All Publications
ZORA Publication List
Publications
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Journal Article
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2010
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Borrowing in foreign currency: Austrian households as carry traders Journal of Banking and Finance, 34(9):2198-2211.
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2009
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Bondholders’ wealth effects in domestic and cross-border bank mergers Journal of Financial Stability, 5(3):256-271.
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Financial Integration and Firm Performance: Evidence from Foreign Bank Entry in Emerging Markets Review of Finance, 13(2):181-223.
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The Impact of Organizational Structure and Lending Technology on Banking Competition Review of Finance, 13(2):225-259.
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2008
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European mezzanine Applied Financial Economics, 18(20):1613-1622.
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2007
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The impact of competition on bank orientation Journal of Financial Intermediation, 16(3):399-424.
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2006
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On the sequencing of projects, reputation building, and relationship finance Finance Research Letters, 3(1):23-39.
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2005
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The impact of bank consolidation on commercial borrower welfare Journal of Finance, 60(4):2043-2082.
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Distance, Lending Relationships, and Competition Journal of Finance, 60(1):231-266.
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2004
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The Impact of Technology and Regulation on the Geographical Scope of Banking Oxford Review of Economic Policy, 20(4):571-590.
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2003
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To what extent will the banking industry be globalized? A study of bank nationality and reach in 20 European nations Journal of Banking and Finance, 27(3):383-415.
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Firms and their distressed banks: lessons from the Norwegian banking crisis Journal of Financial Economics, 67(1):81-112.
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2002
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Bank-firm relationships and international banking markets International Journal of the Economics of Business, 9(3):401-417.
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2001
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The duration of bank relationships Journal of Financial Economics, 61(3):449-475.
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Bank relationships and firm profitability Financial Management, 30(1):9-34.
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2000
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What determines the number of bank relationships? Cross-country evidence Journal of Financial Intermediation, 9(1):26-56.
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1999
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Lending relationships, bank default and economic activity International Journal of the Economics of Business, 6(2):257-280.
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Out-of-sample forecasting performance of single equation monetary exchange rate models in Norwegian currency markets Applied Financial Economics, 9(6):545-550.
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Book Section
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2025
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Competition in Banking: When Banks Compete with Non-Banks In: Berger, Allen N; Molyneux, Philip; Wilson, John O S . The Oxford Handbook of Banking (4th Edition). Oxford: Oxford University Press, 265-296.
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2022
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The price of war: Macroeconomic effects of the 2022 sanctions on Russia In: Garicano, Luis; Rohner, Dominic; Weder di Mauro, Beatrice . Global economic consequences of the war in Ukraine : Sanctions, supply chains and sustainability. London: CEPR Press, 71-78.
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“Crime and Punishment”: How Russian banks anticipated and dealt with global financial sanctions In: Garicano, Luis; Rohner, Dominic; Weder di Mauro, Beatrice . Global economic consequences of the war in Ukraine : Sanctions, supply chains and sustainability. London: CEPR Press, 28-35.
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2020
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The Effects of the COVID-19 Pandemic Through the Lens of the CDS Spreads In: Billio, Monica; Varotto, Simone . A New World Post COVID-19 Lessons for Business, the Finance Industry and Policy Makers. Venice: Ca’ Foscari University Press, 85-96.
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The Global Financial Crisis and the COVID-19 Pandemic In: Billio, Monica; Varotto, Simone . A New World Post COVID-19: Lessons for Business, the Finance Industry and Policy Makers. Venice: Fondazione Università Ca’ Foscari, 23-34.
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2019
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Application in banking: securitization and global banking In: Tsionas, Mike . Panel Data Econometrics: Empirical Applications. Cambridge: Elsevier, 743-770.
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Competition in the banking sector In: Berger, Allen N; Molyneux, Philip; Wilson, John O S . The Oxford Handbook of Banking (3. Auflage). Oxford: Oxford University Press, 776-813.
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2018
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Changes in the Cost of Bank Equity and the Supply of Bank Credit In: Mayer, Colin; Micossi, Stefano; Onado, Marco; Pagano, Marco; Polo, Andrea . Finance and investment : the European case. Oxford: Oxford University Press, 169-179.
