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Business models and bank performance: A long-term perspective. (2016). Vander Vennet, Rudi ; Mergaerts, Frederik.
In: Journal of Financial Stability.
RePEc:eee:finsta:v:22:y:2016:i:c:p:57-75.

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  2. Do competition and market structure affect sensitivity of bank profitability to the business cycle?. (2023). Kowalska, Iwona ; Olszak, Magorzata.
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  3. The network and own effects of global-systemically-important-bank designations. (2023). Egger, Peter ; Zhu, Jiaqing ; Li, Jie.
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  4. Bank-specific capital requirements: Short and long-run determinants. (2023). Marques, Bernardo P ; Citterio, Alberto ; Alves, Carlos Francisco.
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  5. Did the COVID-19 pandemic amplify the positive impact of income diversification on the profitability of European banks?. (2022). Wierzbowska, Agata ; Kozak, Sylwester.
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  6. Econometric Analysis of the Determinants of Bank Profitability in Three Major African Counties: Kenya, Nigeria and South Africa. (2022). Abdilahi, Ridwa Ali ; Davis, Philip E.
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  7. ECB monetary policy and bank default risk?. (2022). Vander Vennet, Rudi ; Soenen, Nicolas.
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  8. A loan-level analysis of financial resilience in Mexico. (2022). Cantu Garcia, Carlos ; Lopez-Gallo, Fabrizio ; Lobato, Roberto.
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  9. Opacity and risk-taking: Evidence from Norway. (2022). Juelsrud, Ragnar E ; Cao, Jin.
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  10. Determinants of European banks’ default risk. (2022). Vennet, Rudi Vander ; Soenen, Nicolas.
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  11. Multiple credit ratings and liquidity creation. (2022). Bellos, Sotirios K ; Chen, Lei ; Kladakis, George.
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  12. Does diversification protect European banks’ market valuations in a pandemic?. (2022). Vander Vennet, Rudi ; Simoens, Mathieu.
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  13. Bank business models, failure risk and earnings opacity: A short- versus long-term perspective. (2022). Boateng, Agyenim ; Danso, Albert ; James, Gregory A ; Lartey, Theophilus.
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  14. The effects of macroprudential policy on banks profitability. (2022). Noel, Dennison ; Karim, Dilruba ; Davis, Philip E.
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  15. Do spatial dependence and market power matter in the diversification of cooperative banks?. (2022). Migliardo, Carlo ; Algeri, Carmelo ; Forgione, Antonio F.
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  17. Banks’ business models in the euro area: a cluster analysis in high dimensions. (2021). Vouldis, Angelos ; Farne, Matteo.
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  18. Banks’ business strategies on the edge of distress. (2021). Pammolli, Fabio ; Girardone, Claudia ; Giansante, Simone ; Flori, Andrea.
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  19. Determinants of European Banks’ Default Risk. (2021). Vander Vennet, Rudi ; Soenen, Nicolas.
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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  20. Does diversification protect European banks market valuation in a pandemic?. (2021). Vander Vennet, Rudi ; Simoens, Mathieu.
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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  21. Business ?odels of ?anks for the Financial Markets in the EU*. (2021). Kravchuk, Igor ; Stoika, Viktoriia.
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  22. Risk committee complexity and liquidity risk in the European banking industry. (2021). Scannella, Enzo ; Mazzu, Sebastiano ; Galletta, Simona.
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  24. Achieving a sustainable cost-efficient business model in banking: The case of European commercial banks. (2021). Lozano-Vivas, Ana ; Kumbhakar, Subal ; Badunenko, Oleg ; Lozanovivas, Ana.
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  25. Effects of wealth management products on bank risk in China: The role of audit committee effectiveness. (2021). Zhang, Junrui ; Cheng, Maoyong ; Geng, Hongyan.
    In: Pacific Economic Review.
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  26. Banks business strategy and environmental effectiveness: The monitoring role of the board of directors and the managerial incentives. (2021). Naciti, Valeria ; Mazzu, Sebastiano ; Galletta, Simona.
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  28. Main challenges and prospects for the European banking sector: a critical review of the ongoing debate. (2021). Gallo, Raffaele ; Cardillo, Salvatore ; Guarino, Francesco.
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  30. Marginal returns to talent for material risk takers in banking. (2020). Wagner, Konstantin ; Stieglitz, Moritz.
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  31. Using clustering ensemble to identify banking business models. (2020). Alves, Carlos ; Marques, Bernardo P.
