Bangor Business School

  1. Published

    The influence of rating levels and rating convergence on the spillover effects of sovereign credit actions

    Abad, P., Alsakka, R. & ap Gwilym, O., Jul 2018, In : Journal of International Money and Finance. 85, p. 40-57

    Research output: Contribution to journalArticle

  2. Published

    Risk in Islamic Banking

    Abedifar, P., Molyneux, P. & Tarazi, A., 11 Jan 2013, In : Review of Finance.

    Research output: Contribution to journalArticle

  3. Published

    Market value, book value and earnings: is bank efficiency a missing link?

    Abuzayed, B., Molyneux, P. & Al-Fayoumi, N., 1 Jan 2009, In : Managerial Finance. 35, 2, p. 156-179

    Research output: Contribution to journalArticle

  4. Published

    Political donations and political risk in the UK: Evidence from a closely-fought election

    Acker, D., Orujov, A. & Simpson, H., Jul 2018, In : Journal of Banking and Finance. 92, p. 146-167

    Research output: Contribution to journalArticle

  5. Published

    Banking industry liberalisation in Ghana

    Adjei, E. A. & Chakravarty, S. P., 1 Apr 2012, In : Review of Development Finance. 2, 2, p. 93-99

    Research output: Contribution to journalArticle

  6. Published

    Open interest, cross listing, and information shocks.

    Aguenaou, S., ap Gwilym, O. M. & Rhodes, M., 5 Nov 2010, In : Journal of Futures Markets. 31, 8, p. 755-778

    Research output: Contribution to journalArticle

  7. Published

    Managers of small and medium enterprises: mission statement and enhanced organizational performance.

    Alavi, M. T. & Karami, A., 1 Jun 2009, In : Journal of Management Development. 28, 6, p. 555-562

    Research output: Contribution to journalArticle

  8. Published

    On measuring concentration in banking systems.

    Alegria, C. & Schaeck, K., 1 Mar 2008, In : Finance Research Letters. 5, 1, p. 59-67

    Research output: Contribution to journalArticle

  9. Published

    The Evolution of Ideology, Fairness and Redistribution

    Alesina, A., Cozzi, G. & Mantovan, N., 1 Dec 2012, In : Economic Journal. 122, 565, p. 1244-1261

    Research output: Contribution to journalArticle

  10. Published

    Mark-to-market accounting and liquidity pricing

    Allen, F. & Carletti, E., 1 Aug 2008, In : Journal of Accounting and Economics. 45, 2-3, p. 358-378

    Research output: Contribution to journalArticle

  11. Published

    Credit Market Competition and Capital Regulation

    Allen, F., Carletti, E. & Marquez, R., 1 Apr 2011, In : Review of Financial Studies. 24, 4, p. 983-1018

    Research output: Contribution to journalArticle

  12. Published

    Interbank market liquidity and central bank intervention

    Allen, F., Carletti, E. & Gale, D., 1 Jul 2009, In : Journal of Monetary Economics. 56, 5, p. 639-652

    Research output: Contribution to journalArticle

  13. Published

    Asset commonality, debt maturity and systemic risk

    Allen, F., Babus, A. & Carletti, E., 1 Jun 2012, In : Journal of Financial Economics. 104, 3, p. 519-534

    Research output: Contribution to journalArticle

  14. Published

    Corporate Social Responsibility, Shariah-Compliance, and Earnings Quality

    Alsaadi, A., Ebrahim, M. S. & Jaafar, A., Apr 2017, In : Journal of Financial Services Research. 51, 2, p. 169-194 26 p.

    Research output: Contribution to journalArticle

  15. Published

    The causes and extent of split sovereign credit ratings in emerging markets.

    Alsakka, R. & ap Gwilym, O., 1 Jan 2012, In : Emerging Markets Finance and Trade. 48, 1, p. 4-24

    Research output: Contribution to journalArticle

  16. Published

    Sovereign rating actions: is the criticism justified?

