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Diversification in Banking: Is Noninterest Income the Answer?. (2004). Stiroh, Kevin.
In: Journal of Money, Credit and Banking.
RePEc:mcb:jmoncb:v:36:y:2004:i:5:p:853-82.

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  2. Does financial inclusion moderate the effect of digital transformation on banks’ proportion of non-interest income in China?. (2024). Masron, Tajul Ariffin ; Yang, Fan.
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  3. Diversification and bank stability: Role of political instability and climate risk. (2024). Shahab, Yasir ; Jiang, Ping ; Shabir, Mohsin ; Mehroush, Iqra ; Iik, Ozcan ; Wang, Wenhao.
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  4. Bank financing diversification, market structure, and stability in a dual-banking system. (2024). Smolo, Edib ; Bacha, Obiyathulla ; Eho, Mirzet.
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  5. Does national culture influence malfeasance in banks around the world?. (2024). Conlon, Thomas ; Huan, Xing ; Muckley, Cal B.
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  6. Monetary winds of change: Exploring the link between policy shifts and bank profitability in developed and emerging European markets. (2024). Spyromitros, Eleftherios ; Papadamou, Stephanos ; Karpetis, Christos ; Raftis, Achilleas.
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  19. How do noninterest income activities affect bank holding company performance?. (2023). Wilson, Craig ; Meier, Garrett ; Mamun, Abdullah.
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  23. The evolution of bank fees as a source of income: trends and new business models – evidence from Italy. (2023). Santioni, Raffaele ; D'Amato, Matteo ; Affinito, Massimiliano.
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  24. Off-Balance Sheet Activities and Scope Economies in U.S. Banking. (2023). Malikov, Emir ; Zhang, Jingfang.
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  32. Non-interest Income and Profitability: A Case of Pakistani Banks. (2022). Javaid, Shahid Hussain.
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  40. Increasing profitability through contingent convertible capital: Empirical evidence from European banks. (2022). Petras, Matthias.
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  41. Do non-performing loans impact bank efficiency?. (2022). Tran, Huy Phuoc ; van Vu, Huong ; Phung, Quang Thanh.
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  42. The Trilogy of Ownership, Income Diversification, and Performance Nexus: Empirical Evidence from Tunisian Banks. (2022). Grira, Jocelyn ; Kahloul, Ines ; Alouane, Nour.
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  46. Is bank diversification a linking channel between regulatory capital and bank value?. (2022). Velasco, Pilar.
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  74. Achieving a sustainable cost-efficient business model in banking: The case of European commercial banks. (2021). Lozano-Vivas, Ana ; Kumbhakar, Subal ; Badunenko, Oleg ; Lozanovivas, Ana.
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  75. Income diversification and bank risk in Asia Pacific. (2021). Lin, Yongjia ; Wang, Chunyang.
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  76. An examination of diversification on bank profitability and insolvency risk in 28 financially liberalized markets. (2021). Argyle, Bronson ; Parsons, Richard ; Nguyen, James.
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  77. How Do Bank Capital and Capital Buffer Affect Risk: Empirical Evidence from Large US Commercial Banks. (2021). Abbas, Faisal ; Younas, Zahid Irshad.
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  78. IMPACT OF INVESTMENT, FINANCIAL AND TRADE FREEDOM ON BANK’S RISK-TAKING. (2021). Faisal, Abbas.
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  79. Effects of wealth management products on bank risk in China: The role of audit committee effectiveness. (2021). Zhang, Junrui ; Cheng, Maoyong ; Geng, Hongyan.
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  80. Banks noninterest income and securities holdings in a low interest rate environment: The case of Italy. (2021). Williams, Jonathan ; Reghezza, Alessio ; Molyneux, Philip ; Torriero, Chiara.
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  81. How does the financial market evaluate business models? Evidence from European banks. (2021). Ferretti, Riccardo ; Landi, Andrea ; Venturelli, Valeria ; Gualandri, Elisabetta ; Cosma, Stefano.
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  82. Foreign Bank Assets and Presence on Banking Stability in Africa: Does Strong and Weak Corporate Governance Systems under different Regulatory Regimes Matter?. (2021). KUSI, BAAH ; Asongu, Simplice ; Abor, Joshua Yindenaba ; Agbloyor, Elikplimi.
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  83. Foreign Bank Assets and Presence on Banking Stability in Africa: Does Strong and Weak Corporate Governance Systems under different Regulatory Regimes Matter?. (2021). Asongu, Simplice ; Agbloyor, Elikplimi ; Kusi, Baah Aye ; Abor, Joshua Yindenaba.
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  85. .

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  86. Bank Leverage Limits and Regulatory Arbitrage: Old Question?New Evidence. (2020). Choi, Dong Beom ; Morgan, Donald P ; Holcomb, Michael R.
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  87. Trends and turning points of banking: a timespan view. (2020). Marjaie, Seyedali ; Hanafizadeh, Payam.
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  88. Real estate prices and banking performance: evidence from Canada. (2020). Killins, Robert N.
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  89. Drivers of Bank Default Risk: Bank Business Models, the Sovereign and Monetary Policy. (2020). Vander Vennet, Rudi ; Soenen, Nicolas.
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  90. Diversification, efficiency and risk of banks: New consolidating evidence from emerging economies. (2020). Wu, Ji ; Jeon, Bang ; Chen, Minghua.
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  91. Financial Sector Transparency and Net Interest Margins: Should the Private or Public Sector lead Financial Sector Transparency?. (2020). Asongu, Simplice ; Gyeke-Dako, Agyapomaa ; Agbloyor, Elikplimi ; Kusi, Baah.
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  92. Investor sentiment and insurers’ financial stability: do sovereign ratings matter?. (2020). Ye, Zhiwei ; Ullah, Farid ; Shahab, Yasir ; Ahmed, Danish .
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  93. Bank Transparency and the Market’s Perception of Bank Risk. (2020). Kim, Yongsik.
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  94. Risk Governance and Performance: Evidence From Eurozone¡¯s Large Banks. (2020). Capuano, Paolo ; Agnese, Paolo.
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  95. Bank Diversification and Focus in Disruptive Times: China, 2007–2018. (2020). Tortosa-Ausina, Emili ; Wu, Minzhi.
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  96. How Organizational and Geographic Complexity Influence Performance? Evidence from European Banks. (2020). TARAZI, Amine ; Annick, Pamen ; Sauviat, Alain.
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  97. Bank Profitability and Efficiency in Portugal and Spain: A Non-Linearity Approach. (2020). Dias, Antonio ; Proena, Catarina ; Neves, Maria Elisabete.
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  98. Financial Sector Transparency and Net Interest Margins: Should the Private or Public Sector lead Financial Sector Transparency?. (2020). KUSI, BAAH ; Asongu, Simplice ; Agbloyor, Elikplimi ; Gyeke-Dako, Agyapomaa.
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  99. The Role of Block Shareholders in the Relationship between Diversification and Bank Performance in Vietnam. (2020). Viet, Pham Quoc.
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  100. Performance of Canadian banks and oil price movements. (2020). Mollick, Andre V ; Killins, Robert N.
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  101. Financial Sector transparency and net interest margins: Should the private or public Sector lead financial Sector transparency?. (2020). Asongu, Simplice ; Agbloyor, Elikplimi ; Gyeke-Dako, Agyapomaa ; Kusi, Baah Aye.
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  102. Bank business models and liquidity creation. (2020). Tran, Dung Viet.
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  103. On the income diversification and bank market power nexus in the MENA countries: Evidence from a GMM panel-VAR approach. (2020). Zoghlami, Feten ; Zouaoui, Haykel.
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  104. Economic policy uncertainty and credit growth: Evidence from a global sample. (2020). LE, Thai-Ha ; Canh, Nguyen ; Su, Thanh Dinh ; Nguyen, Canh Phuc.
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  105. Competition and diversification in the European Banking Sector. (2020). Cpraru, Bogdan ; Pintilie, Nicoleta-Livia ; Ihnatov, Iulian.
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  106. Heterogeneous patterns of income diversification effects in U.S. bank holding companies. (2020). Kim, Yong-Cheol.
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  107. Efficiency, diversification, and performance of US banks. (2020). Hassan, M. Kabir ; Khan, Abu ; Ozkan, Bora ; Boujlil, Rhada ; Maroney, Neal.
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  108. Bank diversification and systemic risk. (2020). Chou, Ray Yeutien ; Liu, Chih-Liang ; Yang, Hsin-Feng .
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  109. Funding liquidity risk and banks risk-taking: Evidence from Islamic and conventional banks. (2020). Temimi, Akram ; Miniaoui, Hela ; Mimouni, Karim ; Smaoui, Houcem.
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  110. Unconventional monetary policy and bank risk taking. (2020). Vander Vennet, Rudi ; Meuleman, Elien ; Matthys, Thomas.
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  111. Discerning the impact of disaggregated non-interest income activities on bank risk and profits in the post-Gramm-Leach-Bliley Act era. (2020). Ghosh, Amit.
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  112. Breaking the Bank? A Probabilistic Assessment of Euro Area Bank Profitability. (2020). Mitra, Srobona ; Malik, Sheheryar ; Elekdag, Selim.
    In: Journal of Banking & Finance.
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  113. Does uniqueness in banking matter?. (2020). Norden, Lars ; Spargoli, Fabrizio ; Liu, Frank Hong.
    In: Journal of Banking & Finance.
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  114. Economic uncertainty and bank risk: Evidence from emerging economies. (2020). Jeon, Bang ; Chen, Minghua ; Yao, Yao ; Wu, JI.
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  115. Macroprudential policy and bank systemic risk. (2020). Vander Vennet, Rudi ; Meuleman, Elien.
    In: Journal of Financial Stability.
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  116. Strategic scope and bank performance. (2020). Schmid, Markus ; Walter, Ingo ; Saunders, Anthony.
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  117. Diversification, efficiency and risk of banks: Evidence from emerging economies. (2020). Jeon, Bang ; Chen, Minghua ; Wu, JI.
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  118. Why have negative nominal interest rates had such a small effect on bank performance? Cross country evidence. (2020). Spiegel, Mark ; Rose, Andrew ; Lopez, Jose.
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  119. The double-edged sword effect of diversified operation on pre- and post-loan risk in the government-led Chinese commercial banks. (2020). Fu, Jingyuan ; Liu, Bai ; Wang, Shuyao ; Zhang, Ailian.
    In: The North American Journal of Economics and Finance.
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  120. Bank fee-based shocks and the U.S. business cycle. (2020). Theoret, Raymond ; Calmes, Christian.
    In: The North American Journal of Economics and Finance.
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  121. Bank deregulation and corporate risk. (2020). Lin, Chen ; Levine, Ross ; Wei, Lai ; Jiang, Tianjiao.
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  122. How government regulation of interbank financing impacts risk for Chinese commercial banks. (2020). Fu, Jingyuan ; Liu, Bai ; Wang, Shuyao ; Zhang, Ailian.
    In: Journal of Asian Economics.
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  123. Market Concentration and Income Diversification: Do They Always Promote the Financial Stability of Banking Industry?. (2020). Delgado-Fuentealba, Carlos Leandro ; Veloso-Ramos, Carmen Lissette ; Sepulveda-Yelpo, Sandra Maria ; Muoz, Jorge Andrs.
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  124. ACTIVITY STRATEGIES, AGENCY PROBLEMS, AND BANK RISK. (2020). Louvet, Pascal ; Girerdpotin, Isabelle ; Hassan, Kabir M ; Tran, Dung V.
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  125. Economies or diseconomies of scope in the EU banking industry?. (2020). Rossi, Ludovico ; Beccalli, Elena.
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  126. Does a banks business model affect its capital and profitability?. (2020). Vouldis, Angelos ; Farne, Matteo.
    In: Economic Notes.
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  127. A new approach to measuring universal banking. (2020). Shabani, Mimoza ; D'Avino, Carmela.
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  128. Ownership structure, size, and interest income substitution by banks: An exploratory study in the Indian context. (2020). Kaur, Parneet .
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  129. Does bank transparency benefit from the Volcker Rule?. (2020). Pei, Sha ; Liu, Zhentao.
    In: Accounting and Finance.
    RePEc:bla:acctfi:v:60:y:2020:i:2:p:1471-1500.

