarz, Aleksandra.
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    In: Environment, Development and Sustainability: A Multidisciplinary Approach to the Theory and Practice of Sustainable Development.
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  21. Global Financial Crisis, Ownership Change, and Corporate Governance Evolution Firm-Level Evidence from Russia. (2015). Iwasaki, Ichiro.
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  22. Managerial Discretion Over Loan Loss Reserves during the Global Financial Crisis. (2015). Hansen, Glen .
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  27. Contagion and banking crisis – International evidence for 2007–2009. (2015). Gajurel, Dinesh ; Dungey, Mardi.
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  29. Shari’ah supervision, corporate governance and performance: Conventional vs. Islamic banks. (2015). Zaman, Mahbub ; Mollah, Sabur.
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  30. Excess control rights, financial crisis and bank profitability and risk. (2015). TARAZI, Amine ; Saghi-Zedek, Nadia .
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  31. Risk governance and Asian bank performance: An empirical investigation over the financial crisis. (2015). Gallo, Angela ; Battaglia, Francesca .
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  32. The impact of risk modeling on the market perception of banks’ estimated fair value gains and losses for financial instruments. (2015). Bhat, Gauri ; Ryan, Stephen G.
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  33. Preaching Water But Drinking Wine? Relative Performance Evaluation in International Banking. (2015). Schmidt, Peter S ; Pisarov, Sonja ; Ili, Dragan .
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  34. MEASURING THE FINANCIAL PERFORMANCE OF THE EUROPEAN SYSTEMICALLY IMPORTANT BANKS. (2014). TOMULEASA, Ioana-Iuliana ; Cocri, Vasile .
    In: Studii Financiare (Financial Studies).
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  35. Credit Booms and Busts in Emerging Markets: The Role of Bank Governance and Risk Managment. (2014). Brown, Martin ; AndrieÈ™, Alin Marius.
    In: Working Papers on Finance.
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  36. The effect of corporate governance on the performance of US investment banks.. (2014). mamatzakis, emmanuel.
    In: MPRA Paper.
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  37. Governance, Risk Management, and Risk-Taking in Banks. (2014). Stulz, René.
    In: NBER Working Papers.
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  38. ‘Margin Call’: Using Film to Explore Behavioural Aspects of the Financial Crisis. (2014). Werner, Andrea.
    In: Journal of Business Ethics.
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  39. Does diversity of bank board members affect performance and risk? Evidence from an emerging market. (2014). TARAZI, Amine ; Setiyono, Bowo .
    In: Working Papers.
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  40. Reprint of: The impact of enterprise risk management on the marginal cost of reducing risk: Evidence from the insurance industry. (2014). Eckles, David L. ; Miller, Steve M. ; Hoyt, Robert E..
    In: Journal of Banking & Finance.
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  41. The impact of enterprise risk management on the marginal cost of reducing risk: Evidence from the insurance industry. (2014). Eckles, David L. ; Miller, Steve M. ; Hoyt, Robert E..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:43:y:2014:i:c:p:247-261.

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  42. Systemic risk and bank consolidation: International evidence. (2014). Bostandzic, Denefa ; Weiß, Gregor N. F., ; Neumann, Sascha .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:40:y:2014:i:c:p:165-181.

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  43. Why do some insurers become systemically relevant?. (2014). Muhlnickel, Janina ; Weiß, Gregor N. F., .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:13:y:2014:i:c:p:95-117.

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  44. Ownership structure and risk-taking: Comparative evidence from private and state-controlled banks in China. (2014). Hou, Wenxuan ; Meng, Chao ; Dong, Yizhe ; Firth, Michael.
    In: International Review of Financial Analysis.
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  45. The Association between microfinance rating scores and corporate governance: a global survey. (2014). Mersland, Roy ; Beisland, Leif Atle ; Randoy, Trond.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:35:y:2014:i:c:p:268-280.

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  46. Corporate Governance in Banks and its Impact on Risk and Performance: Review of Literature on the Selected Governance Mechanisms. (2014). Himaj, Shkendije .
    In: Journal of Central Banking Theory and Practice.
    RePEc:cbk:journl:v:3:y:2014:i:3:p:53-85.

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  47. Survey on the Viewpoints of Credit Beneficiaries Qua Consumers in Order to increase Banking Accountability. (2014). Ungureanu, Laura ; Ilie, Dragos .
    In: The AMFITEATRU ECONOMIC journal.
    RePEc:aes:amfeco:v:1:y:2014:i:35:p:138.

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  48. Multicriteria decision systems for financial problems. (2013). Zopounidis, Constantin ; Doumpos, Michael.
    In: TOP: An Official Journal of the Spanish Society of Statistics and Operations Research.
    RePEc:spr:topjnl:v:21:y:2013:i:2:p:241-261.

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  49. Excess Control Rights, Financial Crisis and Bank Profitability and Risk. (2013). TARAZI, Amine ; saghi-zedek, nadia.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00916550.

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  50. Bank liquidity hoarding and the financial crisis: an empirical evaluation. (2013). Berrospide, Jose .
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2013-03.

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  51. The performance of banks around the receipt and repayment of TARP funds: Over-achievers versus under-achievers. (2013). Tehranian, Hassan ; Cornett, Marcia Millon ; Li, Lei.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:3:p:730-746.

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  52. How do Global Banks Scramble for Liquidity? Evidence from the Asset-Backed Commercial Paper Freeze of 2007. (2013). Kovner, Anna ; Acharya, Viral V ; Afonso, Gara .
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9457.

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  53. What is a prime bank? A Euribor � OIS spread perspective. (2013). Taboga, Marco.
    In: Temi di discussione (Economic working papers).
    RePEc:bdi:wptemi:td_895_13.

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  54. How can banks effectively stabilize their retail customers saving behavior? The impact of contractual rewards on saving persistence and cash flow volatility. (2012). Sievers, Sonke ; Schluter, Tobias ; Hartmann-Wendels, Thomas.
    In: Annual Conference 2012 (Goettingen): New Approaches and Challenges for the Labor Market of the 21st Century.
    RePEc:zbw:vfsc12:62057.

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  55. Is Director Industry Experience Valuable?. (2012). von Meyerinck, Felix ; Schmid, Markus ; Oesch, David .
    In: Working Papers on Finance.
    RePEc:usg:sfwpfi:2012:17.

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