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Themes

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VoxEU Column

New evidence on the effectiveness of macroprudential measures

  • Andres Murcia
  • Mahir Binici
  • Leonardo Gambacorta
  • Yener Altunbas

5 Dec 2017
  • Financial Regulation and Banking
  • Macroeconomic policy
Discussion paper

DP12168 Asset encumbrance and bank risk: First evidence from public disclosures in Europe

  • Albert Banal-Estanol
  • Dmitry Khametshin

20 Jul 2017
  • Financial Economics
  • G01
  • G21
  • G28
Discussion paper

DP12138 Macroprudential policy and bank risk

  • Leonardo Gambacorta
  • Yener Altunbas

11 Jul 2017
  • Financial Economics
  • E43
  • E58
  • G18
  • G28
Discussion paper

DP12009 Bank sectoral concentration and (systemic) risk: Evidence from a worldwide sample of banks

  • Thorsten Beck
  • Olivier De Jonghe
  • Klaas Mulier

28 Apr 2017
  • Financial Economics
  • G01
  • G21
  • G28
  • L5
VoxEU Column

Bank competition and financial stability: The role of financial innovation

  • Michiel van Leuvensteijn
  • David Marques-Ibanez

3 Feb 2017
  • Financial Regulation and Banking
  • Global crisis
VoxEU Column

Geographic expansion reduces banks’ risk: New evidence

  • Luc Laeven
  • Ross Levine
  • Martin Götz

1 Jun 2016
  • Financial Regulation and Banking
  • Industrial organisation
Discussion paper

DP10217 Incentive Pay and Bank Risk-Taking:Evidence from Austrian, German, and Swiss Banks

  • Harald Hau
  • Johannes Steinbrecher
  • Matthias Efing

26 Oct 2014
  • Financial Economics
  • D22
  • G20
  • G21
Discussion paper

DP6635 Does Interbank Borrowing Reduce Bank Risk?

  • Jurgen von Hagen
  • Valeriya Dinger

11 Jan 2008
  • International Macroeconomics
  • G21
Discussion paper

DP3252 The Effects of Focus and Diversification on Bank Risk and Return: Evidence from Individual Bank Loan Portfolios

  • Anthony Saunders
  • Viral Acharya
  • Iftekhar Hasan

20 Mar 2002
  • Financial Economics
  • G21
  • G28
  • G31
  • G32
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