[HTML][HTML] The effects of liquidity risk and credit risk on bank stability: Evidence from the MENA region
A Ghenimi, H Chaibi, MAB Omri - Borsa Istanbul Review, 2017 - Elsevier
The global financial crisis has induced a series of failures of most conventional banks. This
study investigates the main sources of banking fragility. We use a sample of 49 banks …
study investigates the main sources of banking fragility. We use a sample of 49 banks …
National culture and bank risk-taking
S Mourouzidou-Damtsa, A Milidonis… - Journal of Financial …, 2019 - Elsevier
We investigate the relation between national cultural values and bank risk. Despite the rigid
transnational regulatory oversight of systemic European banks, we find evidence of an …
transnational regulatory oversight of systemic European banks, we find evidence of an …
COVID-19 pandemic impact on banking sector: A cross-country analysis
This study examines the effects of the COVID-19 outbreak on the performance and stability
of the banking sector. Our sample consists of 2073 banks in 106 countries from 2016Q1 to …
of the banking sector. Our sample consists of 2073 banks in 106 countries from 2016Q1 to …
Funding liquidity and bank risk taking
This study examines the relationship between funding liquidity and bank risk taking. Using
quarterly data for US bank holding companies from 1986 to 2014, we find evidence that …
quarterly data for US bank holding companies from 1986 to 2014, we find evidence that …
Liquidity risk, credit risk and stability in Islamic and conventional banks
The aim of this paper is to provide a thorough assessment of Islamic banks'(IBs) liquidity risk
compared to conventional banks (CBs). We firstly investigate the relationship between …
compared to conventional banks (CBs). We firstly investigate the relationship between …
Financial innovation: The bright and the dark sides
Based on data from 32 countries over the period 1996–2010, this paper is the first to assess
the relationship between financial innovation, on the one hand, and bank growth and …
the relationship between financial innovation, on the one hand, and bank growth and …
The relationship between liquidity risk and credit risk in banks
B Imbierowicz, C Rauch - Journal of Banking & Finance, 2014 - Elsevier
This paper investigates the relationship between the two major sources of bank default risk:
liquidity risk and credit risk. We use a sample of virtually all US commercial banks during the …
liquidity risk and credit risk. We use a sample of virtually all US commercial banks during the …
Financial development, real sector, and economic growth
L Ductor, D Grechyna - International Review of Economics & Finance, 2015 - Elsevier
This paper evaluates the interdependence between financial development and real sector
output and the effect on economic growth. Using panel data for 101 developed and …
output and the effect on economic growth. Using panel data for 101 developed and …
Banking stability determinants in Africa
PK Ozili - International Journal of Managerial Finance, 2018 - emerald.com
Purpose The purpose of this paper is to investigate the determinants of banking stability in
Africa. Design/methodology/approach The authors present four measures of banking …
Africa. Design/methodology/approach The authors present four measures of banking …
Diversification and bank stability in the GCC
This study examines bank diversification strategies and links to financial sector stability.
Using a sample of listed and unlisted banks operating in the Gulf Cooperation Council …
Using a sample of listed and unlisted banks operating in the Gulf Cooperation Council …