Crossref Citations
This article has been cited by the following publications. This list is generated based on data provided by
Crossref.
Migueis, Marco
2017.
Forward-looking and Incentive-compatible Operational Risk Capital Framework.
Finance and Economics Discussion Series,
Vol. 2017.0,
Issue. 87,
Migueis, Marco
2017.
Forward-Looking and Incentive-Compatible Operational Risk Capital Framework.
SSRN Electronic Journal,
Admati, Anat R.
2017.
A Skeptical View of Financialized Corporate Governance.
Journal of Economic Perspectives,
Vol. 31,
Issue. 3,
p.
131.
Maxfield, Sylvia
Winecoff, W. Kindred
and
Young, Kevin L.
2017.
An empirical investigation of the financialization convergence hypothesis.
Review of International Political Economy,
Vol. 24,
Issue. 6,
p.
1004.
Rehbein, Oliver
2017.
Flooded through the Back Door: Firm-Level Effects of Banks' Capital Shifts.
SSRN Electronic Journal ,
Mérő, Katalin
2018.
A kockázatalapú bankszabályozás előretörése és visszaszorulása – az ösztönzési struktúrák szerepe.
Közgazdasági Szemle,
Vol. 65,
Issue. 10,
p.
981.
Migueis, Marco
2018.
Evaluation the AMA and the New Standardized Approach for Operational Risk Capital.
SSRN Electronic Journal,
Kapan, Tümer
and
Minoiu, Camelia
2018.
Balance sheet strength and bank lending: Evidence from the global financial crisis.
Journal of Banking & Finance,
Vol. 92,
Issue. ,
p.
35.
Scully, Maureen
Rothenberg, Sandra
Beaton, Erynn E.
and
Tang, Zhi
2018.
Mobilizing the Wealthy: Doing “Privilege Work” and Challenging the Roots of Inequality.
Business & Society,
Vol. 57,
Issue. 6,
p.
1075.
Bell, Stephen
and
Hindmoor, Andrew
2018.
Are the major global banks now safer? Structural continuities and change in banking and finance since the 2008 crisis.
Review of International Political Economy,
Vol. 25,
Issue. 1,
p.
1.
Gospodarchuk, G. G.
2019.
Reserve Capital buffer as an Instrument of Macroprudential Policy.
Finance: Theory and Practice,
Vol. 23,
Issue. 4,
p.
43.
Migueis, Marco
2019.
Evaluating the AMA and the new standardized approach for operational risk capital.
Journal of Banking Regulation,
Vol. 20,
Issue. 4,
p.
302.
Brock, William A.
and
Haslag, Joseph
2019.
On Processing Central Bank Communications: Can We Account for Fed Watching?.
SSRN Electronic Journal ,
Nguyen, Quang Thi Thieu
2019.
Basel III: where should we go from here?.
Journal of Financial Economic Policy,
Vol. 11,
Issue. 4,
p.
457.
2019.
Global Financial Development Report 2019/2020: Bank Regulation and Supervision a Decade after the Global Financial Crisis.
p.
101.
Boermans, Martijn Adriaan
and
van der Kroft, Bram
2020.
Inflated Credit Ratings, Regulatory Arbitrage and Capital Requirements: Do Investors Strategically Allocate Bond Portfolios?.
SSRN Electronic Journal ,
Gospodarchuk, Galina
and
Amosova, Nataliya
2020.
Geo-financial stability of the global banking system.
Banks and Bank Systems,
Vol. 15,
Issue. 4,
p.
164.
Imerman, Michael B.
2020.
When enough is not enough: bank capital and the Too-Big-To-Fail subsidy.
Review of Quantitative Finance and Accounting,
Vol. 55,
Issue. 4,
p.
1371.
Stellinga, Bart
2020.
The open-endedness of macroprudential policy. Endogenous risks as an obstacle to countercyclical financial regulation.
Business and Politics,
Vol. 22,
Issue. 1,
p.
224.
Rehbein, Oliver
and
Ongena, Steven R. G.
2020.
Flooded through the Back Door: The Role of Bank Capital in Local Shock Spillovers.
SSRN Electronic Journal ,