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  32. Diversifying away risks through derivatives: an analysis of the Italian banking system. (2020). Santioni, Raffaele ; Piermattei, Stefano ; Infante, Luigi ; Sorvillo, Bianca.
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  33. Drivers of Bank Default Risk: Bank Business Models, the Sovereign and Monetary Policy. (2020). Vander Vennet, Rudi ; Soenen, Nicolas.
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  34. Macroprudential policy, monetary policy and Eurozone bank risk. (2020). Vander Vennet, Rudi ; Meuleman, Elien.
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  35. Diversification, efficiency and risk of banks: New consolidating evidence from emerging economies. (2020). Wu, Ji ; Jeon, Bang ; Chen, Minghua.
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  36. European banks after the global financial crisis: peak accumulated losses, twin crises and business models. (2020). Kakes, Jan ; de Haan, Leo.
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  37. Bank Transparency and the Market’s Perception of Bank Risk. (2020). Kim, Yongsik.
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  38. Foreign Strategic Investors, State Ownership, and Non-interest Activities: Evidence from China. (2020). Zhao, Hong ; Cheng, Maoyong ; Zhou, Mingming.
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  40. Diversification, efficiency and risk of banks: Evidence from emerging economies. (2020). Jeon, Bang ; Chen, Minghua ; Wu, JI.
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  41. Liquidity creation and bank profitability. (2020). Niu, Jijun ; Duan, Ying.
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  42. Overcapacities in banking: Measurement, trends and determinants. (2020). Klaus, Benjamin ; Gardo, Sandor.
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  43. Barcelona Report 2 - The Bank Business Model in the Post-Covid-19 World. (2020). Vives, Xavier ; Fatas, Antonio ; Claessens, Stijn.
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  44. Opacity and risk-taking: Evidence from Norway. (2020). Juelsrud, Ragnar E ; Cao, Jin.
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  45. The Role of Bank Funding Diversity: Evidence from Vietnam. (2020). Vo, Xuan Vinh.
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  46. Does a banks business model affect its capital and profitability?. (2020). Vouldis, Angelos ; Farne, Matteo.
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  47. Bank profitability and macroeconomic conditions: Are business models different?. (2020). Palazzo, Francesco ; di Patti, Emilia Bonaccorsi.
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  58. Profitability shocks and recovery in time of crisis evidence from European banks. (2019). di Battista, Maria Luisa ; Cucinelli, Doriana ; Bongini, Paola ; Nieri, Laura.
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  59. Overcapacities in banking: measurements, trends and determinants. (2019). Klaus, Benjamin ; Gardo, Sandor.
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  61. Determinants of bank profitability in emerging markets. (2018). Murcia, Andrés ; Kohlscheen, Emanuel ; Contreras, Juan ; Pabon, Andres Murcia .
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  62. Bank profitability and macroeconomic conditions: are business models different?. (2018). Palazzo, Francesco ; di Patti, Emilia Bonaccorsi.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  63. Much ado about nothing? Interest and non-interest products and services: Their impact on small banks’ margins. (2017). Fredriksson, Antti ; McMillan, David ; Moro, Andrea ; Maresch, Daniela.
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  64. Bank Regulation: One Size Does Not Fit All. (2017). Grossmann, David ; Scholz, Peter .
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  65. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Venturelliunimore, Valeria Venturellivaleria ; Landi, Andrea ; Gualandri, Elisabetta ; Ferretti, Riccardo ; Cosma, Stefano.
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  66. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Ferretti, Riccardo ; Venturelli, Valeria ; Landi, Andrea ; Gualandri, Elisabetta ; Cosma, Stefano.
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  69. Bank bailouts in Europe and bank performance. (2017). Vander Vennet, Rudi ; Gerhardt, Maria .
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  75. The trade-off between monetary policy and bank stability. (2016). Vander Vennet, Rudi ; Lamers, Martien ; Meuleman, Elien ; Mergaerts, Frederik .
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  77. The impact of the intellectual capital efficiency on commercial banks performance: Evidence from the US. (2016). Sampagnaro, Gabriele ; Verdoliva, Vincenzo ; Porzio, Claudio ; Meles, Antonio.
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  78. A net stable funding ratio for Islamic banks and its impact on financial stability: An international investigation. (2016). Ashraf, Dawood ; Lhuillier, Barbara ; Rizwan, Muhammad Suhail.
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  79. European banks after the global financial crisis: peak accumulated losses, twin crises and business models. (). Kakes, Jan ; Haan, Leo.
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Cocites

