- Allison, P. D. (2009). Fixed effects regression models, Volume 160. SAGE publications. Ambrus-Lakatos, L. and U. Hege (2012). Internal capital markets: The insurance-contagion trade-off. Technical report, EFA 2002 Berlin Meetings Presented Paper. Available at SSRN: http://ssrn.com/abstract=302799.
Paper not yet in RePEc: Add citation now
- Angrist, J. D. (2001). Estimation of limited dependent variable models with dummy endogenous regressors. Journal of Business & Economic Statistics 19(1), 2–28.
Paper not yet in RePEc: Add citation now
Angrist, J. D. and A. B. Krueger (2001). Instrumental variables and the search for identiï¬Âcation: From supply and demand to natural experiments. Journal of Economic Perspectives 15(4), 69–85.
Angrist, J. D. and J.-S. Pischke (2009). Mostly Harmless Econometrics: An Empiricist’s Companion. Princeton University Press, Princeton, NJ.
Banal-Estanol, A., M. Ottaviani, and A. Winton (2013). The flip side of ï¬Ânancial synergies: Coinsurance versus risk contamination. Review of Financial Studies 26(22), 3142–3181.
BANCO DE ESPAÑA 35 DOCUMENTO DE TRABAJO N. 1704 Farinha, L. A. and J. A. C. Santos (2002). Switching from single to multiple bank lending relationships: Determinants and implications. Journal of Financial Intermediation 11(2), 124–151.
BANCO DE ESPAÑA 36 DOCUMENTO DE TRABAJO N. 1704 Petersen, M. A. and R. G. Rajan (1994). The beneï¬Âts of lending relationships: Evidence from small business data. The Journal of Finance 49(1), 3–37.
- Basinger, S. J. and M. J. Ensley (2010). Endogeneity problems with binary treatments: A comparison of models. Technical report.
Paper not yet in RePEc: Add citation now
Berger, A. N. and G. F. Udell (1995). Relationship lending and lines of credit in small ï¬Ârm ï¬Ânance. The Journal of Business 68(3), 351–81.
- Berger, A. N., G. Cerqueiro, and M. F. Penas (2014). Market size structure and small business lending: Are crisis times different from normal times? Review of Finance.
Paper not yet in RePEc: Add citation now
Berger, A. N., N. H. Miller, M. A. Petersen, R. G. Rajan, and J. C. Stein (2005). Does function follow organizational form? evidence from the lending practices of large and small banks. Journal of Financial Economics 76(2), 237–269.
Cameron, A. C. and P. K. Trivedi (2010). Microeconometrics using stata. Stata Press College Station, TX.
Cole, R. A. (1998). The importance of relationships to the availability of credit. Journal of Banking & Finance 22(68), 959–977.
Degryse, H. and P. Van Cayseele (2000). Relationship lending within a bank-based system: Evidence from european small business data. Journal of Financial Intermediation 9(1), 90–109.
- Degryse, H. and S. Ongena (2001). Bank relationships and ï¬Ârm proï¬Âtability. Financial Management 30(1), 9.
Paper not yet in RePEc: Add citation now
- Dimitrov, V. and S. Tice (2006). Corporate diversiï¬Âcation and credit constraints: Real effects across the business cycle. Review of Financial Studies 19(4), 1465–1498.
Paper not yet in RePEc: Add citation now
Faure-Grimaud, A. and R. Inderst (2005). Conglomerate entrenchment under optimal ï¬Ânancial contracting. The American Economic Review 95(3), pp. 850–861.
Hann, R. N., M. Ogneva, and O. Ozbas (2013). Corporate diversiï¬Âcation and the cost of capital. The Journal of Finance 68(5), 1961–1999.
Harhoff, D. and T. Korting (1998). Lending relationships in germany empirical evidence from survey data. Journal of Banking & Finance 22(1011), 1317 – 1353.
- Hausman, J. (1978). Speciï¬Âcation tests in econometrics. Econometrica 46(6), 1251–1271.
Paper not yet in RePEc: Add citation now
Horrace, W. C. and R. L. Oaxaca (2006). Results on the bias and inconsistency of ordinary least squares for the linear probability model. Economics Letters 90(3), 321 – 327.
Inderst, R. and H. M. Muller (2003). Internal versus external ï¬Ânancing: An optimal contracting approach. The Journal of Finance 58(3), 1033–1062.
Jimenez, G. and J. Saurina (2004). Collateral, type of lender and relationship banking as determinants of credit risk. Journal of Banking & Finance 28(9), 2191–2212.
- Khanna, T. and K. Palepu (2000). Is group affiliation proï¬Âtable in emerging markets? an analysis of diversiï¬Âed indian business groups. The Journal of Finance 55(2), 867–891.
Paper not yet in RePEc: Add citation now
Kleimeier, S. and W. L. Megginson (2000). Are project ï¬Ânance loans different from other syndicated credits? Journal of Applied Corporate Finance 13(1), 75–87.
- Kuppuswamy, V. and B. Villalonga (2010). Does diversiï¬Âcation create value in the presence of external ï¬Ânancing constraints? evidence from the 2007-2009 ï¬Ânancial crisis. Technical report, Harvard Business School Finance Working Paper No. 10-101.
Paper not yet in RePEc: Add citation now
Leland, H. E. (2007). Financial synergies and the optimal scope of the ï¬Ârm: Implications for mergers, spinoffs,and structured ï¬Ânance. The Journal of Finance 62(2), 765–807.
- Long, J. S. (1997). Regression models for categorical and limited dependent variables (2 ed.). SAGE Publications.
Paper not yet in RePEc: Add citation now
- Lundberg, M., M. Over, and P. Mujinja (1999). Sources of Financial Assistance for Households Suffering an Adult Death. Policy Research Working Papers, The World Bank.
Paper not yet in RePEc: Add citation now
Michaelas, N., F. Chittenden, and P. Poutziouris (1999). Financial policy and capital structure choice in U.K. SMEs: Empirical evidence from company panel data. Small Business Economics 12(2), 113–130.
Ogawa, K., E. Sterken, and I. Tokutsu (2007). Why do japanese ï¬Ârms prefer multiple bank relationship? some evidence from ï¬Ârm-level data. Economic Systems 31(1), 49–70.
Petersen, M. A. and R. G. Rajan (2002). Does distance still matter? the information revolution in small business lending. The Journal of Finance 57(6), 2533–2570.
- Subramanian, K. V. and F. Tung (2016). Law and project ï¬Ânance. Journal of Financial Intermediation 25, 154 – 177.
Paper not yet in RePEc: Add citation now
- Wooldridge, J. M. (2002a). Econometric analysis of cross section and panel data. MIT Press.
Paper not yet in RePEc: Add citation now
- Wooldridge, J. M. (2002b). Introductory Econometrics: A Modern Approach. South-Western College Pub, 2nd edition.
Paper not yet in RePEc: Add citation now
Yan, A., Z. Yang, and J. Jiao (2010). Conglomerate investment under various capital market conditions. Journal of Banking & Finance 34(1), 103–115.