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Bank regulation and risk-taking incentives: An international comparison of bank risk. (2005). Gonzalez, Francisco.
In: Journal of Banking & Finance.
RePEc:eee:jbfina:v:29:y:2005:i:5:p:1153-1184.

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  2. Banks in India: A Balancing Act Between Profitability, Regulation and NPA. (2023). Bhimavarapu, Venkata Mrudula ; Kanoujiya, Jagjeevan ; Rastogi, Shailesh.
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  3. Banking regulation and banks’ risk-taking behavior: The role of investors’ protection. (2023). Dias, Jose Carlos ; Dutra, Tiago M.
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  4. Prudential regulation and bank performance: Evidence from China. (2023). Wang, Yifan ; Wu, Yifan ; He, Dongwei ; Xing, Xueyan.
    In: Pacific-Basin Finance Journal.
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  5. Competition and banking efficiency in the WAEMU: The role of multinationals and institutions. (2023). Couchoro, Mawuli Kodjovi ; Aguey, Segnon ; Nantob, N'Yilimon ; Kuessi, Richard.
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  6. On the factors driving bank lending standards: Global evidence from bank lending surveys. (2023). Liu, Yan ; Zhao, Xueqing.
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  14. Does bank regulatory requirements affect risk?taking behaviour of private banks in Ethiopia?. (2021). Ayele, Getaneh Mihret.
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  18. How organizational and geographic complexity influence performance: Evidence from European banks. (2021). Danisman, Gamze Ozturk ; Tarazi, Amine ; Sauviat, Alain ; Nyola, Annick Pamen.
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  19. Do banks fuel climate change?. (2021). Reghezza, Alessio ; Marques-Ibanez, David ; Altunbas, Yener ; Spaggiari, Martina ; Dacri, Costanza Rodriguez ; Marques-Ibaez, David.
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  22. How Organizational and Geographic Complexity Influence Performance? Evidence from European Banks. (2020). TARAZI, Amine ; Annick, Pamen ; Sauviat, Alain.
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  24. Managerial ability as a tool for prudential regulation. (2020). Lozano-Vivas, Ana ; Curi, Claudia.
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  25. Bank liquidity, macroeconomic risk, and bank risk: Evidence from the Financial Services Modernization Act. (2020). Liu, Yongchin ; Lee, Yuyi ; Chen, Iju.
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  26. Banks’ capital buffers, risk, and efficiency in emerging economies: are they counter-cyclical?. (2019). Moudud-Ul, Syed.
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  27. Do economic freedom and board structure matter for bank stability and bank performance?. (2019). Psillaki, Maria ; Mavrakana, Christina.
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  29. Chair-CEO generation gap and bank risk-taking. (2019). Molyneux, Philip ; Kara, Alper ; Zhou, Yifan.
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  33. Capital requirements, the cost of financial intermediation and bank risk-taking: Empirical evidence from Bangladesh. (2018). Ashraf, Badar Nadeem ; Rahman, Mohammad Morshedur ; Zheng, Changjun.
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  38. Banks’ capital regulation and risk: Does bank vary in size? Empirical evidence from Bangladesh. (2017). Zheng, Changjun ; Moudud-Ul, Syed.
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  39. Bank Risk Factors and Changing Risk Exposures in the Pre- and Post-financial Crisis Periods: An Empirical Study for India. (2017). .
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  40. Effects from the parent’s exposure to subsidiaries inside Bank Holding Companies (BHCs). (2017). Bressan, Silvia.
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  41. Does the ownership structure matter for banks’ capital regulation and risk-taking behavior? Empirical evidence from a developing country. (2017). Ashraf, Badar Nadeem ; Zheng, Changjun ; Moudud-Ul, Syed ; Rahman, Mohammad Morshedur.
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  42. Has the uniformity of banking regulation within the European Union restricted rather than encouraged sectoral development?. (2017). Corbet, Shaen ; Larkin, Charles.
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    In: Working Papers.
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  56. Institutional development and bank stability: Evidence from transition countries. (2014). HASAN, IFTEKHAR ; Fang, Yiwei ; Marton, Katherin.
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  58. Financial liberalization and bank risk-taking: International evidence. (2014). Cubillas, Elena ; Gonzalez, Francisco.
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  59. Risk taking behavior of privatized banks. (2014). Otchere, Isaac ; Mohsni, Sana .
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  62. Regulations and Audit Opinions: Evidence from EU Banking Institutions. (2013). Spathis, Charalambos ; Pasiouras, Fotios ; Gaganis, Chrysovalantis.
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  64. Risk in Islamic Banking. (2013). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
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  66. Auditing regulations and bank shareholders’ wealth: An international analysis. (2013). Hossain, Mahmud ; Rezaee, Zabihollah ; Mitra, Santanu.
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  67. The effect of TARP on bank risk-taking. (2013). Black, Lamont K. ; Hazelwood, Lieu N..
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  68. The role of on- and off-balance-sheet leverage of banks in the late 2000s crisis. (2013). Wolff, Christian ; Papanikolaou, Nikolaos ; Christian C. P. Wolff,, .
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  74. The effect of TARP on bank risk-taking. (2012). Black, Lamont ; Hazelwood, Lieu .
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  75. An empirical analysis of the relation between bank charter value and risk taking. (2012). Niu, Jijun .
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  76. Banking risk and regulation: Does one size fit all?. (2012). de Haan, Jakob ; Klomp, Jeroen.
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  77. Financial openness, disclosure and bank risk-taking in MENA countries. (2012). Zanaj, Skerdilajda ; Pieretti, Patrice ; Bourgain, Arnaud.
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  78. How Does the Institutional Setting for Creditor Rights Affect Bank Lending and Risk-Taking?. (2011). Zhao, Tianshu ; Mlambo, Kupukile ; Murinde, Victor.
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  79. Competition and risk in the South East Asian commercial banking. (2011). Molyneux, Philip ; Liu, Hong ; Nguyen, Linh H.
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  80. A comprehensive analysis of the effects of risk measures on bank efficiency: Evidence from emerging Asian countries. (2011). Sun, Lei ; Chang, Tzu-Pu .
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  81. Does deposit insurance improve financial intermediation? Evidence from the Russian experiment. (2011). Cole, Rebel ; Chernykh, Lucy .
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  82. Banking risk and regulation: Does one size fit all?. (2011). de Haan, Jakob ; Klomp, Jeroen.
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  83. Market reforms, legal changes and bank risk-taking : evidence from transition economies. (2011). HASAN, IFTEKHAR ; Fang, Yiwei ; Marton, Katherin.
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  84. Are banks too big to fail or too big to save ? International evidence from equity prices and CDS spreads. (2010). Huizinga, Harry ; Demirguc-Kunt, Asli.
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  85. Are Banks Too Big to Fail or Too Big to Save? International Evidence from Equity Prices and CDS Spreads. (2010). Huizinga, Harry ; Demirguc-Kunt, A.
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  86. Are Banks Too Big to Fail or Too Big to Save? International Evidence from Equity Prices and CDS Spreads. (2010). Huizinga, Harry ; Demirguc-Kunt, A.
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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.
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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.
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