Results 121 to 130 of about 103,362 (219)
Income diversification and liquidity risk in ASEAN-5 banks: A Bayesian perspective. [PDF]
Duong QN, Tran NTK, Dang TPT.
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Foreign bank entry and bank competition: Cross-country heterogeneity. [PDF]
Yin H.
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Does regulatory convergence shape banking resilience in Africa? [PDF]
Haile MA, M K J, Mulugeta W.
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Country risk factors and banking sector stability: Do countries' income and risk-level matter? Evidence from global study. [PDF]
Athari SA, Irani F, AlAl Hadood A.
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Financial constraints and corporate bankruptcy risks in China: The buffer role of cash holdings. [PDF]
Luu QT, Nguyen HTT, Tran TND, Ho TT.
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Macroprudential Policy in a Heterogeneous Environment-An Application of Agent-Based Approach in Systemic Risk Modelling. [PDF]
Kaszowska-Mojsa J, Pipień M.
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An integrated data framework for policy guidance during the coronavirus pandemic: Towards real-time decision support for economic policymakers. [PDF]
Dörr JO +4 more
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