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Factors affecting bank risk taking: Evidence from Japan. (2004). Konishi, Masaru ; Yasuda, Yukihiro .
In: Journal of Banking & Finance.
RePEc:eee:jbfina:v:28:y:2004:i:1:p:215-232.

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  3. Bank funding diversity, risk and profitability: Evidence from Vietnam in the context of the Covid-19 pandemic. (2023). Nguyen, Nhat Minh ; Pham, Manh Hung.
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  5. Bank Risk Literature (1978–2022): A Bibliometric Analysis and Research Front Mapping. (2023). , Abdallah ; Omran, Mohamed ; Khatatbeh, Ibrahim N ; Abdelwahed, Ahmed S ; Marie, Mohamed ; Qi, Baolei.
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  17. The Joint Impact of Bank Capital and Funding Liquidity on the Monetary Policys Risk-Taking Channel. (2021). de Menna, Bruno.
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  24. The Determinants of Bank Risk Taking: Evidence From Jordan. (2020). Alzubi, Khaled ; Awartany, Ali.
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  77. Disciplinary tools and bank risk exposure. (2014). Seth, Rama ; faff, robert ; Haq, Mamiza ; Mohanty, Sunil .
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  78. Implicit guarantees, business models and banks’ risk-taking through the crisis: Global and European perspectives. (2014). Wihlborg, Clas ; Prabha, Apanard.
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  80. Wishful thinking or effective threat? Tightening bank resolution regimes and bank risk-taking. (2014). Korte, Josef ; Ignatowski, Magdalena.
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  81. Asymmetric effects of households’ financial participation on banking diversification. (2014). Chen, Pei-Fen ; Zeng, Jhih-Hong .
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  82. Financial liberalization and bank risk-taking: International evidence. (2014). Cubillas, Elena ; Gonzalez, Francisco.
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  83. Wishful thinking or effective threat? tightening bank resolution regimes and bank risk-taking. (2014). Korte, Josef ; Ignatowski, Magdalena.
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    RePEc:eee:reveco:v:15:y:2006:i:2:p:141-150.

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  44. Effects of large shareholding on information asymmetry and stock liquidity. (2006). Lang, Larry ; Attig, Najah ; Gadhoum, Yoser ; Fong, Wai-Ming .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:30:y:2006:i:10:p:2875-2892.

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  45. Privatization and bank performance in developing countries. (2005). Fischer, Klaus ; Cosset, Jean-Claude ; Guedhami, Omrane ; Boubakri, Narjess.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:29:y:2005:i:8-9:p:2015-2041.

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  46. Excess Credit Risk and Bank’s Default Risk An Application of Default Prediction’s Models to Banks from Emerging Market Economies. (2004). Godlewski, Christophe.
    In: Finance.
    RePEc:wpa:wuwpfi:0409028.

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  47. Corporate governance, regulation and supervision of banks. (2004). Devriese, Johan ; Heremans, Dirk ; Dewatripont, Mathias ; Nguyen, Gregory.
    In: Financial Stability Review.
    RePEc:nbb:fsrart:v:2:y:2004:i:1:p:95-120.

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  48. Factors affecting bank risk taking: Evidence from Japan. (2004). Konishi, Masaru ; Yasuda, Yukihiro .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:28:y:2004:i:1:p:215-232.

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  49. Do bankers sacrifice value to build empires? Managerial incentives, industry consolidation, and financial performance. (2003). Mester, Loretta ; Hughes, Joseph ; Moon, Choon-Geol ; Lang, William W. ; Pagano, Michael S..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:27:y:2003:i:3:p:417-447.

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  50. Do Bankers Sacrifice Value to Build Empires? Managerial Incentives, Industry Consolidation, and Financial Performance. (2001). Mester, Loretta ; Hughes, Joseph ; Moon, Choon-Geol ; Lang, William ; Pagano, Michael.
    In: Departmental Working Papers.
    RePEc:rut:rutres:200117.

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