    Alsakka, R. & ap Gwilym, O., 1 Dec 2011, In : Intereconomics : review of European economic policy. 46, 5, p. 248-253

    Research output: Contribution to journalArticle

  17. Published

    Rating agencies’ signals during the European sovereign debt crisis: Market impact and spillovers

    Alsakka, R. & ap Gwilym, O. M., 1 Jan 2013, In : Journal of Economic Behavior and Organization. 85, p. 144-162

    Research output: Contribution to journalArticle

  18. Published

    Market impact under a new regulatory regime: Credit rating agencies in Europe

    Alsakka, R., ap Gwilym, O., Klusak, P. & Tran, V., 28 Jun 2015, In : Economic Notes. 44, 2, p. 275-308

    Research output: Contribution to journalArticle

  19. Published

    A random effects ordered probit model for rating migrations

    Alsakka, R. & ap Gwilym, O., 1 Sep 2010, In : Finance Research Letters. 7, 3, p. 140-147

    Research output: Contribution to journalArticle

  20. Published

    The extent and causes of sovereign split ratings.

    Alsakka, R. & Ap Gwilym, O., 1 Jan 2010.

    Research output: Contribution to conferencePaper

  21. Published

    Leads and lags in sovereign credit ratings.

    Alsakka, R. & ap Gwilym, O. M., 1 Nov 2010, In : Journal of Banking and Finance. 34, 11, p. 2614-2626

    Research output: Contribution to journalArticle

  22. Published

    Differences of opinion in sovereign credit signals during the European crisis

    Alsakka, R., ap Gwilym, O. M. & Vu, H., 2017, In : European Journal of Finance. 23, p. 859-884

    Research output: Contribution to journalArticle

  23. Published

    Foreign exchange market reactions to sovereign credit news

    Alsakka, R. & ap Gwilym, O., 1 Jun 2012, In : Journal of International Money and Finance. 31, 4, p. 845-864

    Research output: Contribution to journalArticle

  24. Published

    The information content of sovereign watchlist and outlook: S&P versus Moody's

    Alsakka, R., Ap Gwilym, O. & Molyneux, P. (ed.), 1 Jan 2011, Bank Strategy: Governance and Ratings. 2011 ed. Unknown, p. 134-156

    Research output: Chapter in Book/Report/Conference proceedingChapter

  25. Published

    Rating agencies' credit signals: An analysis of sovereign watch and outlook

    Alsakka, R. & ap Gwilym, O., 1 Jan 2012, In : International Review of Financial Analysis. 21, p. 45-55

    Research output: Contribution to journalArticle

  26. Published

    Developing country economic structure and the pricing of syndicated credits.

    Altunbas, Y. & Gadanecz, B., 1 Jun 2004, In : Journal of Development Studies. 40, 5, p. 143-173

    Research output: Contribution to journalArticle

  27. Published

    Evidence on the bank-lending channel in Europe.

    Altunbas, Y., Fazylov, O. & Molyneux, P., 1 Nov 2002, In : Journal of Banking and Finance. 26, 11, p. 2093-2110

    Research output: Contribution to journalArticle

  28. Published

    The impact of financial development on income inequality: A quantile regression approach

    Altunbas, Y. & Thornton, J., Feb 2019, In : Economics Letters. p. 51-56

    Research output: Contribution to journalLetter

  29. Published

    Realized Bank Risk during the Great Recession

    Altunbas, Y., Manganelli, S. & Marques-Ibanez, D., Oct 2017, In : Journal of Financial Intermediation. 32, p. 29-44

    Research output: Contribution to journalArticle

  30. Published

    Corporate governance and corporate ownership: The investment behaviour of Japanese institutional investors.

    Altunbas, Y., Kara, A. & Rixtel, A., 1 May 2007, In : Banco de España Occasional Papers. 703, p. 1-54

    Research output: Contribution to journalArticle

  31. Published

    Is there a financial accelerator in European banking?

    Altunbas, Y., Di Tommaso, C. & Thornton, J., May 2016, In : Finance Research Letters. 17, p. 218-221

    Research output: Contribution to journalArticle

  32. Published

    Frontier cost functions and bank efficiency.

    Altunbas, Y. & Chakravarty, S. P., 1 Aug 2001, In : Economics Letters. 72, 2, p. 233-240

    Research output: Contribution to journalArticle

  33. Published

    Macroprudential policy and bank risk

    Altunbas, Y., Binici, M. & Gambacorta, L., 1 Mar 2018, In : Journal of International Money and Finance. 81, March, p. 203-220

    Research output: Contribution to journalArticle

  34. Published

    Macroprudential Policy and Bank Risk

    Altunbas, Y., Binici, M. & Gambacorta, L., 3 Jul 2017, Bank for International Settlements (BIS), p. 1, 48 p.