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  130. The role of bank supply in the Italian credit market: evidence from a new regional survey. (2020). Orame, Andrea.
    In: Temi di discussione (Economic working papers).
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  131. Economies of scale revisited: evidence from Italian banks. (2020). Ciocchetta, Federica ; di Patti, Emilia Bonaccorsi.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  132. Financial Sector Transparency and Net Interest Margins: Should the Private or Public Sector lead Financial Sector Transparency?. (2020). KUSI, BAAH ; Asongu, Simplice ; Gyeke-Dako, Agyapomaa ; Agbloyor, Elikplimi K.
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  133. Financial Sector Transparency and Net Interest Margins: Should the Private or Public Sector lead Financial Sector Transparency?. (2020). Asongu, Simplice ; Gyeke-Dako, Agyapomaa ; Agbloyor, Elikplimi K ; Kusi, Baah A.
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  135. Model of Risk Diversification in the Banking Sector. (2019). Karkowska, Renata ; Renata, Karkowska .
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  136. Income Diversification, Market Power and Performance. (2019). Githaiga, Peter Nderitu.
    In: Journal of Economics and Financial Analysis.
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  137. MACROPRUDENTIAL POLICY AND BANK SYSTEMIC RISK. (2019). Vander Vennet, Rudi ; Meuleman, Elien .
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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  138. Competition and Stability in African Banking. (2019). Papadopoulos, Simeon.
    In: The Review of Finance and Banking.
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  139. Da che dipende il rischio delle banche? Il beta fondamentale delle banche europee (What does banks riskiness depend on? The fundamental beta of Europes banks). (2019). Venanzi, Daniela.
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  140. Does diversification affect the quality of loan portfolio?Panel Granger-causality evidence from US banks. (2019). Tran, Dung ; Ho, Sy-Hoa.
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  141. Bank Earnings Management using Commission and Fee Income: the Role of Investor Protection and Economic Fluctuation. (2019). Ozili, Peterson K.
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  142. Determinants of CDS trading on major banks. (2019). Wengerek, Sascha Tobias ; Uhde, Andre ; Hippert, Benjamin.
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  143. The universal bank model: Synergy or vulnerability?. (2019). Brei, Michael ; Yang, XI.
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  144. The effect of the Fed zero-lower bound announcementon bank profitability and diversification. (2019). Andrea, Alex Sclip.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  145. Breaking the Bank? A Probabilistic Assessment of Euro Area Bank Profitability. (2019). Mitra, Srobona ; Malik, Sheheryar ; Elekdag, Selim.
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  146. Banks’ Business Model and Credit Supply in Chile: The Role of a State-Owned Bank. (2019). Lemus, Antonio ; Cordova, Felipe ; Miguel, Biron.
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  147. Determinants of Banks’ Net Interest Margin: Evidence from the Euro Area during the Crisis and Post-Crisis Period. (2019). Aristei, David ; Angori, Gabriele ; Gallo, Manuela.
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  148. Macro stress testing euro area banks’ fees and commissions. (2019). Pancaro, Cosimo ; Mirza, Harun ; Kok, Christoffer.
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  149. Do different forms of government ownership matter for bank capital behavior? Evidence from China. (2019). Molyneux, Philip ; Liu, Hong ; Jiang, Chunxia.
    In: Journal of Financial Stability.
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  150. Market power and risk-taking of banks: Some semiparametric evidence from emerging economies. (2019). Jeon, Bang ; Chen, Minghua ; Guo, Mengmeng ; Wu, JI.
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  151. Banks’ Business Model and Credit Supply in Chile: The Role of a State-Owned Bank. (2019). Lemus, Antonio ; Cordova, Julio ; Miguel, Biron.
    In: EconomiX Working Papers.
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  152. Banks business model and credit supply in Chile: the role of a state-owned bank. (2019). Lemus, Antonio ; Cordova, Julio ; Biron, Miguel.
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  153. As long as the bank gains: expanding the retail distribution activity. (2019). Liberati, Danilo ; Vercelli, Francesco.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  154. Credit Risk and Financial Stability Under Controlling Effect of Financial Sector Development: A Study from Banking Sector of GCC Members. (2019). al Hussaini, Ahmed Nahar.
    In: International Journal of Asian Social Science.
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  155. Evidence of Non-Linear Relationship between Non-Interest Income and Profitability of Commercial Banks in Pakistan. (2019). Siddiqui, Danish ; Noor, Iraj.
    In: Asian Journal of Economic Modelling.
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  156. An analysis of non-traditional activities at German savings banks: Does the type of fee and commission income matter?. (2018). Kohler, Matthias.
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  157. Bank External Financing and Early Adoption of SFAS 133. (2018). Wang, Sophia I-Ling.
    In: Review of Pacific Basin Financial Markets and Policies (RPBFMP).
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  158. Banks’ earnings: Empirical evidence of the influence of economic and financial market factors. (2018). Alexandre, Hervé ; Albert, Stephane.
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  159. Bank net interest margins, the yield curve, and the 2007–2009 financial crisis. (2018). Mollick, Andre Varella ; Johnk, David W ; Egly, Peter V.
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  160. Income Diversification in Low Income Sub-Saharan African Countries’ Commercial Banks: A “Blessing” or “Curse”?. (2018). Magret, Olarewaju Odunayo.
    In: Folia Oeconomica Stetinensia.
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  161. The Role of Liquidity in Financial Intermediation. (2018). Khan, Muhammad Saifuddin .
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  162. Did Basel regulations cause a significant procyclicality?. (2018). Ly, Kim Cuong ; Shimizu, Katsutoshi.
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  163. Profitability drivers for Indian banks: a dynamic panel data analysis. (2018). Bapat, Dhananjay.
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  164. A directional semi-oriented radial DEA measure: an application on financial stability and the efficiency of banks. (2018). Tajik, Mohammad ; Matin, Reza Kazemi ; Kaffash, Sepideh.
    In: Annals of Operations Research.
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  165. Does Bank Size and Funding Risk Effect Banks’ Stability? A Lesson from Pakistan. (2018). Puah, Chin-Hong.
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  166. Diversification in Korean Banking Business: Is Non-interest Income a Financial Saviour?. (2018). Baek, Seungho.
    In: Journal of Emerging Market Finance.
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  167. The Influence of Income Diversification on Operating Stability of the Chinese Commercial Banking Industry. (2018). Wang, Chunyang ; Lin, Yongjia.
    In: Journal for Economic Forecasting.
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  168. Business Complexity and Risk Management: Evidence from Operational Risk Events in U.S. Bank Holding Companies. (2018). Wang, Jianlin ; Ozdagli, Ali ; Chernobai, Anna.
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  169. Market-Book Ratios of European Banks: What Does Explain the Structural Fall?. (2018). Venturelli, Valeria ; Landi, Andrea ; Gallo, Giovanni ; Ferretti, Riccardo.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  170. Market-Book Ratios of European Banks: What Does Explain the Structural Fall?. (2018). Ferretti, Riccardo ; Venturelli, Valeria ; Landi, Andrea ; Gallo, Giovanni.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  171. Banks? Non-Traditional Activities Under Regulatory Changes: Impact on Risk, Performance and Capital Adequacy. (2018). Lai, Van Son ; Guidara, Alaa ; Gueyie, Jean-Pierre.
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  172. Risk Targeting and Policy Illusions—Evidence from the Announcement of the Volcker Rule. (2018). Korte, Josef ; Keppo, Jussi.
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  173. Third-Party Payments Impact on Commercial Banks¡¯ Non-Interest Income: Evidence from China. (2018). Chunsom, Nada ; Xia, Huiwen.
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  174. Groups, Pricing, and Cost of Debt: Evidence from Turkey. (2018). Raymar, Steven ; Kullu, Melih A.
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  175. The Value Effect of Financial Reform on U.K. Banks and Insurance Companies. (2018). Shenai, Vijay ; Parise, Teresa Valeria.