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  1. Breaking the Bank? A Probabilistic Assessment of Euro Area Bank Profitability. (2019). Mitra, Srobona ; Malik, Sheheryar ; Elekdag, Selim.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2019/254.

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  2. An analysis of non-traditional activities at German savings banks: Does the type of fee and commission income matter?. (2018). Kohler, Matthias.
    In: Discussion Papers.
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  3. Bank-Insurance Risk Spillovers: Evidence from Europe. (2018). Dreassi, Alberto ; Sclip, Alex ; Paltrinieri, Andrea ; Miani, Stefano.
    In: The Geneva Papers on Risk and Insurance - Issues and Practice.
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  4. Five years after the Liikanen Report: What have we learned?. (2017). Tröger, Tobias ; Krahnen, Jan ; Troger, Tobias ; Gotz, Martin.
    In: SAFE White Paper Series.
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  5. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Venturelliunimore, Valeria Venturellivaleria ; Landi, Andrea ; Gualandri, Elisabetta ; Ferretti, Riccardo ; Cosma, Stefano.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  6. Are Non-Conventional Banks More Resilient than Conventional Ones to Financial Crisis?. (2017). Ben Amar, Amine ; Bellalah, Makram ; ben Slimane, Ikrame.
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  7. Competition, concentration and risk taking in Banking sector of MENA countries. (2017). Bua, Milagros Vivel ; Razia, Alaa ; Sestayo, Ruben Lado ; Gonzalez, Luis Otero.
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  8. Does central bank governors term in office matter for macroprudential policies? Evidence from MENA banks. (2017). Ghosh, Saibal.
    In: Research in International Business and Finance.
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  9. Banking business models and the nature of financial crisis. (2017). Hryckiewicz, Aneta ; Kozowski, Ukasz.
    In: Journal of International Money and Finance.
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  10. Reprint of: The asymmetric effect of international swap lines on banks in emerging markets. (2017). Yesin, Pinar ; Fischer, Andreas ; AndrieÈ™, Alin Marius ; Yein, Pinar.
    In: Journal of Banking & Finance.
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  11. The asymmetric effect of international swap lines on banks in emerging markets. (2017). Yesin, Pinar ; Fischer, Andreas ; AndrieÈ™, Alin Marius ; Yein, Pinar.
    In: Journal of Banking & Finance.
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  12. Cyclical behavior of the financial stability of eurozone commercial banks. (2017). ben Bouheni, Faten ; Hasnaoui, Amir.
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  13. Measuring the systemic importance of banks. (2017). Sakellaris, Plutarchos ; Moratis, George.
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  14. Optimal Interbank Regulation. (2017). Carter, Thomas.
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  15. Bank Business Models at Zero Interest Rates. (2016). Schwaab, Bernd ; Lucas, Andre ; Schaumburg, Julia .
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  16. Basel 3: Does One Size Really Fit All Banks Business Models?. (2016). Savioli, Marco ; Birindelli, Giuliana ; Ferretti, Paola.
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  17. Market discipline across bank governance models: Empirical evidence from German depositors. (2016). Koziol, Philipp ; Grossl, Ingrid ; Arnold, Eva A.
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  18. Business models and bank performance: A long-term perspective. (2016). Vander Vennet, Rudi ; Mergaerts, Frederik.
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  19. Banking Soundness Indicators and Sovereign Risk in Time of Crisis: The Case of the European Union. (2016). Fernandez-Aguado, Pilar Gomez ; Partal-Urea, Antonio ; Parrado-Martinez, Purificacion .
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  20. The Accounting Network: how financial institutions react to systemic crisis. (2016). Pammolli, Fabio ; Chessa, Alessandro ; Puliga, Michelangelo ; Pappalardo, Giuseppe ; Flori, Andrea.
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  21. The impact of international swap lines on stock returns of banks in emerging markets. (2015). Yesin, Pinar ; Fischer, Andreas ; AndrieÈ™, Alin Marius ; Andries, Alin Marius .
    In: Working Papers.
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  22. The impact of international swap lines on stock returns of banks in emerging markets. (2015). Yesin, Pinar ; Fischer, Andreas ; AndrieÈ™, Alin Marius.
    In: Working Papers.
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  23. Banking regulation and bank performance in the EU – what should be the scope of the regulatory reform?. (2015). Sum, Katarzyna .
    In: Bank i Kredyt.
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  24. Capital buffers based on banks’ domestic systemic importance: selected issues. (2015). Skořepa, Michal ; Seidler, Jakub ; Skorepa, Michal .
    In: Journal of Financial Economic Policy.
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  25. Quality of bank capital and bank lending behavior during the global financial crisis. (2015). Marinč, Matej ; Loncarski, Igor ; Lonarski, Igor ; Li, Shaofang ; Koak, Marko .
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  26. A frontier measure of U.S. banking competition. (2015). Bolt, Wilko ; Humphrey, David .
    In: European Journal of Operational Research.
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  27. Factors influencing bank risk in Europe: Evidence from the financial crisis. (2015). Baselga-Pascual, Laura ; Cardone-Riportella, Clara ; Trujillo-Ponce, Antonio.
    In: The North American Journal of Economics and Finance.
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  28. Credit Booms and Busts in Emerging Markets: The Role of Bank Governance and Risk Managment. (2014). Brown, Martin ; AndrieÈ™, Alin Marius.
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  29. The 2007--2009 financial crisis: changing market dynamics and the impact of credit supply and aggregate demand sensitivity. (2014). Vermeulen, Robert ; Grammatikos, Theoharry.
    In: Applied Economics.
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  30. Does non-interest income make banks more risky? Retail- versus investment-oriented banks. (2014). Kohler, Matthias.
    In: Review of Financial Economics.
    RePEc:eee:revfin:v:23:y:2014:i:4:p:182-193.