    Research output: Working paper

  35. Published

    Economics of National Identity.

    Altunbas, Y., Chakravarty, S. P. & Steffen, F., 1 Apr 2004.

    Research output: Contribution to conferencePaper

  36. Published

    Do better-capitalized banks lend less? Evidence from European banks

    Altunbas, Y., Di Tommaso, C. & Thornton, J., May 2016, In : Finance Research Letters. 17, p. 246-250

    Research output: Contribution to journalArticle

  37. Published

    Examining the relationships between capital, risk and efficiency in European banking.

    Altunbas, Y., Carbo, S., Gardener, E. P. & Molyneux, P., 1 Jan 2007, In : European Financial Management. 13, 1, p. 49-70

    Research output: Contribution to journalArticle

  38. Published

    Bank ownership and efficiency.

    Altunbas, Y., Evans, L. & Molyneux, P., 1 Nov 2001, In : Journal of Money, Credit and Banking. 33, 4, p. 926-954

    Research output: Contribution to journalArticle

  39. Published

    The (small) blessing of foreign aid: further evidence on aid’s impact on democracy

    Altunbas, Y. & Thornton, J., 20 Aug 2014, In : Applied Economics. 46, 32, p. 3922-3930

    Research output: Contribution to journalArticle

  40. Published

    Fiscal Decentralization and Governance

    Altunbas, Y., Thornton, J. S., Altunbaş, Y. & Thornton, J., 1 Jan 2012, In : Public Finance Review. 40, 1, p. 66-85

    Research output: Contribution to journalArticle

  41. Published

    Macroprudential Policy and Bank Risk

    Altunbas, Y., Binici, M. & Gambacorta, L., 18 Jul 2017, CEPR Discussion Paper, p. 1, 47 p.

    Research output: Working paper

  42. Published

    Bank risk and monetary policy.

    Altunbas, Y., Gambacorta, L. & Marques-Ibanez, D., 1 Jul 2009, Unknown.

    Research output: Book/ReportCommissioned report

  43. Published

    Are Homegrown Islamic Terrorists Different? Some UK Evidence

    Altunbas, Y. & Thornton, J. S., 1 Jan 2011, In : Southern Economic Journal. 78, 2, p. 262-272

    Research output: Contribution to journalArticle

  44. Published

    Does financial development reduce corruption?

    Altunbas, Y. & Thornton, J. S., 1 Feb 2012, In : Economics Letters. 114, 2, p. 221-223

    Research output: Contribution to journalArticle

  45. Published

    Securitisation and the Bank Lending Channel.

    Altunbas, Y., Gambacorta, L. & Marques, D., 1 Nov 2009, In : European Economic Review. 53, 8, p. 996-1009

    Research output: Contribution to journalArticle

  46. Published

    Bank risk and monetary policy.

    Altunbas, Y., Gambacorta, L. & Marques-Ibanez, D., 1 Sep 2010, In : Journal of Financial Stability. 6, 3, p. 121-129

    Research output: Contribution to journalArticle

  47. Published

    Interrogating the British Crime Survey from a local perspective: The case of North Wales.

    Altunbas, Y., Feilzer, M. & Chakravarty, S., 1 Jan 2008, 2008 ed. Unknown.

    Research output: Book/ReportCommissioned report

  48. Published

    Interrogating the British Crime Survey from a local perspective: The case of North Wales.

    Altunbas, Y., Feilzer, M. & Chakravarty, S. P., 1 Jan 2009, 2009 ed. Unknown.

    Research output: Book/ReportCommissioned report

  49. Published

    Efficiency in European banking.

    Altunbas, Y., Gardener, E. P., Molyneux, P. & Moore, B., 1 Dec 2001, In : European Economic Review. 45, 10, p. 1931-1955

    Research output: Contribution to journalArticle

  50. Published

    Do bank characteristics influence the effect of monetary policy on bank risk?

    Altunbas, Y., Gambacorta, L. & Marqués, D., 1 Oct 2012, In : Economics Letters. 117, 1, p. 220-222

    Research output: Contribution to journalArticle

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