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  176. Does bank diversification heterogeneously affect performance and risk-taking in ASEAN emerging economies?. (2018). Ashraf, Badar Nadeem ; Zheng, Changjun ; Gupta, Anupam Das ; Moudud-Ul, Syed.
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  177. Should microfinance institutions diversify or focus? A global analysis. (2018). Zamore, Stephen.
    In: Research in International Business and Finance.
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  178. What drives bank efficiency? The interaction of bank income diversification and ownership. (2018). Doong, Shuh-Chyi ; Lin, Kun-Li ; Doan, Anh-Tuan.
    In: International Review of Economics & Finance.
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  179. Systematic risk factors and bank failures. (2018). Sun, Junjie ; Zhao, Xinlei ; Wu, Deming.
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  180. The impact of the Volcker rule on targeted banks, systemic risk, liquidity, and financial reporting quality. (2018). Elayan, Fayez A ; Pacharn, Parunchana ; Brown, Kareen ; Aktas, Rafet .
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  181. Does it pay to get connected? An examination of bank alliance network and bond spread. (2018). TARAZI, Amine ; HASAN, IFTEKHAR ; Zhou, Mingming ; Meslier, Celine.
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  182. Organizational form, business strategies and the demise of demutualized building societies in the UK. (2018). Shiwakoti, Radha K ; Funnell, Warwick ; Iqbal, Abdullah.
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  183. Non-interest income and bank lending. (2018). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
    In: Journal of Banking & Finance.
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  184. Bank CEO materialism: Risk controls, culture and tail risk. (2018). Bushman, Robert M ; Smith, Abbie ; Dey, Aiyesha ; Davidson, Robert H.
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  185. Directional information effects of options trading: Evidence from the banking industry. (2018). Du, Brian ; Fung, Scott.
    In: Journal of International Financial Markets, Institutions and Money.
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  186. The effect of capital ratios on the risk, efficiency and profitability of banks: Evidence from OECD countries. (2018). Bitar, Mohammad ; Walker, Thomas ; Pukthuanthong, Kuntara.
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  187. Cooperative banks: What do we know about competition and risk preferences?. (2018). Mare, Davide Salvatore ; Clark, Ephraim ; Radi, Nemanja.
    In: Journal of International Financial Markets, Institutions and Money.
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  188. Can parents protect their children? Risk comparison analysis between affiliates of multi- and single-bank holding companies. (2018). Ly, Kim Cuong ; Opong, Kwaku ; Liu, Frank Hong.
    In: Journal of Financial Stability.
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  189. Should banks diversify or focus? Know thyself: The role of abilities. (2018). HASAN, IFTEKHAR ; Zhou, Mingming ; Kullu, Melih A ; Francis, Bill B.
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  190. Bank diversification and liquidity creation: Panel Granger-causality evidence from China. (2018). Hou, Xiaohui ; Wang, Qing ; Li, Wanli.
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  191. The Impact of Funding Liquidity on Risk-taking Behaviour of Vietnamese Banks: Approaching by Z-Score Measure. (2018). Thai, Nguyen Tran ; Quyen, Phan Gia.
    In: International Journal of Economics and Financial Issues.
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  192. Income diversification and bank performance: evidence from malaysian banks. (2018). Brahmana, Rayenda ; Gilbert, Rachel Elfra ; Kontesa, Maria.
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  193. Bank competition and stability in the United Kingdom. (2018). Straughan, Michael ; Francis, William ; de Ramon, S J A ; De-Ramon, Sebastian .
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  194. The Impact of Uncertainty on Financial Institutions. (2018). Xu, Bing ; Caglayan, Mustafa ; Baum, Christopher.
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  195. Determinants of bank profitability in emerging markets. (2018). Murcia, Andrés ; Kohlscheen, Emanuel ; Contreras, Juan ; Pabon, Andres Murcia .
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  196. A Survey of Systemic Risk Indicators. (2018). Rogantini Picco, Anna ; Di Cesare, Antonio.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  197. The impact of the interest rate level on bank profitability and balance sheet structure. (2018). Perez, Alejandro Ferrer ; Montes, Carlos Perez.
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  198. The impact of the interest rate level on bank profitability and balance sheet structure. (2018). Perez, Alejandro Ferrer ; Montes, Carlos Perez.
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  199. Effect of Non-interest Income on Profitability of Deposit Money Banks in Nigeria. (2018). Olowolaju, Philip Segun.
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  200. Additional evidence on transparency and bank financial performance. (2017). Stevenson, Bradley A ; McNulty, James E ; Akhigbe, Aigbe.
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  201. The Profitability and Risk Effects of Russian Banking Institutions’ Involvement in Bancassurance: Merger Simulation Methodology. (2017). Alexander, Ekimov.
    In: Ekonomika (Economics).
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  202. Bank Profitability and Risk-Taking under Low Interest Rates. (2017). Bikker, Jacob ; Vervliet, Tobias M.
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  203. Much ado about nothing? Interest and non-interest products and services: Their impact on small banks’ margins. (2017). Fredriksson, Antti ; McMillan, David ; Moro, Andrea ; Maresch, Daniela.
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  204. The Impact of Bank Size on Profit Stability in China. (2017). Chang, Tsangyao ; Chen, Chin-Chih .
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  205. A new approach to measuring universal banking. (2017). Shabani, Mimoza ; D'Avino, Carmela.
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  206. The Deposits Channel of Monetary Policy. (2017). Schnabl, Philipp ; Savov, Alexi ; Drechsler, Itamar.
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  207. Income Diversification and Bank Efficiency in Vietnam. (2017). Sang, Nguyen Minh.
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  208. Does Competition Affect Bank Risk?. (2017). Lin, Chen ; Levine, Ross ; Jiang, Liangliang .
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  209. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Venturelliunimore, Valeria Venturellivaleria ; Landi, Andrea ; Gualandri, Elisabetta ; Ferretti, Riccardo ; Cosma, Stefano.
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  210. How Does Financial Market Evaluate Business Models? Evidence From European Banks. (2017). Ferretti, Riccardo ; Venturelli, Valeria ; Landi, Andrea ; Gualandri, Elisabetta ; Cosma, Stefano.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
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  211. Technical Efficiency in Bank Liquidity Creation. (2017). Soula, Jean-Loup ; HASAN, IFTEKHAR.
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  212. Minority owned banks and efficiency revisited. (2017). Drago, Robert ; McGregory, Richard ; Kashian, Russell.
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  213. Non-interest Income, Trading, and Bank Risk. (2017). Zhang, Ting ; Huang, Ying Sophie ; Chen, Carl R.
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  214. Charter value and bank stability before and after the global financial crisis of 2007-2008 Charter value and bank stability before and after the global financial crisis of 2007-2008. (2017). TARAZI, Amine ; Rugemintwari, Clovis ; Bakkar, Yassine .
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  215. The determinants of bank profitability, does Islamic ethics perspective matter ? A comprehensive study on Islamic banks vs. Conventional ones. (2017). Agbodjo, Serge ; el Bahsh, Rana ; Lajimi, Kaouther Toumi.
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  216. Explaining banking stability in Sub-Saharan Africa. (2017). Dwumfour, Richard Adjei.
    In: Research in International Business and Finance.
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  217. The effects of revenue diversification and cross border banking on risk and return of banks in Africa. (2017). Sissy, Aisha Mohammed ; Abor, Joshua Yindenaba ; Amidu, Mohammed.
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  218. The effects of activity and geographic diversification on performance: Evidence from French financial institutions. (2017). JOUIDA, Sameh ; Bouzgarrou, Houssam ; Hellara, Slaheddine.
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  219. Income structure, profitability and risk in the European banking sector: The impact of the crisis. (2017). Maudos, Joaquin.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:39:y:2017:i:pa:p:85-101.

