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261
Comparison on Efficiency of Foreign and Domestic Banks Evidence from Algeria
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262
The relationship between distance-to-default and CDS spreads as measures of default risk for European banks
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263
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264
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265
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266
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Published 2020-12-01“…Journal of Banking and Financial Economics…”
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267
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268
Volatility Transmission between Stock and Foreign Exchange Markets: Evidence from Nigeria
Published 2014-05-01“…Journal of Banking and Financial Economics…”
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269
Bank prudential behaviour and bank stability – how far do they go
Published 2017-08-01“…Journal of Banking and Financial Economics…”
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270
Cash usage in Poland in 2020: Insights into the role of the COVID-19 pandemic and spatial aspects
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271
Global Liquidity Determinants Across Emerging and Advanced Countries
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272
On the Use of Quantitative Methods in Accounting Research in Poland
Published 2022-11-01“…Journal of Banking and Financial Economics…”
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273
GDP growth as a bank loan quality determinant
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274
Spotting Bubbles: A Two-Pillar Framework for Policy Makers
Published 2016-07-01“…Journal of Banking and Financial Economics…”
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275
Pacific Island Countries: In Search of a Trade Strategy
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276
The Impact of Equity Capital on the Bank’s Profitability: Evidence From Vietnam’s Banking System
Published 2021-12-01“…Journal of Banking and Financial Economics…”
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277
Mauritius: The Drivers of Growth – Can the Past Be Extended?
Published 2017-08-01“…Journal of Banking and Financial Economics…”
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278
Reconciling Macroeconomic Determinants with Stock Market Performance in Selected Sub-Saharan African Countries: an ARDL Approach
Published 2020-10-01“…Journal of Banking and Financial Economics…”
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279
Re-Evaluating Sharpe Ratio in Hedge Fund Performance in Light of Liquidity Risk
Published 2021-12-01“…Journal of Banking and Financial Economics…”
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280
Financial Deepening in Mexico
Published 2019-01-01“…Journal of Banking and Financial Economics…”
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