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Results for Financial crisis

Publications & Outputs

  1. Intended and unintended consequences of government credit guarantee programmes

    Ioannidou, V., Liberti, J. M., Mosk, T. & Sturgess, J., 2018, Finance and Investment: The European Case. Oxford: Oxford University Press Inc, p. 317-325 9 p.

    Research output: Contribution in Book/Report/Proceedings - With ISBN/ISSNChapter

  2. The IFRS option to reclassify financial assets out of fair value in 2008: the roles played by regulatory capital and too-important-to-fail status

    Fiechter, P., Landsman, W., Peasnell, K. & Renders, A., 12/2017, In: Review of Accounting Studies. 22, 4, p. 1698-1731 34 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  3. Did the financial crisis affect the market valuation of large systemic U.S. banks?

    Bertsatos, G., Sakellaris, P. & Tsionas, M. G., 10/2017, In: Journal of Financial Stability. 32, p. 115-123 9 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  4. Multivariate FIAPARCH modelling of financial markets with dynamic correlations in times of crisis

    Karanasos, M., Yfanti, S. & Karoglou, M., 05/2016, In: International Review of Financial Analysis. 45, p. 332-349 18 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  5. Parameters measuring bank risk and their estimation

    Tsionas, E., 1/04/2016, In: European Journal of Operational Research. 250, 1, p. 291-304 14 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  6. Dynamic technical and allocative efficiencies in European banking

    Tsionas, E. G., Assaf, A. G. & Matousek, R., 03/2015, In: Journal of Banking and Finance. 52, p. 130-139 10 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  7. Modelling stock volatilities during financial crises: A time varying coefficient approach

    Karanasos, M., Paraskevopoulos, A., Menla Ali, F., Karoglou, M. & Yfanti, S., 12/2014, In: Journal of Empirical Finance. 29, p. 113-128 16 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  8. Sell-side analysts' career concerns during banking stresses

    Nolte, I., Nolte, S. & Vasios, M., 12/2014, In: Journal of Banking and Finance. 49, p. 424-441 18 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  9. Bankruptcy probabilities inferred from option prices

    Taylor, S. J., Tzeng, C-F. & Widdicks, M., 2014, In: Journal of Derivatives. 22, 2, p. 8-31 24 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  10. A cultural political economy of crisis responses: a turn to BRIC and the case of China

    Sum, N-L., 2013, Before and beyond the global economic crisis: economics, politics and settlement. Benner, M. (ed.). Cheltenham: Edward Elgar, p. 173-196 24 p.

    Research output: Contribution in Book/Report/Proceedings - With ISBN/ISSNChapter (peer-reviewed)

  11. Supply chain risk management in financial crises - A multiple case-study approach

    Blome, C. & Schoenherr, T., 30/11/2011, In: International Journal of Production Economics. 134, 1, p. 43-57 15 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

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