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  220. The effect of US bank holding companies’ exposure to asset-backed commercial paper conduits on the information opacity and systemic risk. (2017). Kozubovska, Mariolia .
    In: Research in International Business and Finance.
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  221. Additional evidence on transparency and bank financial performance. (2017). Akhigbe, Aigbe ; Stevenson, Bradley A ; McNulty, James E.
    In: Review of Financial Economics.
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  222. Reexamination of risk-taking incentives in banking: Realign incentives and curtail future episodes of mismanagement. (2017). Yang, Xiaolou .
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:64:y:2017:i:c:p:238-248.

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  223. Funding liquidity and bank risk taking. (2017). Wu, Eliza ; Scheule, Harald ; Khan, Muhammad Saifuddin .
    In: Journal of Banking & Finance.
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  224. Do foreign banks take more risk? Evidence from emerging economies. (2017). Wu, Ji ; Jeon, Bang ; Wang, Rui ; Chen, Minghua .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:82:y:2017:i:c:p:20-39.

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  225. Valuation of diversified banks: New evidence. (2017). Guerry, Nicolas ; Wallmeier, Martin .
    In: Journal of Banking & Finance.
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  226. The interaction between risk, return-risk trade-off and complexity: Evidence and policy implications for US bank holding companies. (2017). McMillan, David G.
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  227. Bank opacity and risk-taking: Evidence from analysts’ forecasts. (2017). Fosu, Samuel ; Murinde, Victor ; Coffie, William ; Ntim, Collins G.
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  228. Wealth and risk implications of the Dodd-Frank Act on the U.S. financial intermediaries. (2017). Andriosopoulos, Kostas ; Staikouras, Sotiris K ; Dontis-Charitos, Panagiotis ; Kei, KA.
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  229. Does foreign bank penetration affect the risk of domestic banks? Evidence from emerging economies. (2017). Wu, Ji ; Jeon, Bang ; Wang, Rui ; Chen, Minghua .
    In: Journal of Financial Stability.
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  230. National culture and bank performance: Evidence from the recent financial crisis. (2017). Mirzaei, Ali ; Samet, Anis ; Boubakri, Narjess.
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  231. How does the stock market value bank diversification? Evidence from Vietnam. (2017). Vo, Xuan Vinh.
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  232. Monetary policy and bank risk-taking: Evidence from emerging economies. (2017). Wu, Ji ; Jeon, Bang ; Wang, Rui ; Chen, Minghua .
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  233. Why is it a man’s world, after all? Women on bank boards in India. (2017). Ghosh, Saibal.
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  234. Market power and risk of Central and Eastern European banks: Does more powerful mean safer?. (2017). Lapteacru, Ion.
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  235. Asset quality, non-interest income, and bank profitability: Evidence from Indian banks. (2017). Ahamed, Mostak M.
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  236. Operational Diversification and Financial Performance of Sub-Saharan Africa Commercial Banks: Static and Dynamic Approach. (2017). Olarewaju, Odunayo Magret ; Sibanda, Mabutho ; Migiro, Stephen Oseko.
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  237. Bank profitability and risk-taking under low interest rates. (2017). Bikker, Jacob ; Vervliet, Tobias .
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  238. Does revenue diversification still matter in banking? Evidence from some European countries. (2017). Rossi, Simone ; Borroni, Mariarosa.
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  239. European Banks Straddling Borders: Risky or Rewarding?. (2017). Schoenmaker, Dirk ; Duijm, Patty.
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  240. Does Diversification Drive Down Risk-adjusted Returns? A Quantile Regression Approach. (2017). Jeungbo, Shim .
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  241. Empirical Evidence on Systemic as a Herd: The Case of Japanese Regional Banks. (2017). Kido, Yosuke ; Hirakata, Naohisa ; Thum, Jie Liang .
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  242. An overview of the UK banking sector since the Basel Accord: insights from a new regulatory database. (2017). Milonas, Kristoffer ; Francis, William ; de Ramon, S J A.
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  243. MACROECONOMIC AND BANK SPECIFIC DETERMINANTS OF NON-PERFORMING LOANS (NPLS) IN THE INDIAN BANKING SECTOR. (2017). Laila, Memdani .
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  244. Operating Performance Evaluation Based on Z-score Model and Profitability between Cross-Straits Credit Cooperatives. (2017). Lee, Kuei-Chiu ; Liu, Chien-Yen ; Su, Wun-Hong.
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  245. Income Diversification and Bank Risk-Return Trade-Off: Evidence from an Emerging Economy. (2017). , Ekanayake .
    In: Asian Economic and Financial Review.
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  247. To Separate or not to Separate Investment from Commercial Banking? An Empirical Analysis of Attention Distortion under Multiple Tasks. (2016). Park, Kyounghoon ; Gropp, Reint.
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  248. Non-Interest Income and Bank Performance: Does Ring-Fencing Reduce Bank Risk?. (2016). Schmid, Markus ; Saunders, Anthony ; Walter, Ingo.
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  249. Rating Performance and Bank Business Models: Is There a Change with the 2007–2009 Crisis?. (2016). Ferri, Giovanni ; D'Apice, Vincenzo ; Lacitignola, Punziana ; Dapice, Vincenzo.
    In: Italian Economic Journal: A Continuation of Rivista Italiana degli Economisti and Giornale degli Economisti.
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  250. Poverty Alleviation through Microfinance in North-East Kenya Province. (2016). Ali, Abd Elrahman.
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  251. Does foreign bank penetration affect the risk of domestic banks? Evidence from emerging economies. (2016). Wu, Ji ; Jeon, Bang ; Chen, Minghua ; Wang, Rui.
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  252. Do foreign banks take more risk? Evidence from emerging economies. (2016). Wu, Ji ; Jeon, Bang ; Chen, Minghua ; Wang, Rui.
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  253. Banks’ Wealth Management Activities in Australia. (2016). Golat, Theodore.
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  254. Bank risk shifting and diversification in an emerging market. (2016). Vo, Xuan Vinh ; Batten, Jonathan.
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  255. Capital Buffer, Credit Risk and Liquidity Behaviour: Evidence for GCC Banks. (2016). Ghosh, Saibal.
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  256. How Do Customers Respond to Increased Service Quality Competition?. (2016). Buell, Ryan W ; Frei, Frances X ; Campbell, Dennis .
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  257. Peer-Group Detection of Banks and Resilience to Distress. (2016). Pammolli, Fabio ; Flori, Andrea ; Giansante, Simone .
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  258. Bank Diversification into the Insurance Business: The Effects of the Deregulation of the Bank-Sales Channel at Japanese Banks. (2016). Yasuda, Yukihiro ; Okuyama, Eiji ; Konishi, Masaru.
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  259. Income and funding structures, banking regulation and bank risk-taking: The role of ownership in Central and Eastern European banks. (2016). Lapteacru, Ion.
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  260. Product diversification and bank performance: does ownership structure matter?. (2016). Saghi-Zedek, Nadia .
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  261. Regolamentazione bancaria: serve un cambio di approccio. (2016). Ferri, Giovanni.
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  262. Cost Efficiency of the Hong Kong Banking Sector: A Two-Stage DEA Window Analysis. (2016). Anwar, Sajid ; Phan, Hien Thu ; Alexander, Robert .
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  263. Financial fragility of banks, ownership structure and income diversification: Empirical evidence from the GCC region. (2016). Ramady, Mohamed ; Ashraf, Dawood ; Albinali, Khalid .
    In: Research in International Business and Finance.
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  264. Political transition and bank performance: How important was the Arab Spring?. (2016). Ghosh, Saibal.
    In: Journal of Comparative Economics.
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  265. Product diversification and bank performance: Does ownership structure matter?. (2016). Saghi-Zedek, Nadia .
    In: Journal of Banking & Finance.
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  266. State ownership, cross-border acquisition, and risk-taking: Evidence from China’s banking industry. (2016). Zhu, Wenyu ; Yang, Jiawen .
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  267. A net stable funding ratio for Islamic banks and its impact on financial stability: An international investigation. (2016). Ashraf, Dawood ; Lhuillier, Barbara ; Rizwan, Muhammad Suhail.
    In: Journal of Financial Stability.
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  268. How functional and geographic diversification affect bank profitability during the crisis. (2016). Brighi, Paola ; Venturelli, Valeria.
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  269. Bank risk and performance in the MENA region: The importance of capital requirements. (2016). Bitar, Mohammad ; Benlemlih, Mohammed ; Saad, Wadad .
    In: Economic Systems.
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  270. Size and support ratings of US banks. (2016). Poghosyan, Tigran ; de Haan, Jakob ; Werger, Charlotte .
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:37:y:2016:i:c:p:236-247.