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2017
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Shadow banking and competition: Decomposing market power by activity In: Bikker, Jaap; Spierdijk, Laura . Research Handbook on Competition in Banking and Finance. Cheltenham UK: Edward Elgar Publishing, 264-304.
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2016
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The bank lending channel of monetary policy: A review of the literature and an agenda for future research In: Beck, Thorsten; Casu, Barbara . The Palgrave Handbook of European Banking. Basingstoke, UK: Palgrave Macmillan, n/a.
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Monetary transmission and regulatory impacts: empirical evidence from the post-crisis banking literature In: Haven, Emmanuel; Molyneux, Phil; Wilson, John; Fedotov, Sergei; Duygun, Meryem . The handbook of post crisis financial modelling. New York: Palgrave MacMillan Handbooks, 18-41.
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2015
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Bank-firm relationships: A review of the implications for firms and banks in normal and crisis times In: Watanabe, Tsutomu; Uesugi, Iichiro; Ono, Arito . The Economics of Interfirm Networks. Berlin: Springer, 177-189.
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Competition in Banking In: Berger, Allen N; Molyneux, Philip; Wilson, John O S . The Oxford Handbook of Banking. Oxford: Oxford University Press, 589-616.
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2014
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Competition in Banking In: Berger, Allen N; Molyneux, Philip; Wilson, John O S . The Oxford Handbook of Banking. Oxford: Oxford University Press, 589-617.
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2013
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Using heteroskedastic models to analyze the use of rules versus discretion in lending decisions In: Bell, Adrian; Brooks, Chris; Prokopczuk, Marcel . Handbook of Research Methods and Applications in Empirical Finance. Cheltenham UK: Edward Elgar, 216-237.
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"Know the Competitor, Know Thyself?" First Evidence from Banks in Emerging Europe In: Beck, Thorsten; De Haas, Ralph; Ongena, Steven . Understanding Banks in Emerging Markets: Observing, Asking or Experimenting? London: Centre for Economic Policy Research (CEPR), 61-67.
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The impact of banking sector deleveraging on investment in the European Union In: Kolev, Atanas; Tanayama, Tanja; Wagenvoort, Rien . Investment and Investment Finance in Europe. Luxembourg: European Investment Bank, 171-206.
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2011
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Loose monetary policy and excessive credit and liquidity risk-taking by banks In: Beck, Thorsten . The Future of Banking. London: Centre for Economic Policy Research, 21-28.
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Conference or Workshop item
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2019
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Who gains from credit granted between firms? Evidence from inter-corporate loan announcements made in China In: ASSA, Atlanta, 4 Januar 2019 - 6 Januar 2019, SSRN.
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Dissertation
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2025
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Three essays on banking, climate risks, and corporate sustainability (Dissertation, University of Zurich)
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2024
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Sustainable finance or financializiation of sustainability? 2024, University of Zurich, Faculty of Economics.
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Essays on bank credit supply 2024, University of Zurich, Wirtschaftswissenschaftliche Fakultät.
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Essays on fintech and digital currencies 2024, University of Zurich, Faculty of Economics.
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2021
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Finance in the climate crisis: preferences, policies, and prospects 2021, University of Zurich, Faculty of Economics.
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How Does Financial Intermediation Respond to Varied Shocks? 2021, University of Zurich, Faculty of Economics.
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Essays on the Impact of Financial Markets on Traditional Banking 2021, University of Zurich, Faculty of Economics.
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Monograph
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2024
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Disasters and (Bank) Financing Paris & London: CEPR Press.
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2019
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Banking and financial markets: How banks and financial technology are reshaping financial markets Basingstoke, England: Palgrave Macmillan.
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2009
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Microeconometrics of Banking : Methods, Applications, and Results New York: Oxford University Press.
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Newspaper Article
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2020
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Soforthilfe für Schweizer Wirtschaft verdient Respekt In: Finanz und Wirtschaft, 17 Juni 2020, 12.
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2016
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How does international diversification influence advisor performance on cross-border M&A? In: International Banker, 1 März 2016, 16-19.
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Published Research Report
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2025
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Navigating the World of Sovereign Debt Zürich: Swiss Finance Institute.
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