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