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  271. Does local religiosity matter for bank risk-taking?. (2016). Adhikari, Binay Kumar ; Agrawal, Anup.
    In: Journal of Corporate Finance.
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  272. Profitability and Cost Efficiency of Islamic Banks: A Panel Analysis of Some Selected Countries. (2016). Yusof, Rosylin Mohd ; Aliyu, Sirajo.
    In: International Journal of Economics and Financial Issues.
    RePEc:eco:journ1:2016-04-60.

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  273. Determinants of Banking Sector Profitability in Zimbabwe. (2016). le Roux, Pierre ; Abel, Sanderson.
    In: International Journal of Economics and Financial Issues.
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  274. The Effect of Credit and Market Risk on Bank Performance: Evidence from Turkey. (2016). Ekinci, Aykut .
    In: International Journal of Economics and Financial Issues.
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  275. Bank Diversification and Overall Financial Strength: International Evidence. (2016). Pasiouras, Fotios ; Gaganis, Chrysovalantis ; Doumpos, Michael.
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  276. Branching Deregulation and Merger Optimality. (2016). Morales, Antonio ; Meléndez-Jiménez, Miguel ; Lozano-Vivas, Ana ; Melendez-Jimenez, Miguel A.
    In: Manchester School.
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  277. Cross-Industry Product Diversification and Contagion in Risk and Return: The case of Bank-Insurance and Insurance-Bank Takeovers. (2016). Elyasiani, Elyas ; Dontis-Charitos, Panagiotis ; Staikouras, Sotiris K.
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    RePEc:bla:jrinsu:v:83:y:2016:i:3:p:681-718.

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  278. Bank Competition: Measurement, Decision‐Making, and Risk‐Taking. (2016). Hendricks, Bradley E ; Bushman, Robert M ; Williams, Christopher D.
    In: Journal of Accounting Research.
    RePEc:bla:joares:v:54:y:2016:i:3:p:777-826.

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  279. Diversification, Size and Risk: the Case of Bank Acquisitions of Nonbank Financial Firms. (2016). Casu, Barbara ; Williams, Jonathan ; Staikouras, Sotiris ; Charitos, Panagiotis Dontisa.
    In: European Financial Management.
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  280. Management Behaviour in Vietnamese Commercial Banks. (2016). Roca, Eduardo ; Nghiem, Hong Son ; Thien, Thanh Pham.
    In: Australian Economic Papers.
    RePEc:bla:ausecp:v:55:y:2016:i:4:p:345-367.

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  281. The real effects of universal banking on firms’ investment: Micro-evidence from 2004-2009. (2016). Vinas, Frederic.
    In: Débats économiques et financiers.
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  282. An inquiry into the determinants of the profitability of Italian banks. (2016). Siviero, Stefano ; Notarpietro, Alessandro ; Albertazzi, Ugo.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  283. The Asymmetric Impact of Portfolio Mix on Bank Performance over the Business Cycle: U.S. and Canadian Evidence. (2016). Calms, Christian ; Thoret, Raymond .
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  284. Bank leverage and profitability: Evidence from a sample of international banks. (2015). Paladino, Giovanna ; Beltratti, Andrea.
    In: Review of Financial Economics.
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  285. Simple Banking: Profitability and the Yield Curve. (2015). Nelson, Benjamin ; Alessandri, Piergiorgio.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:47:y:2015:i:1:p:143-175.

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  286. The impact of bank size and funding risk on bank stability. (2015). Adusei, Michael ; Elliott, Caroline.
    In: Cogent Economics & Finance.
    RePEc:taf:oaefxx:v:3:y:2015:i:1:p:1111489.

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  287. Bank profitability: Insights from the rural banking industry in Ghana. (2015). Adusei, Michael ; Elliott, Caroline.
    In: Cogent Economics & Finance.
    RePEc:taf:oaefxx:v:3:y:2015:i:1:p:1078270.

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  288. Banking Innovations and New Income Streams: Impact on Banks’ Performance. (2015). Roy Trivedi, Smita.
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  289. Is Traditional Banking Declining? An Empirical Analysis of Banks in Ghana. (2015). Amankwaa, Albert ; Anku-Tsede, Olivia ; Damankah, Basil Senyo .
    In: International Journal of Academic Research in Accounting, Finance and Management Sciences.
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  290. The Benefits of Geographic Diversification in Banking. (2015). TARAZI, Amine ; Meslier Crouzille, Celine ; Morgan, Donald P ; Samolyk, Katherine .
    In: Working Papers.
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  291. Bank leverage and profitability: Evidence from a sample of international banks. (2015). Paladino, Giovanna ; Beltratti, Andrea.
    In: Review of Financial Economics.
    RePEc:eee:revfin:v:27:y:2015:i:c:p:46-57.

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  292. Foreign bank diversification and efficiency prior to and during the financial crisis: Does one business model fit all?. (2015). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Curi, Claudia .
    In: Journal of Banking & Finance.
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  293. Excess control rights, financial crisis and bank profitability and risk. (2015). TARAZI, Amine ; Saghi-Zedek, Nadia .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:55:y:2015:i:c:p:361-379.

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  294. Bank consolidation and stability: The Canadian experience, 1867–1935. (2015). Chu, Kam Hon .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:21:y:2015:i:c:p:46-60.

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  295. Which banks are more risky? The impact of business models on bank stability. (2015). Kohler, Matthias.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:16:y:2015:i:c:p:195-212.

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  296. US bank holding companies: Structure of activities and performance through the cycles. (2015). Albert, Stephane .
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  297. Role of off-balance sheet operations on bank scale economies: Evidence from Chinas banking sector. (2015). Li, Cheng ; Hou, Xiaohui ; Wang, Qing.
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:22:y:2015:i:c:p:140-153.

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  298. Does the bank risk concentration freeze the interbank system?. (2015). Lucchetta, Marcella.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:33:y:2015:i:c:p:149-166.

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  299. Alternative Banking and Theory. (2015). Olivier, Butzbach ; von Mettenheim Kurt E., .
    In: Accounting, Economics, and Law: A Convivium.
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  300. Profitability in the Greek Banking System: a Dual Investigation of Net Interest and Non-Interest Income. (2015). Vouldis, Angelos ; Louzis, Dimitrios.
    In: Working Papers.
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  301. Monetary Policy and the Diversification–Profitability Linkage in Banking: Evidences from Emerging Market Economies. (2015). Lee, Chien-Chiang ; Chen, Pei-Fen ; Zeng, Jhih-Hong .
    In: South African Journal of Economics.
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  302. The Role of Banks as Producers of Information: Can It Survive Competition and Cross-Selling Incentives?. (2015). Cosci, Stefania ; Sabato, Valentina ; Meliciani, Valentina.
    In: Review of Economics & Finance.
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  303. The Effect of Diversification of Banking Products on the Relationship between Market Power and Financial Stability. (2015). Labidi, Widede ; Mensi, Sami.
    In: American Journal of Economics and Business Administration.
    RePEc:abk:jajeba:ajebasp.2015.185.193.

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  304. Changing Perceptions of Maturity Mismatch in the U.S. Banking System: Evidence from Equity Markets. (2014). Hogan, Thomas ; Wiseman, Travis ; Young, Andrew T.
    In: Southern Economic Journal.
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  305. What explains the lack of monetary policy influence on bank holding companies?. (2014). Hassan, M. Kabir ; Mamun, Abdullah.
    In: Review of Financial Economics.
    RePEc:wly:revfec:v:23:y:2014:i:4:p:227-235.

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  306. Does non?interest income make banks more risky? Retail? versus investment?oriented banks. (2014). Kohler, Matthias.
    In: Review of Financial Economics.
    RePEc:wly:revfec:v:23:y:2014:i:4:p:182-193.

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  307. Do stock markets discipline US bank holding companies : Just monitoring, or also influencing?. (2014). Vander Vennet, Rudi ; De Jonghe, Olivier ; de Bruyckere, V.
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  308. What precludes the development of noninterest activities in Chinese commercial banks from the perspective of the price of interest activities?. (2014). Zhao, Hong ; Cheng, Maoyong ; Zhang, Junrui.
    In: Applied Economics.
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  309. Diversification and bank profitability: a nonlinear approach. (2014). Yang, Jing ; Scatigna, Michela ; Gambacorta, Leonardo.
    In: Applied Economics Letters.
    RePEc:taf:apeclt:v:21:y:2014:i:6:p:438-441.

