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  1. Bank loan information and information asymmetry in the stock market: evidence from China

    In this study, we use bank loan information to construct proxies for corporate transparency and examine whether these measures reflect information...

    Yanyi Ye, Yun Wang, **aoguang Yang in Financial Innovation
    Article Open access 24 May 2022
  2. Macroeconomic and bank-specific determinants of non-performing loans: the case of baltic states

    This study examines selected macroeconomic and bank-specific determinants of non-performing loans (NPLR) for a panel of 21commercial banks from the...

    Jordan Kjosevski, Mihail Petkovski in Empirica
    Article 23 November 2020
  3. Financial inclusion, institutional quality and bank stability: evidence from sub-Saharan Africa

    This study examines the relationship between financial inclusion, institutional quality, and bank stability in sub-Saharan Africa. Using a sample of...

    Isaac Ofoeda, John Kwaku Mensah Mawutor, Dilys Nana Fosu-Hemaa Ohenebeng in International Economics and Economic Policy
    Article 22 November 2023
  4. Determinants of Nonperforming Loans: A Global Data Analysis

    This Study Analyzes the Factors that Explain the Evolution of banks´ Nonperforming loan Ratios Worldwide. We use a Sample of 1,631 Entities from 111...

    MBelen Salas, Prosper Lamothe, ... Lucia Valcarce in Computational Economics
    Article Open access 18 January 2024
  5. Shadow Bank, Risk-Taking, and Real Estate Financing: Evidence from the Online Loan Market

    This paper examines whether and how individual risk-taking behavior affects real estate financing through shadow banks. Using the loan data from an...

    **aoying Deng, Chong Liu, Seow Eng Ong in The Journal of Real Estate Finance and Economics
    Article 06 May 2023
  6. Bank performance, capital and size: a comparative analysis in MENA and EU

    The debate on optimal bank capital and size and their association with bank performance is still ongoing and high on policy makers’ agenda. This...

    Marwan Al-Zoubi, Mais Sha’ban in Eurasian Economic Review
    Article 24 November 2023
  7. Does banking sector support for achieving the sustainable development goals affect bank loan loss provisions? International evidence

    This study investigates whether banking sector support for the realization of the SDGs affects bank loan loss provisions (LLPs). Using country-level...

    Peterson K. Ozili in Economic Change and Restructuring
    Article 11 March 2024
  8. Retail CBDC purposes and risk transfers to the central bank

    The issuance of retail central bank digital currency (CBDC) involves a transfer of risk from commercial banks to the central bank. Mechanisms that...

    Romain Baeriswyl, Samuel Reynard, Alexandre Swoboda in Swiss Journal of Economics and Statistics
    Article Open access 30 April 2024
  9. The Impact of Negative Interest Rate Policy on Bank Loans

    After the 2008 financial crisis, the central banks of many countries have successively adopted the unconventional monetary policy, that is, Negative...
    Conference paper 2022
  10. Informal loans, liquidity constraints and local credit supply: evidence from Italy

    Using data from the Italian Survey on Household Income and Wealth from 1995 to 2014, we study the relation between informal credit (loans from...

    Michele Benvenuti, Luca Casolaro, Emanuele Ciani in Review of Economics of the Household
    Article 03 June 2021
  11. The effect of 2020 lockdown on bank internal ratings

    We investigate how banks’ internal ratings were affected by the first lockdown shock in Italy (March-June 2020). Using monthly proprietary data from...

    Giorgio Calcagnini, Federico Favaretto, Germana Giombini in Journal of Industrial and Business Economics
    Article Open access 05 May 2024
  12. Unraveling Double Shocks: An In-Depth Analysis of Risk Contagion in China’s Inter-Bank Market

    In an era marked by intricate financial networks and evolving market dynamics, this research delves into the labyrinth of risk contagion in China’s...

    Mengting Fan, Zan Mo, ... Yanjun Chen in Journal of the Knowledge Economy
    Article 10 April 2024
  13. Activity strategies, bank stability and policy uncertainty

    This study examines how activity strategies can affect bank stability in times of uncertainty, given the potential benefits and costs of having...

    Tien V. Nguyen, Anh Phan, Dung Viet Tran in Journal of Economics and Finance
    Article 11 July 2023
  14. Bank efficiency and the bank lending channel: new evidence

    We test the bank lending channel of monetary policy in Africa and examine the role of bank cost efficiency in this relationship. We use the...

    Richard Adjei Dwumfour, Eric Fosu Oteng-Abayie, Emmanuel Kwasi Mensah in Empirical Economics
    Article 22 January 2022
  15. Tracking Foreign Capital: The Effect of Capital Inflows on Bank Lending in the UK

    This paper examines how UK banks channel foreign capital to the individual sectors of the domestic economy and to overseas residents. Information...

    Christiane Kneer, Alexander Raabe in IMF Economic Review
    Article 13 September 2023
  16. Bank intermediation margins in transition banking domains: panel evidence from Africa

    Develo** countries are noted for higher interest margins, and banking in Africa has recently witnessed the rise of African regional banks with a...

    Bismark Addai, Wen** Tang, ... Kingsley Opoku Appiah in Economic Change and Restructuring
    Article 11 March 2023
  17. Global Bank Lending Under Climate Policy

    What is the response of bank foreign subsidiaries to climate policy in their host countries? This paper finds that global banks with high...

    Asli Demirgüç-Kunt, Alvaro Pedraza, ... Claudia Ruiz-Ortega in IMF Economic Review
    Article 26 August 2023
  18. Stability versus soundness: what matters for women central bank governors?

    Using cross-country data, the paper examines the influence of women central bank governors (WCBGs) on bank soundness and stability. The evidence...

    Article 19 April 2023
  19. The Impact of Market Concentration on Bank Risk-Taking: Evidence from a Panel Threshold Model

    This study investigates the presence of a non-linear relationship between market concentration and bank risk-taking using a balanced dataset of 78...

    Rim Ben Abdesslem, Halim Dabbou, Mohamed Imen Gallali in Journal of the Knowledge Economy
    Article 21 May 2022
  20. Impact of macroeconomic cyclical indicators and country governance on bank non-performing loans in Emerging Asia

    Non-performing loans (NPLs) is an important credit risk in Emerging Asia, namely China, Hong Kong, Indonesia, India, Malaysia, Philippines,...

    Nurfilzah Arham, Mohd Shamlie Salisi, ... Jasman Tuyon in Eurasian Economic Review
    Article 06 October 2020
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