Publisher
Springer Science and Business Media LLC
Subject
Economics, Econometrics and Finance (miscellaneous),Economics and Econometrics
Reference30 articles.
1. Acharya, V. V., & Mora, N. (2015). A Crisis of Banks as Liquidity Providers. The Journal of Finance, 70(1), 1–43.
2. Acharya, V. V., & Viswanathan, S. (2011). Leverage, Moral Hazard, and Liquidity. The Journal of Finance, 66(1), 99–138.
3. Ahmeti, Y., Ahemti, A., & Ahmeti, S. (2022). The Impact of Cost Efficiency on Liquidity Risk in the Banking Sector: Evidence from Kosovo. Cuadernos De Economia, 45(127), 113–119.
4. Almarzoqi, R., Naceur, S. B., and Scopelliti, A. D. (2015). How Does Bank Competition Affect Solvency, Liquidity and Credit Risk?, IMF Working Paper, No. WP/15/210.
5. Arellano, M., & Bond, S. (1991). Some Tests of Specification for Panel Data: Monte Carlo Evidence and an Application to Employment Equations. The Review of Economic Studies, 58(2), 277–297.