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On the determinants of bank interest margins under credit and interest rate risks. (1997). Kit, Pong Wong.
In: Journal of Banking & Finance.
RePEc:eee:jbfina:v:21:y:1997:i:2:p:251-271.

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Cited: 44

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    In: IJFS.
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  2. How Does Distress Acquisition Incentivized by Government Purchases of Distressed Loans Affect Bank Default Risk?. (2018). Chen, Shi ; Chang, Chuen-Ping ; Lin, Jyh-Jiuan.
    In: Risks.
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  3. Bank Interest Margin, Multiple Shadow Banking Activities, and Capital Regulation. (2018). Huang, Fu-Wei ; Chen, Shi ; Lin, Jyh-Horng.
    In: IJFS.
    RePEc:gam:jijfss:v:6:y:2018:i:3:p:63-:d:155847.

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  4. Perception of Tourism Impact and Support Tourism Development in Terengganu, Malaysia. (2017). Afthanorhan, Asyraf ; Fazella, Sharifah ; Awang, Zainudin.
    In: Social Sciences.
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  5. Equities of scope as merger incentives under capital regulation: narrow versus synergy banking valuation. (2016). Chen, Shi ; Jou, Rosemary ; Tsai, Jeng-Yan .
    In: Applied Economics.
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  6. Macroprudential regulation and bank behaviour: theory and evidence from a quasi-natural experiment. (2015). Ghosh, Saibal.
    In: Macroeconomics and Finance in Emerging Market Economies.
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  7. How do banks respond to increased funding uncertainty?. (2015). Walther, Ansgar ; Ritz, Robert.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:24:y:2015:i:3:p:386-410.

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  8. How do banks respond to increased funding uncertainty?. (2014). Walther, Ansgar ; Ritz, Robert.
    In: Cambridge Working Papers in Economics.
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  9. These Are the Good Old Days: Foreign Entry and the Mexican Banking System. (2013). Musacchio, Aldo ; Haber, Stephen H..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:18713.

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  10. Cheap money and risk taking: Opacity versus fundamental risk. (2013). Vardy, Felix ; Drees, Burkhard ; Eckwert, Bernhard.
    In: European Economic Review.
    RePEc:eee:eecrev:v:62:y:2013:i:c:p:114-129.

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  11. Determinants of bank interest spread in Estonia. (2012). Mannasoo, Kadri.
    In: Bank of Estonia Working Papers.
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  12. How do banks respond to increased funding uncertainty?. (2012). Ritz, Robert.
    In: Cambridge Working Papers in Economics.
    RePEc:cam:camdae:1213.

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  13. Banks management of the net interest margin: Evidence from Germany. (2011). Schertler, Andrea ; Memmel, Christoph.
    In: Discussion Paper Series 2: Banking and Financial Studies.
    RePEc:zbw:bubdp2:201113.

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  14. Cheap Money and Risk Taking: Opacity versus Underlying Risk. (2011). Vardy, Felix ; Drees, Burkhard ; Eckwert, Bernhard.
    In: EcoMod2011.
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  15. Bank liquidity providing in a real synergy management under a cap-based valuation. (2010). Chang, Chuen-Ping ; Lin, Jyh-Horng.
    In: Applied Economics.
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  16. How do banks respond to increased funding uncertainty?. (2010). Ritz, Robert.
    In: Economics Series Working Papers.
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  17. Macroeconomics of bank interest spreads: evidence from Brazil. (2010). Sobrinho, Nelson.
    In: Annals of Finance.
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  18. The bank lending channel of monetary transmission in Brazil: A VECM approach. (2010). Pisu, Mauro ; de Mello, Luiz.
    In: The Quarterly Review of Economics and Finance.
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  19. The Determinants of the Interest Rate Margins of Czech Banks. (2009). Horvath, Roman.
    In: Czech Journal of Economics and Finance (Finance a uver).
    RePEc:fau:fauart:v:59:y:2009:i:2:p:128-136.

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  20. Heterogeneity in Bank Pricing Policies: The Czech Evidence. (2009). Pruteanu-Podpiera, Anca ; Horvath, Roman.
    In: Working Papers.
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  21. BANKING SPREADS IN LATIN AMERICA. (2009). Gelos, R. Gaston.
    In: Economic Inquiry.
    RePEc:bla:ecinqu:v:47:y:2009:i:4:p:796-814.