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  310. Risk, capital and financial crisis. (2014). Ghosh, Saibal.
    In: MPRA Paper.
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  311. What drives investment bank performance? the role of risk, liquidity and fees prior to and during the crisis.. (2014). mamatzakis, emmanuel ; bermpei, t.
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  312. Originators, traders, neutrals, and traditioners – various banking business models across the globe. Does the business model matter for financial stability?. (2014). Hryckiewicz, Aneta.
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  313. Determinants of financial distress in u.s. large bank holding companies. (2014). zhang, zhuang ; Xie, Li ; Lu, Xiangyun.
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  314. Bank Diversification and Valuation: International Evidence. (2014). Fic, Tatiana ; Armstrong, Angus.
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  315. Structural Banking Reforms. (2014). Mitchell, Janet.
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  316. Bank Productivity Change and Off-Balance-Sheet Activities Across Different Levels of Economic Development. (2014). Pasiouras, Fotios ; Lozano-Vivas, Ana.
    In: Journal of Financial Services Research.
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  317. Why Do Banks Provide Leasing?. (2014). Noth, Felix ; Tyrell, Marcel ; Bulbul, Dilek .
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  318. The Benefits of Intrastate and Interstate Geographic Diversification in Banking. (2014). TARAZI, Amine ; Morgan, Donald ; Meslier Crouzille, Celine ; Samolyk, Katherine .
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  319. Non-Interest Income Activities and Bank Lending. (2014). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
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  320. Loan quality determinants: evaluating the contribution of bank-specific variables, macroeconomic factors and firm level information. (2014). Belaid, Faial .
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  321. Banking Business Models Monitor 2014: Europe. (2014). Ayadi, Rym ; de Groen, Willem Pieter .
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  322. What explains the lack of monetary policy influence on bank holding companies?. (2014). Hassan, M. Kabir ; Mamun, Abdullah .
    In: Review of Financial Economics.
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  323. Does non-interest income make banks more risky? Retail- versus investment-oriented banks. (2014). Kohler, Matthias.
    In: Review of Financial Economics.
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  324. Trading income and bank charter value during the financial crisis: Does derivatives dealer designation matter?. (2014). Sun, Jun ; Egly, Peter V..
    In: The Quarterly Review of Economics and Finance.
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  325. Disciplinary tools and bank risk exposure. (2014). Seth, Rama ; faff, robert ; Haq, Mamiza ; Mohanty, Sunil .
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  326. The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions. (2014). Apergis, Nicholas.
    In: Journal of International Money and Finance.
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  327. How do asset encumbrance and debt regulations affect bank capital and bond risk?. (2014). Lindset, Snorre ; Helberg, Stig.
    In: Journal of Banking & Finance.
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  328. The risk of financial intermediaries. (2014). Tsionas, Efthymios ; HASAN, IFTEKHAR ; Delis, Manthos.
    In: Journal of Banking & Finance.
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  329. The impacts of Gramm–Leach–Bliley bank diversification on value and risk. (2014). Filson, Darren ; Olfati, Saman .
    In: Journal of Banking & Finance.
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  330. Bank systemic risk and macroeconomic shocks: Canadian and U.S. evidence. (2014). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:40:y:2014:i:c:p:388-402.

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  331. The relationship between revenue diversification and bank performance: Do financial structures and financial reforms matter?. (2014). Lee, Chien-Chiang ; Hsieh, Meng-Fen ; Yang, Shih-Jui .
    In: Japan and the World Economy.
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  332. Stress testing banks. (2014). Schuermann, Til.
    In: International Journal of Forecasting.
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  333. Is bank income diversification beneficial? Evidence from an emerging economy. (2014). Tacneng, Ruth ; TARAZI, Amine ; Meslier, Celine.
    In: Journal of International Financial Markets, Institutions and Money.
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  334. The role of on- and off-balance-sheet leverage of banks in the late 2000s crisis. (2014). Wolff, Christian ; Papanikolaou, Nikolaos ; Wolff, Christian C. P., .
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  335. Asymmetric effects of households’ financial participation on banking diversification. (2014). Chen, Pei-Fen ; Zeng, Jhih-Hong .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:13:y:2014:i:c:p:18-29.

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  336. Is more finance better? Disentangling intermediation and size effects of financial systems. (2014). Degryse, Hans ; Beck, Thorsten ; Kneer, Christiane .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:10:y:2014:i:c:p:50-64.

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  337. What drives investment bank performance? The role of risk, liquidity and fees prior to and during the crisis. (2014). mamatzakis, emmanuel ; Bermpei, Theodora.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:35:y:2014:i:c:p:102-117.

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  338. Do stock markets discipline US Bank Holding Companies: Just monitoring, or also influencing?. (2014). Vander Vennet, Rudi ; De Jonghe, Olivier ; Baele, Lieven ; de Bruyckere, Valerie .
    In: The North American Journal of Economics and Finance.
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  339. Non-interest income, profitability, and risk in banking industry: A cross-country analysis. (2014). Lee, Chien-Chiang ; Chang, Chi-Hung ; Yang, Shih-Jui .
    In: The North American Journal of Economics and Finance.
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  340. Size and support ratings of US banks. (2014). Poghosyan, Tigran ; de Haan, Jakob ; Werger, Charlotte .
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  341. Foreign bank diversification and efficiency prior to and during the financial crisis: Does one business model fit all?. (2014). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Curi, Claudia.
    In: BEMPS - Bozen Economics & Management Paper Series.
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  342. Financial Centre Productivity and Innovation prior to and during the Financial Crisis. (2014). Lozano-Vivas, Ana ; Curi, Claudia.
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  343. The risk of financial intermediaries. (2014). Tsionas, Mike ; HASAN, IFTEKHAR ; Delis, Manthos.
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  344. Simple banking: profitability and the yield curve. (2014). Nelson, Benjamin ; Alessandri, Piergiorgio.
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  347. Does non-interest income make banks more risky? Retail- versus investment-oriented banks. (2013). Kohler, Matthias.
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  348. Proprietary Trading and the Real Economy. (2013). Arping, Stefan.
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  349. The relationship between size, growth and profitability of commercial banks. (2013). Shehzad, Choudhry Tanveer ; Scholtens, Bert ; de Haan, Jakob.
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  350. Bank characteristics and stock reactions to federal funds rate target changes. (2013). Yin, Haiyan ; Yang, .
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  351. The change in banks product mix, diversification and performance: An application of multivariate GARCH to Canadian data. (2013). Calmès, Christian ; Theoret, Raymond .
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  352. A CROSS-COUNTRY ANALYSIS OF THE BANKSâ€(tm) FINANCIAL SOUNDNESS: THE CASE OF THE CEE-3 COUNTRIES. (2013). SARGU, Alina ; ROMAN, Angela ; Angela, Roman ; Camelia, SARGU Alina .
    In: Annals of Faculty of Economics.
    RePEc:ora:journl:v:1:y:2013:i:1:p:357-367.

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  353. THE EFFECT OF REVENUE AND GEOGRAPHIC DIVERSIFICATION ON BANK PERFORMANCE. (2013). Venturelli, Valeria ; Brighi, Paola.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
    RePEc:mod:wcefin:13103.

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  354. THE EFFECT OF REVENUE AND GEOGRAPHIC DIVERSIFICATION ON BANK PERFORMANCE. (2013). Venturelli, Valeria ; Brighi, Paola.
    In: Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance).
    RePEc:mod:wcefin:0043.

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  355. How Income Diversification, Size and Capital Ratio Affect BHC’s Performance?. (2013). Brighi, Paola ; Venturelli, Valeria.
    In: Department of Economics (DEMB).
    RePEc:mod:dembwp:0025.

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  356. Is foreign-bank efficiency in financial centers driven by home or host country characteristics?. (2013). Zelenyuk, Valentin ; Lozano-Vivas, Ana ; Guarda, Paolo ; Curi, Claudia.
    In: Journal of Productivity Analysis.
    RePEc:kap:jproda:v:40:y:2013:i:3:p:367-385.

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  357. How Do Stock Markets in the US and Europe Price Efficiency Gains from Bank M&As?. (2013). Girardone, Claudia ; Nankervis, John ; Chronopoulos, Dimitris.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:43:y:2013:i:3:p:243-263.

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  358. Is Bank Income Diversification Beneficial? Evidence from an Emerging Economy. (2013). Tacneng, Ruth ; TARAZI, Amine ; Meslier Crouzille, Celine ; Meslier-Crouzille, Celine.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00918574.

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  359. Bank Opacity, Intermediation Cost and Globalization: Evidence from a Sample of Publicly Traded Banks in Asia. (2013). TARAZI, Amine ; Soedarmono, Wahyoe.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00916564.

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  360. Excess Control Rights, Financial Crisis and Bank Profitability and Risk. (2013). TARAZI, Amine ; saghi-zedek, nadia.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00916550.

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  361. Banks’ Earnings: an empirical evidence of the influence of economic and financial markets factors. (2013). Alexandre, Herve ; Albert, Stephane .
    In: Post-Print.
    RePEc:hal:journl:hal-01622842.

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  362. Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia. (2013). TARAZI, Amine ; Soedarmono, Wahyoe.
    In: Post-Print.
    RePEc:hal:journl:hal-01098719.

