Risk Overhang and Loan Portfolio Decisions (original) (raw)

Risk Overhang and Loan Portfolio Decisions: Small Business Loan Supply Before and During the Financial Crisis

Andrew Winton

SSRN Electronic Journal, 2012

View PDFchevron_right

Should Banks Be Diversified? Evidence from Individual Bank Loan Portfolios

Giovana Oliveira

View PDFchevron_right

Determinants of Composition of Banks' Loan Portfolios

Elena Sevastyanova

2008

View PDFchevron_right

Bank portfolio choice with private information about loan quality

Deborah Lucas

Journal of Banking & Finance, 1987

View PDFchevron_right

Don't Put All Your Eggs in One Basket? Diversification and Specialization in Lending

Andrew Winton

SSRN Electronic Journal, 2000

View PDFchevron_right

Bank Financing and Investment Decisions with Asymmetric Information about Loan Quality

Deborah Lucas

The RAND Journal of Economics, 1992

View PDFchevron_right

The effects of loan portfolio concentration on Brazilian banks’ return and risk

Dimas Fazio

Journal of Banking & Finance, 2011

View PDFchevron_right

Bank Portfolio Management under Credit Market Imperfections

Indrajit Mallick

Journal of Mathematical Finance

View PDFchevron_right

Does limited liability reduce leveraged risk?: The case of loan portfolio management

Deb Narayan Barik

2022

View PDFchevron_right

The effects of focus and diversification on bank risk and return: evidence from individual bank loan portfolios

Anthony Saunders

NYU Working Paper No. FIN-01 …, 2001

View PDFchevron_right

Federal Home Loan Bank Advances and Bank and Thrift Holding Company Risk: Evidence from the Stock Market

Elyas Elyasiani

Real Estate Economics, 2016

View PDFchevron_right

Bank Risk Factors and Changing Risk Exposures: Capital Market Evidence Before and During the Financial Crisis

Wolfgang Bessler

2014

View PDFchevron_right

Risk, regulation, and S & L diversification into nontraditional assets

William Jackson

Journal of Banking & Finance, 1996

View PDFchevron_right

Leverage and risk in U.S. commercial banking in the light of the current financial crisis

Nikolaos I. Papanikolaou

Luxembourg School of Finance Working Paper Series 12, 2010 & Central Bank of Luxembourg, Financial Stability Report 2010, 2010

View PDFchevron_right

The Risk Spiral - The Effects of Bank Capital and Diversification on Risk Taking

Alon Raviv

SSRN Electronic Journal

View PDFchevron_right

The Impact of Loan Portfolio Management on Credit Risk: Evidence from Banking Sector of Afghanistan

Ekramuddin Rahimi

Journal of Economics, Finance and Accounting Studies, 2023

View PDFchevron_right

Risky banking: Optimal loan quantity and portfolio quality choices

PEdro Elosegui

View PDFchevron_right

Exposure to Real Estate in Bank Portfolios

Deniz Igan

Journal of Real Estate Research, 2010

View PDFchevron_right

Too Big or Too Interconnected to Fail? Size, Diversification, and Bank Risk Taking

Chih-Liang Liu

View PDFchevron_right

Realized Bank Risk during the Great Recession

Yener Altunbas

International Finance Discussion Paper, 2015

View PDFchevron_right

Capital requirements and shifts in commercial bank portfolios

Paul Wachtel

Federal Reserve Bank of Cleveland …, 1993

View PDFchevron_right

IMPACT OF LOAN PORTFOLIO DIVERSIFICATION ON CENTRAL BANK PERFORMANCE AND RISK MITIGATION

IAEME Publication

International Journal of Management (IJM), 2020

View PDFchevron_right

Capital, Portfolio, and Growth: Bank Behavior Under Risk-Based Capital Guidelines

Anne Beatty

Journal of Financial Services Research, 2001

View PDFchevron_right

Bank Risk, Short-Term Leverage, and the Recent Financial Crisis

Brian Du

SSRN Electronic Journal, 2011

View PDFchevron_right

How Do Bank Capital and Capital Buffer Affect Risk: Empirical Evidence from Large US Commercial Banks

Faisal Abbas

Journal of Central Banking Theory and Practice, 2021

View PDFchevron_right

The effects of diversification on banks' expected returns

Javier Giovani Rodriguez Rueda

2008

View PDFchevron_right

Deposit insurance, market discipline and off-balance sheet banking risk of large U.S. commercial banks

Gordon Karels

Journal of Banking and Finance, 1994

View PDFchevron_right

The Impact of Portfolio Diversification on Risk Management Practices

Mohammed Faez Hasan

View PDFchevron_right

How Do Capital Ratios Affect Bank Risk-Taking: New Evidence From the United States

Sohail Rizwan

SAGE Open

View PDFchevron_right

Dynamics of Funding Liquidity and Risk-Taking: Evidence from Commercial Banks

Faisal Abbas

Journal of Risk and Financial Management, 2021

View PDFchevron_right