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Banking and Trading. (2016). Ratnovski, Lev ; Boot, Arnoud.
In: Review of Finance.
RePEc:oup:revfin:v:20:y:2016:i:6:p:2219-2246..

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  2. Internal mechanism analysis of the financial vanishing effect on green growth: Evidence from China. (2023). Norhidayah, Wan ; Abdul, Abdul Rahim ; Law, Siong Hook ; Cao, Jianhong.
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  3. Compositional effects of bank capital buffers and interactions with monetary policy. (2022). Reghezza, Alessio ; Spaggiari, Martina ; D'Acri, Costanza Rodriguez ; Cappelletti, Giuseppe.
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  4. Market power and bank systemic risk: Role of securitization and bank capital. (2022). Van Leuvensteijn, Michiel ; Marques-Ibanez, David ; Altunbas, Yener ; Zhao, Tianshu.
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  5. The multiple dimensions of bank complexity: Effects on credit risk-taking. (2022). Nobili, Andrea ; Marinelli, Giuseppe ; Palazzo, Francesco.
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  6. Bank business models, failure risk and earnings opacity: A short- versus long-term perspective. (2022). Boateng, Agyenim ; Danso, Albert ; James, Gregory A ; Lartey, Theophilus.
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  27. Credit Supply: Are there negative spillovers from banks’ proprietary trading? (RM/19/005-revised-). (2019). Kleimeier, Stefanie ; Kurz, Michael.
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  45. Did the Basel process of capital regulation enhance the resiliency of European Banks?. (2018). Gehrig, Thomas ; Iannino, Maria Chiara .
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  27. Why Do We Need Countercyclical Capital Requirements?. (2014). Jokivuolle, Esa ; Vesala, Timo ; Kiema, Ilkka .
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  28. Does Executive Compensation Reflect Default Risk?. (2014). Eckbo, B. ; Lu, Ching-Chih .
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  29. Wall Street and the Housing Bubble. (2014). Cheng, Ing-Haw ; Xiong, Wei ; Raina, Sahil .
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  30. The Redistributive Effects of Financial Deregulation. (2013). Korinek, Anton ; Kreamer, Jonathan .
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    In: IMF Working Papers.
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  35. Financial Stability Paper No 21: How could macroprudential policy affect financial system resilience and credit? Lessons from the literature. (2013). Tanaka, Misa ; Nelson, Benjamin ; Giese, Julia ; Tarashev, Nikola.
    In: Bank of England Financial Stability Papers.
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  36. Tailoring Bank Capital Regulation for Tail Risk. (2013). Klimenko, Nataliya .
    In: AMSE Working Papers.
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  37. Banking and Trading. (2012). Ratnovski, Lev ; Boot, Arnoud ; Arnoud W. A. Boot, .
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  38. Financial Crisis Resolution. (2012). Schroth, Josef.
    In: 2012 Meeting Papers.
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  39. Banking and Trading. (2012). Boot, Arnoud ; Ratnovski, Lev.
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  40. Neglected Risks, Financial Innovation, and Financial Fragility. (2012). Shleifer, Andrei ; Gennaioli, Nicola ; Vishny, Robert.
    In: Scholarly Articles.
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  41. Neglected risks, financial innovation, and financial fragility. (2012). Shleifer, Andrei ; Gennaioli, Nicola ; Vishny, Robert.
    In: Journal of Financial Economics.
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  42. International diversification: An extreme value approach. (2012). Lu, Ching-Chih ; de la Pea, Victor ; Chollete, Lorn .
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  44. Measuring Systemic Risk. (2012). PHILIPPON, Thomas ; Pedersen, Lasse ; Acharya, Viral ; Richardson, Matthew P.
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  45. Robust Capital Regulation. (2012). Thakor, Anjan ; Schuermann, Til ; Mehran, Hamid ; Acharya, Viral.
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  46. Bank Risk during the Financial Crisis: Do business models matter?. (2012). Marques-Ibanez, David ; Manganelli, Simone ; Altunbas, Yener.
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  47. Bank risk during the financial crisis: do business models matter?. (2011). Marques-Ibanez, David ; Manganelli, Simone ; Altunbas, Yener.
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  50. Neglected Risks, Financial Innovation, and Financial Fragility. (2010). Shleifer, Andrei ; Gennaioli, Nicola ; Vishny, Robert.
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