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  363. Risk in Islamic Banking. (2013). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
    In: Post-Print.
    RePEc:hal:journl:hal-01098717.

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  364. Interbank Deposits and Market Discipline: Evidence from Central and Eastern Europe. (2013). TARAZI, Amine ; DISTINGUIN, ISABELLE ; Kouassi, Tchudjane .
    In: Post-Print.
    RePEc:hal:journl:hal-01098716.

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  365. Nontraditional banking activities and bank failures during the financial crisis. (2013). Torna, Gokhan ; Deyoung, Robert ; De Young, Robert.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:22:y:2013:i:3:p:397-421.

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  366. Interbank deposits and market discipline: Evidence from Central and Eastern Europe. (2013). TARAZI, Amine ; DISTINGUIN, ISABELLE ; Kouassi, Tchudjane .
    In: Journal of Comparative Economics.
    RePEc:eee:jcecon:v:41:y:2013:i:2:p:544-560.

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  367. How do banks respond to shocks? A dynamic model of deposit-taking institutions. (2013). Dia, Enzo.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:9:p:3623-3638.

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  368. Do bank regulation, supervision and monitoring enhance or impede bank efficiency?. (2013). Ma, Yue ; Lin, Chen ; Barth, James ; Seade, Jesus ; Song, Frank M..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:8:p:2879-2892.

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  369. Bank stability and managerial compensation. (2013). Elyasiani, Elyas ; Bai, Gang .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:3:p:799-813.

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  370. Bank capital buffer and portfolio risk: The influence of business cycle and revenue diversification. (2013). Shim, Jeungbo .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:3:p:761-772.

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  371. Bank/sovereign risk spillovers in the European debt crisis. (2013). Vander Vennet, Rudi ; Schepens, Glenn ; de Bruyckere, Valerie ; Gerhardt, Maria .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:12:p:4793-4809.

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  372. Market-oriented banking, financial stability and macro-prudential indicators of leverage. (2013). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:27:y:2013:i:c:p:13-34.

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  373. Off-balance sheet exposures and banking crises in OECD countries. (2013). Liadze, Iana ; Karim, Dilruba ; Davis, E ; Barrell, Ray.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:673-681.

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  374. Financial derivatives, opacity, and crash risk: Evidence from large US banks. (2013). Dewally, Michael ; Shao, Yingying.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:565-577.

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  375. Are there diversification benefits of increasing noninterest income in the Chinese banking industry?. (2013). Li, LI ; Zhang, YU.
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:24:y:2013:i:c:p:151-165.

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  376. Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia. (2013). TARAZI, Amine ; Soedarmono, Wahyoe.
    In: Journal of Asian Economics.
    RePEc:eee:asieco:v:29:y:2013:i:c:p:91-100.

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  377. Determinants of banking system fragility: a regional perspective. (2013). Degryse, Hans ; Elahi, Muhammad Ather ; Penas, Maria Fabiana .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20131567.

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  378. Challenges for financial sector supervision. (2013). de Haan, Jakob ; Stellinga, Bart ; Hilbers, Paul ; Cavelaars, Paul .
    In: DNB Occasional Studies.
    RePEc:dnb:dnbocs:1106.

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  379. Banks’ Earnings: an empirical evidence of the influence of economic and financial markets factors. (2013). Alexandre, Herve ; Albert, Stephane .
    In: Economics Papers from University Paris Dauphine.
    RePEc:dau:papers:123456789/10353.

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  380. The role of on- and off-balance-sheet leverage of banks in the late 2000s crisis. (2013). Wolff, Christian ; Papanikolaou, Nikolaos ; Christian C. P. Wolff,, .
    In: LSF Research Working Paper Series.
    RePEc:crf:wpaper:13-13.

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  381. Bank Efficiency and Executive Compensation. (2013). Williams, Jonathan ; King, Timothy .
    In: Working Papers.
    RePEc:bng:wpaper:13009.

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  382. Non-Interest Income: Are Australian Banks Moving Away from their Traditional Businesses?. (2013). Lester, Laurence ; Delpachitra, Sarath.
    In: Economic Papers.
    RePEc:bla:econpa:v:32:y:2013:i:2:p:190-199.

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  383. Income Diversification and Bank Performance: Evidence From Turkish Banking Sector. (2013). Gurbuz, Ali Osman ; Ayturk, Yusuf ; YANIK, Serhat .
    In: Journal of BRSA Banking and Financial Markets.
    RePEc:bdd:journl:v:7:y:2013:i:1:p:9-29.

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  384. Which banks are more risky? The impact of loan growth and business model on bank risk-taking. (2012). Kohler, Matthias.
    In: Discussion Papers.
    RePEc:zbw:bubdps:332012.

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  385. Return Dependence and the Limits of Product Diversification in Financial Firms. (2012). Hu, Jian ; Gunther, Jeffery W ; Fomby, Thomas B.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:44:y:2012:i:6:p:1151-1183.

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  386. Bank/sovereign Risk Spillovers in the European Debt Crisis. (2012). Schepens, G ; Gerhardt, M ; de Bruyckere, V.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:71b16c7d-81a7-4572-afcb-b4a3c81e1b00.

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  387. Is More Finance Better? Disentangling Intermediation and Size Effects of Financial Systems. (2012). Degryse, Hans ; Kneer, E C ; Beck, T. H. L., .
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:2dbf9eaf-dae6-4c3f-9a2d-cf034f480751.

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  388. Determinants of Banking System Fragility : A Regional Perspective. (2012). Degryse, Hans ; Penas, M F ; Elahi, M A.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:1e72ac2e-21f6-423e-8612-c58928f70f92.

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  389. Determinants of Banking System Fragility : A Regional Perspective. (2012). Degryse, Hans ; Penas, M F ; Elahi, M A.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:15e03b14-3a9b-4ce8-9c1f-4d7550ec47b5.

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  390. Is More Finance Better? Disentangling Intermediation and Size Effects of Financial Systems. (2012). Degryse, Hans ; Kneer, E C ; Beck, T. H. L., .
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:0dc103d0-12a3-4037-b1ac-9092ec5b483e.

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  391. Is More Finance Better? Disentangling Intermediation and Size Effects of Financial Systems. (2012). Degryse, Hans ; Beck, Thorsten ; Beck, T. H. L., ; Kneer, E. C..
    In: Discussion Paper.
    RePEc:tiu:tiucen:2dbf9eaf-dae6-4c3f-9a2d-cf034f480751.

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  392. Determinants of Banking System Fragility : A Regional Perspective. (2012). Penas, María ; Degryse, Hans ; Elahi, M. A..
    In: Discussion Paper.
    RePEc:tiu:tiucen:1e72ac2e-21f6-423e-8612-c58928f70f92.

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  393. The fluctuating default risk of Australian banks. (2012). Powell, Robert ; Allen, David.
    In: Australian Journal of Management.
    RePEc:sae:ausman:v:37:y:2012:i:2:p:297-325.

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  394. Bank/sovereign risk spillovers in the European debt crisis. (2012). Vander Vennet, Rudi ; Schepens, Glenn ; DE BRUYCKERE, V. ; GERHARDT, M..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
    RePEc:rug:rugwps:12/828.

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  395. Bank systemic risk and the business cycle: Canadian and U.S. evidence. (2012). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
    RePEc:pqs:wpaper:022012.

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  396. The procyclicality of Basel III leverage: Elasticity-based indicators and the Kalman filter. (2012). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
    RePEc:pqs:wpaper:012012.

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  397. A Macroprudential Framework for Monitoring and Examining Financial Soundness. (2012). Song, Lei Lei ; Albert, Jose Ramon G., ; Schou-Zibell, Lotte .
    In: Discussion Papers.
    RePEc:phd:dpaper:dp_2012-22.

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  398. Crisis-Related Shifts in the Market Valuation of Banking Activities. (2012). Calomiris, Charles ; Nissim, Doron .
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17868.

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  399. Bank/sovereign risk spillovers in the European debt crisis. (2012). Vander Vennet, Rudi ; Schepens, Glenn ; Gerhardt, Maria ; de Bruyckere, Valerie .
    In: Working Paper Research.
    RePEc:nbb:reswpp:201210-232.

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  400. Returns to Retail Banking and Payments. (2012). HASAN, IFTEKHAR ; Song, Liang ; Schmiedel, Heiko.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:41:y:2012:i:3:p:163-195.

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  401. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency: Pre- and Post-Crisis Evidence from Turkey. (2012). Schoors, Koen ; Disli, Mustafa ; De Jonghe, Olivier.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:41:y:2012:i:1:p:51-80.

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  402. Bank Risk and Non-Interest Income Activities in the Indonesian Banking Industry. (2012). Miyamoto, Hiroaki ; Kakinaka, Makoto ; Hidayat, Wahyu Yuwana .
    In: Working Papers.
    RePEc:iuj:wpaper:ems_2012_03.

