All Publications
ZORA Publication List
Publications
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Journal Article
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2026
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The leverage of hedge funds and the risk of their prime brokers Journal of Financial Stability, 82, 101498. https://doi.org/10.1016/j.jfs.2025.101498
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2025
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Bank Lending and Market-Based Finance for Corporations: The Effects of Minibond Issuances for Unlisted Firms Journal of Financial and Quantitative Analysis, Epub ahead of print-55. https://doi.org/10.1017/s0022109025102548
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Geopolitical Risk and Domestic Bank Deposits Financial Management, Epub ahead of print. https://doi.org/10.1111/fima.70023
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Understanding reputational risks: The impact of ESG events on European banks Journal of International Financial Markets, Institutions & Money, 105, 102225. https://doi.org/10.1016/j.intfin.2025.102225
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Paying your debt makes you happy: insights during the COVID-19 period Journal of Economic Studies, 52(7), 1338–1351. https://doi.org/10.1108/JES-06-2024-0379
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Asymmetric information and the securitization of SME loans European Economic Review, 177:105053.
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Corporate taxes and entrepreneurs' income: A credit channel Journal of Corporate Finance, 93:102805.
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Effects of bank capital requirements on lending by banks and non-bank financial institutions Journal of Financial Intermediation, 63, 101167. https://doi.org/10.1016/j.jfi.2025.101167
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Credit and entrepreneurs’ income Journal of Financial Intermediation, 63:101161.
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Global evidence on profit shifting within firms and across time Journal of Accounting and Economics, 79(2-3):101744.
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Monetary Policy, Held-to-Maturity Securities, and Uninsured Deposit Withdrawals European Accounting Review, Epub ahead of print. https://doi.org/10.1080/09638180.2025.2478164
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The performance of FDIC-identified community banks Journal of Financial Stability, 77:101394.
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CDS and credit: The effect of the bangs on credit insurance, lending and hedging Journal of Empirical Finance, 81:101583.
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The impact of foreign sanctions on firm performance in Russia The British Accounting Review:101586.
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Catch, Restrict, and Release: The Real Story of Bank Bailouts Review of Corporate Finance Studies:cfaf001.
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Quantitative easing and the functioning of the gilt repo market The European Journal of Finance, 31(1):31-52.
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Introduction to JEBO special issue on wars, economic sanctions, economic behaviors, and institutions Journal of Economic Behavior & Organization, 229:106860.
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Movables as collateral and corporate credit: Loan-level evidence from legal reforms across Europe Journal of Banking and Finance, 170:107331.
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Sectoral Credit Allocation and Systemic Risk Journal of Financial Stability, 76:101363.
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2024
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Move a little closer? Information sharing and the spatial clustering of bank branches Review of Finance, 28(6):1881-1918.
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Do banks engage in earnings management? The role of dividends and institutional factors Journal of Banking and Finance, 168:107287.
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Population Aging and Bank Risk-Taking Journal of Financial and Quantitative Analysis, 59(7):3037-3061.
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Pollution Permits and Financing Costs Journal of Money, Credit and Banking:Epub ahead of print.
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Decoding market reactions: The certification role of EU-wide stress tests Economic Modelling, 139:106828.
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Does being a responsible bank pay off? Evidence from the COVID-19 pandemic Journal of Financial Stability, 74:101317.
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Firm ESG reputation risk and debt choice European financial management, 30(4):2071-2094.
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Being stranded with fossil fuel reserves? Climate policy risk and the pricing of bank loans Financial markets, institutions & instruments, 33(3):239-265.
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Fiscal transfers, local government, and entrepreneurship Journal of Policy Analysis and Management, 43(3):818-845.
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Mortgage lending through a fintech web platform. The roles of competition, diversification, and automation Journal of Banking and Finance, 163:107194.
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A Bayesian policy learning model of COVID-19 non-pharmaceutical interventions Applied Economics, 56(25):2990-3010.
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Flood, farms and credit: The role of branch banking in the era of climate change Journal of Corporate Finance, 85:102544.
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“Long GFC”? The global financial crisis, health care, and COVID‐19 deaths Economic Inquiry, 62(2):865-891.
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Which banks for green growth? A review and a tentative research agenda Journal of Sustainable Finance and Accounting, 1:100001.
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Unintended Consequences of the Global Derivatives Market Reform Journal of the European Economic Association:jvae010.
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Leverage ratio, risk-based capital requirements, and risk-taking in the United Kingdom Financial markets, institutions & instruments, 33(1):31-60.
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External wealth of nations and systemic risk Journal of Financial Stability, 70:101192.
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Fixed rate versus adjustable rate mortgages: Evidence from euro area banks European Economic Review, 161:104643.
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The demise of branch banking - Technology, consolidation, bank fragility Journal of Banking and Finance, 158:107038.
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2023
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Close competitors? Bilateral bank competition and spatial variation in firms’ access to credit Journal of Economic Geography, 23(6):1237-1271.
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Counteroffers and Price Discrimination in Mortgage Lending Journal of Empirical Finance, 74:101431.
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The Impact of Policy Interventions on Systemic Risk across Banks Journal of Financial Services Research, 64(2):155-206.
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Banks, non-banks, and the incorporation of local information in CMBS loan pricing Journal of Banking and Finance, 154:106918.
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Bank lending policies and monetary policy: some lessons from the negative interest era Economic Policy, 38(116):899-941.
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Population diversity and financial risk-taking Journal of Banking and Finance, 151:106852.
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The new challenges of global banking and finance The European Journal of Finance, 29(7):693-699.
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