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  31. Financial nexus: Efficiency and soundness in banking and capital markets. (2014). Spulbar, Cristi ; Dima, Bogdan ; Dinc, Marius Sorin ; Spulbr, Cristi .
    In: Journal of International Money and Finance.
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  32. The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions. (2014). Apergis, Nicholas.
    In: Journal of International Money and Finance.
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  33. Anatomy of a bail-in. (2014). cotter, john ; Conlon, Thomas.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:15:y:2014:i:c:p:257-263.

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  34. Distance to default and the financial crisis. (2014). Milne, Alistair.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:12:y:2014:i:c:p:26-36.

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  35. Capital Buffers Based on Banks Domestic Systemic Importance: Selected Issues. (2014). Skořepa, Michal ; Seidler, Jakub ; Skorepa, Michal .
    In: Research and Policy Notes.
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  36. Bank business models. (2014). Tsatsaronis, Kostas ; Tarashev, Nikola ; Roengpitya, Rungporn .
    In: BIS Quarterly Review.
    RePEc:bis:bisqtr:1412g.

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  37. Does non-interest income make banks more risky? Retail- versus investment-oriented banks. (2013). Kohler, Matthias.
    In: Discussion Papers.
    RePEc:zbw:bubdps:172013.

    Full description at Econpapers || Download paper

  38. Competition in bank-provided payment services. (2013). Bolt, Wilko ; Humphrey, David .
    In: Working Papers.
    RePEc:fip:fedpwp:13-17.

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  39. Bank/sovereign risk spillovers in the European debt crisis. (2013). Vander Vennet, Rudi ; Schepens, Glenn ; de Bruyckere, Valerie ; Gerhardt, Maria .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:12:p:4793-4809.

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  40. Competition in bank-provided payment services. (2013). Bolt, Wilko ; Humphrey, David .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20131539.

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  41. Competition And Bank Risk: The Role Of Securitization And Bank Capital. (2013). Van Leuvensteijn, Michiel ; Marques-Ibanez, David ; Altunbas, Yener.
    In: Working Papers.
    RePEc:bng:wpaper:13005.

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  42. Bank/sovereign risk spillovers in the European debt crisis. (2012). Vander Vennet, Rudi ; Schepens, Glenn ; DE BRUYCKERE, V. ; GERHARDT, M..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
    RePEc:rug:rugwps:12/828.

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  43. Clustering Austrian Banks’ Business Models and Peer Groups in the European Banking Sector. (2012). Seres, David ; Ferstl, Robert .
    In: Financial Stability Report.
    RePEc:onb:oenbfs:y:2012:i:24:b:3.

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  44. Bank/sovereign risk spillovers in the European debt crisis. (2012). Vander Vennet, Rudi ; Schepens, Glenn ; Gerhardt, Maria ; de Bruyckere, Valerie .
    In: Working Paper Research.
    RePEc:nbb:reswpp:201210-232.

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  45. Endogenous financial risk : The seventh international conference of the NBB. (2012). Wouters, Raf ; de Walque, G. ; Emiris, M. ; Mitchell, J. ; Dewachter, H..
    In: Economic Review.
    RePEc:nbb:ecrart:y:2012:m:december:i:iii:p:135-146.

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  46. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
    In: Economics Letters.
    RePEc:eee:ecolet:v:117:y:2012:i:1:p:220-222.

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  47. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20121427.

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  48. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20111427.

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  49. Bank ratings-What determines their quality?. (2012). Marques-Ibanez, David ; Langfield, Sam ; Hau, Harald.
    In: Working Papers.
    RePEc:bng:wpaper:12012.

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  50. Have public bailouts made banks loan books safer?. (2012). Brei, Michael ; Gadanecz, Blaise.
    In: BIS Quarterly Review.
    RePEc:bis:bisqtr:1209h.

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