Author:
Gyeke-Dako Agyapomaa,Harvey Simon K.,Azu Gabriel,Issahaku Haruna
Publisher
Springer International Publishing
Reference56 articles.
1. Aboyadana, G. (2021). Monetary policy and bank risk-taking in Sub-Sahara Africa. The European Journal of Applied Economics, 18(1).
2. Afonso, G., Santos, J. A., & Traina, J. (2014). Do ‘too-big-to-fail’ banks take on more risk? Economic Policy Review.
3. Acharya, V., & Naqvi, H. (2012). The seeds of a crisis: A theory of bank liquidity and risk taking over the business
cycle. Journal of Financial Economics, 106(2), 349–366.
4. Almani, A. (2016). Accounting and business magazine of ACCA, October 2016 ed., p. 23.
5. Altunbas, Y., Gambacorta, L., & Marqués-Ibanez, D. (2009). An empirical assessment of the risk-taking channel. Available at SSRN 1459627.