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  22. The Asian Financial Crisis and Investors’ Risk Aversion. (2006). .
    In: Asia-Pacific Financial Markets.
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  23. The cyclicality of interest rate spreads in Austria: Evidence for a financial decelerator?. (2006). Burgstaller, Johann.
    In: Economics working papers.
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  24. Euro area banking sector integration: using hierarchical cluster analysis techniques. (2006). Kok, Christoffer ; Puigvert, Josep Maria .
    In: Working Paper Series.
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  25. Determinants of Interest Margins in Colombia. (2006). Estrada, Dairo ; Orozco, Ines ; Gomez, Esteban .
    In: BORRADORES DE ECONOMIA.
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  26. Determinants of Interest Margins in Colombia. (2006). Estrada, Dairo ; Gomez, Esteban ; Orozco, Ines.
    In: Borradores de Economia.
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  27. Managing Credit Risk with Credit Derivatives. (2005). Gilroy, Bernard ; Broll, Udo.
    In: MPRA Paper.
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  28. Loan Portfolio Swaps and Optimal Lending. (2005). Yi, Min-Li ; Lin, Jyh-Horng.
    In: Review of Quantitative Finance and Accounting.
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  29. The determinants of bank margins revisited: A note on the effects of diversification. (2005). Rodríguez Fernández, Francisco ; Carbo Valverde, Santiago.
    In: ThE Papers.
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  30. UNA REVISIÓN EMPÍRICA SOBRE LOS DETERMINANTES DEL MARGEN DE INTERMEDIACIÓN EN COLOMBIA, 1989-2003. (2005). Martínez, Constanza ; Ventura, Constanza Martinez .
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  31. Una revisión empírica sobre los determinantes del margen de intermediación en Colombia, 1989-2003. (2005). Ventura, Constanza Martinez .
    In: Revista ESPE - Ensayos sobre Política Económica.
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  32. Una revisión empírica sobre los determinantes del margen de intermediación en Colombia, 1989-2003. (2005). Martínez, Constanza ; Ventura, Constanza Martinez .
    In: Revista ESPE - Ensayos sobre Política Económica.
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  33. Transparency in the Interbank Market and the Volume of Bank Intermediated Loans. (2004). Eckwert, Bernhard ; Broll, Udo.
    In: Dresden Discussion Paper Series in Economics.
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  34. Interest rate pass-through in the Polish banking sector and bank-specific financial disturbances. (2004). Chmielewski, Tomasz.
    In: MPRA Paper.
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  35. Capital structure and the firm under uncertainty. (2003). Wong, Kit Pong ; Broll, Udo.
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  36. Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?. (2003). Arteta, Carlos.
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  37. EVOLUCIÓN DEL MARGEN DE INTERMEDIACIÓN EN ESPAÑA: ¿TIPOS DE INTÉRES, RIESGO, COSTES O COMPETENCIA?. (2003). Fernández de Guevara, Juan ; Juan Francisco Fernandez de Guevara Radoselovics, .
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  38. The pass-through from market interest rates to bank lending rates in Germany. (2002). Weth, Mark A..
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  39. Retail bank interest rate pass-through: new evidence at the euro area level. (2002). de Bondt, Gabe.
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  40. Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?. (2002). Arteta, Carlos.
    In: Center for International and Development Economics Research, Working Paper Series.
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  41. Estructura y desarrollo de instituciones financieras y su relación con la confianza: elementos de juicio de varios países. (2001). Galindo, Arturo ; Chong, Alberto ; Calderon, Cesar.
    In: Research Department Publications.
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  42. Structure and Development of Financial Institutions and Links with Trust: Cross-Country Evidence. (2001). Galindo, Arturo ; Chong, Alberto ; Calderon, Cesar.
    In: Research Department Publications.
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  43. Hedging of exchange rate risk and regression dependence. (1997). Wong, Kit-Pong ; Broll, Udo.
    In: Discussion Papers, Series II.
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References

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    RePEc:eee:jbfina:v:28:y:2004:i:9:p:2259-2281.

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  39. The impact of loan prepayment risk and deposit withdrawal risk on the optimal intermediation margin. (2004). Stanhouse, Bryan ; Stock, Duane .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:28:y:2004:i:8:p:1825-1843.

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  40. Factors Explaining the Interest Margin in the Banking Sectors of the European Union. (2003). Maudos, Joaquin ; Fernández de Guevara, Juan.
    In: MPRA Paper.
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  41. EVOLUCIÓN DEL MARGEN DE INTERMEDIACIÓN EN ESPAÑA: ¿TIPOS DE INTÉRES, RIESGO, COSTES O COMPETENCIA?. (2003). Fernández de Guevara, Juan ; Juan Francisco Fernandez de Guevara Radoselovics, .
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  42. Assessing the success of reform in transition banking 10 years later: an interest margins analysis. (2003). Drakos, Konstantinos.
    In: Journal of Policy Modeling.
    RePEc:eee:jpolmo:v:25:y:2003:i:3:p:309-317.

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  43. The pass-through from market interest rates to bank lending rates in Germany. (2002). Weth, Mark A..
    In: Discussion Paper Series 1: Economic Studies.
    RePEc:zbw:bubdp1:4176.

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  44. The Determinants of Bank Interest Spread in Brazil. (2001). Nakane, Marcio ; AFANASIEFF, TARSILA SEGALLA ; Priscilla Maria Villa Lhacer, .
    In: Anais do XXIX Encontro Nacional de Economia [Proceedings of the 29th Brazilian Economics Meeting].
    RePEc:anp:en2001:051.

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  45. The determinants of bank interest rate margins: an international study. (2000). Saunders, Anthony ; Schumacher, Liliana .
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:19:y:2000:i:6:p:813-832.

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  46. Understanding the behavior of bank spreads in Latin America. (2000). ROJAS-SUAREZ, LILIANA ; Brock, Philip L..
    In: Journal of Development Economics.
    RePEc:eee:deveco:v:63:y:2000:i:1:p:113-134.

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  47. Thrifty Viability and Traditional Mortgage Lending: A Simultaneous Equations Analysis of the Risk-Return Trade-Off. (1997). Lai, Van Son ; Collins, Cary M. ; McNulty, James E..
    In: Journal of Real Estate Research.
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  48. On the determinants of bank interest margins under credit and interest rate risks. (1997). Kit, Pong Wong.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:21:y:1997:i:2:p:251-271.

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  49. Commercial bank net interest margins, default risk, interest-rate risk, and off-balance sheet banking. (1997). Angbazo, Lazarus.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:21:y:1997:i:1:p:55-87.

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  50. Un modèle économétrique des marges bénéficiaires des caisses populaires Desjardins du Québec et des banques à charte canadiennes. (1991). Theoret, Raymond .
    In: L'Actualité Economique.
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