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  403. Risk in Islamic Banking. (2012). TARAZI, Amine ; Molyneux, Philip ; Abedifar, Pejman.
    In: Working Papers.
    RePEc:hal:wpaper:hal-00915115.

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  404. A Structural view of U.S. bank holding companies. (2012). Vickery, James ; Selvaggi, Patricia ; Avraham, Dafna .
    In: Economic Policy Review.
    RePEc:fip:fednep:00022.

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  405. An empirical analysis of the relation between bank charter value and risk taking. (2012). Niu, Jijun .
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:52:y:2012:i:3:p:298-304.

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  406. Bank capital and exposure to the financial crisis. (2012). Akhigbe, Aigbe ; Marciniak, Marek ; Madura, Jeff.
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:64:y:2012:i:5:p:377-392.

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  407. The relationship between net interest margin and noninterest income using a system estimation approach. (2012). Nguyen, James.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:9:p:2429-2437.

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  408. Income diversification and risk: Does ownership matter? An empirical examination of Indian banks. (2012). Pennathur, Anita K. ; Subrahmanyam, Vijaya ; Vishwasrao, Sharmila.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:8:p:2203-2215.

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  409. Macroeconomic and bank-specific determinants of non-performing loans in Greece: A comparative study of mortgage, business and consumer loan portfolios. (2012). Vouldis, Angelos ; Louzis, Dimitrios ; Metaxas, Vasilios L..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:4:p:1012-1027.

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  410. Size and earnings volatility of US bank holding companies. (2012). Poghosyan, Tigran ; de Haan, Jakob.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:11:p:3008-3016.

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  411. Revisiting bank profitability: A semi-parametric approach. (2012). Kanas, Angelos ; Eriotis, Nikolaos ; Vasiliou, Dimitrios .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:4:p:990-1005.

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  412. Market power, revenue diversification and bank stability: Evidence from selected South Asian countries. (2012). Skully, Michael ; Perera, Shrimal ; Nguyen, MY.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:4:p:897-912.

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  413. Ownership, diversification and cost advantages: Evidence from the Italian leasing industry. (2012). Girardone, Claudia ; Deglinnocenti, Marta .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:4:p:879-896.

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  414. Bank size, market concentration, and bank earnings volatility in the US. (2012). Poghosyan, Tigran ; de Haan, Jakob.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:1:p:35-54.

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  415. Bank supervision, regulation, and efficiency: Evidence from the European Union. (2012). Girardone, Claudia ; Chortareas, Georgios ; Ventouri, Alexia.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:8:y:2012:i:4:p:292-302.

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  416. The determinants of interest margins and their effect on bank diversification: Evidence from Asian banks. (2012). Chung, Huimin ; Wu, Soushan ; Hsieh, Ming-Hsiang ; Lin, Jane-Raung .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:8:y:2012:i:2:p:96-106.

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  417. Bank market power and revenue diversification: Evidence from selected ASEAN countries. (2012). Skully, Michael ; Perera, Shrimal ; Nguyen, MY.
    In: Journal of Asian Economics.
    RePEc:eee:asieco:v:23:y:2012:i:6:p:688-700.

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  418. Bank risk and non-interest income activities in the Indonesian banking industry. (2012). Miyamoto, Hiroaki ; Kakinaka, Makoto ; Hidayat, Wahyu Yuwana .
    In: Journal of Asian Economics.
    RePEc:eee:asieco:v:23:y:2012:i:4:p:335-343.

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  419. Determinants of Banking System Fragility: A Regional Perspective. (2012). Penas, María ; Elahi, Muhammad Ather ; Degryse, Hans.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:8858.

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  420. Portfolio separation and the dynamics of bank interest rates. (2012). Giuliodori, Massimo ; Dia, Enzo.
    In: Scottish Journal of Political Economy.
    RePEc:bla:scotjp:v:59:y:2012:i:1:p:28-46.

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  421. Modelling Non-Interest Income at Tunisian Banks. (2012). HAMDI, Helmi ; HAKIMI, ABDELAZIZ ; Djelassi, Mouldi.
    In: Asian Economic and Financial Review.
    RePEc:asi:aeafrj:2012:p:88-99.

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  422. Implications of the Dodd-Frank Act. (2012). Richardson, Matthew ; Acharya, Viral V..
    In: Annual Review of Financial Economics.
    RePEc:anr:refeco:v:4:y:2012:p:1-38.

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  423. Regulations and Productivity Growth in Banking: Evidence from Transition Economies. (2011). Molyneux, Philip ; Pasiouras, Fotios ; Delis, Manthos D.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:43:y:2011:i:4:p:735-764.

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  424. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey. (2011). De Jonghe, Olivier ; Schoors, K ; Disli, M.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:d0dec4fa-283b-4d74-8c4b-d0953ec2d949.

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  425. Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, A.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:94ca9e11-605c-422e-81df-b0778b0dd5b9.

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  426. Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, A.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:943f1401-2de0-4bc9-bb15-d1c4ee22b4bb.

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  427. Essays on financial fragility. (2011). Elahi, M. A..
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:882f55bb-10dc-4e49-95ef-ee184ca8bc1c.

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  428. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey. (2011). De Jonghe, Olivier ; Schoors, K ; Disli, M.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:84ad9f92-b64d-4d10-8fd1-1e9818001bdf.

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  429. Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey. (2011). Schoors, Koen ; De Jonghe, Olivier ; Disli, M..
    In: Discussion Paper.
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  430. Do We need Big Banks? Evidence on Performance, Strategy and Market Discipline. (2011). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: Discussion Paper.
    RePEc:tiu:tiucen:94ca9e11-605c-422e-81df-b0778b0dd5b9.

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  431. Corporate governance, opaque bank activities, and risk/return efficiency: Pre- and post-crisis evidence from Turkey. (2011). Schoors, Koen ; De Jonghe, Olivier ; Disli, M..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
    RePEc:rug:rugwps:11/729.

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  432. Enhancing Bank Transparency: Risk Ineffciency as a Market Disciplining Mechanism. (2011). Vander Vennet, Rudi ; De Jonghe, Olivier ; Bruyckere, DE ; Lieven, Baele .
    In: 2011 Meeting Papers.
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  433. Bank systemic risk and the business cycle: An empirical investigation using Canadian data. (2011). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
    RePEc:pqs:wpaper:322011.

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  434. Competition and risk in the South East Asian commercial banking. (2011). Molyneux, Philip ; Liu, Hong ; Nguyen, Linh H.
    In: Post-Print.
    RePEc:hal:journl:hal-00711456.

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  435. CEO incentives and bank risk. (2011). Acrey, James Cash ; McCumber, William R. ; Nguyen, Thu Hien T., .
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:63:y:2011:i:5:p:456-471.

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  436. Charter value, Tobins Q and bank risk during the subprime financial crisis. (2011). Jones, Jeffrey S. ; Yeager, Timothy J. ; Miller, Scott A..
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:63:y:2011:i:5:p:372-391.

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  437. The impact of management and board ownership on profitability in banks with different strategies. (2011). Westman, Hanna.
    In: Journal of Banking & Finance.
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  473. Service provision and loans : Price and risk implications. (2008). NYS, Emmanuelle.
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  474. Bank Diversification and Incentives. (2008). Morrison, Alan ; Loranth, Gyongyi.
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  479. MARKET POWER AND WILLINGNESS TO PAY IN NETWORK INDUSTRIES: EVIDENCE FROM PAYMENT CARDS WITHIN MULTIPRODUCT BANKING. (2007). Rodríguez Fernández, Francisco ; Liñares-Zegarra, José ; Carbo Valverde, Santiago ; Rodriguez-Fernandez, Francisco ; Liñares-Zegarra, José ; Liares-Zegarra, Jose Manuel .
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  482. Diversification and the cost of debt of bank holding companies. (2007). Mao, Connie X. ; Deng, Saiying ; Elyasiani, Elyas.
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  483. Does the stock market value bank diversification?. (2007). Vander Vennet, Rudi ; De Jonghe, Olivier ; Baele, Lieven.
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  486. A Contemporary Aspect of Japanese Commercial Banking: Expansion of Fee-Based Business and Its Impact on Management Stability. (2007). Inaba, Kei-Ichiro ; Hattori, Masazumi.
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  491. Economic Integration and Financial Stability; A European Perspective. (2006). Tieman, Alexander ; de Nicolo, Gianni.
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  493. Supervising bank safety and soundness: some open issues. (2006). Flannery, Mark.
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  494. The dark side of diversification: The case of US financial holding companies. (2006). Stiroh, Kevin ; Rumble, Adrienne.
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  495. Product Diversification in the European Banking Industry: Risk and Loan Pricing Implications. (2005). TARAZI, Amine ; NYS, Emmanuelle ; Lepetit, Laetitia ; Rous, Philippe .
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  497. The Past, Present, and Probable Future for Community Banks. (2004). Udell, Gregory ; Hunter, William ; Deyoung, Robert ; De Young, Robert.
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  498. How do banks make money? the fallacies of fee income. (2004). De Young, Robert ; Rice, Tara ; Deyoung, Robert.
    In: Economic Perspectives.
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