Citation Impact
Citing Papers
Banking, Mortgage and the Credit Industry in the USA
2016
Centrality-Based Capital Allocations and Bailout Funds
2014
Systemic Risk and Stability in Financial Networks
2013 StandoutNobel
Deciphering the Liquidity and Credit Crunch 2007–2008
2009 Standout
The Real Effects of Disrupted Credit: Evidence from the Global Financial Crisis
2018 StandoutNobel
Energy investment risk assessment for nations along China’s Belt & Road Initiative
2017 Standout
Financial Amplification Mechanisms and the Federal Reserve's Supply of Liquidity During the Crisis
2010
Foreign direct investment in Central and Eastern European countries: a dynamic panel analysis
2004
Option Value, Policy Uncertainty, and the Foreign Direct Investment Decision
2003
Does it Pay to Be Good...And Does it Matter? A Meta-Analysis of the Relationship between Corporate Social and Financial Performance
2009 Standout
Macroprudential capital requirements and systemic risk
2012
On the network topology of variance decompositions: Measuring the connectedness of financial firms
2014 Standout
What determines foreign direct investment in Russia?
2019
Privatization and output behavior during the transition: Methods matter!
2007
Beyond Aid: New Sources And Innovative Mechanisms For Financing Development In Sub-Saharan Africa
2008
How Well Do Social Ratings Actually Measure Corporate Social Responsibility?
2008
CoVaR
2016 Standout
Fintech, regulatory arbitrage, and the rise of shadow banks
2018 Standout
Capital ratios and bank lending: A matched bank approach
2013
A Survey of Systemic Risk Analytics
2012
The Cross-Market Spillover of Economic Shocks through Multi-Market Banks
2013
Deposit Competition and Financial Fragility: Evidence from the US Banking Sector
2016
Measuring Systemic Risk in the Finance and Insurance Sectors
2010
Voluntary Nonfinancial Disclosure and the Cost of Equity Capital: The Initiation of Corporate Social Responsibility Reporting
2010 Standout
Challenges in Identifying and Measuring Systemic Risk
2012 StandoutNobel
Sovereign Rating News and Financial Markets Spillovers: Evidence from the European Debt Crisis
2011
The Governance of a Fragile Eurozone
2012 Standout
Loan Sales and Bank Liquidity Risk Management: Evidence from a U.S. Credit Register
2014
A guided data projection technique for classification of sovereign ratings: The case of European Union 27
2014
The Real Effects of Liquidity During the Financial Crisis: Evidence from Automobiles*
2016
Political Uncertainty and Corporate Investment Cycles
2012 Standout
Corporate Social Responsibility and Credit Ratings
2013 Standout
Measuring Systemic Risk
2016 Standout
Markets: The Credit Rating Agencies
2010 Standout
Credit Rating Agencies
2011
Systemic Risk and Stability in Financial Networks
2013 StandoutNobel
Aggregate Confusion: The Divergence of ESG Ratings
2022 Standout
Economic Perspectives on Corporate Social Responsibility
2012 Standout
Migration and Remittances Factbook 2008
2008 Standout
A Survey of Systemic Risk Analytics
2012
MACROPRUDENTIAL POLICY – A LITERATURE REVIEW
2012
Bitcoin, Blockchain and Fintech: a systematic review and case studies in the supply chain
2019 Standout
The Influence of Firm Size on the ESG Score: Corporate Sustainability Ratings Under Review
2019 Standout
2009
Systemic Risk in Endogenous Financial Networks
2015 StandoutNobel
The Effects of Privatization and Ownership in Transition Economies
2009 Standout
Macroeconomic and bank-specific determinants of non-performing loans in Greece: A comparative study of mortgage, business and consumer loan portfolios
2011 Standout
Research on the Impact of Geopolitical Instability on Russian Trade
2024 Standout
Systemic Risk and Stability in Financial Networks
2015 StandoutNobel
Works of Nada Mora being referenced
Sovereign Credit Ratings: Guilty beyond Reasonable Doubt?
2004
Sovereign credit ratings: Guilty beyond reasonable doubt?
2005
Shocks to bank capital: evidence from UK banks at home and away
2011
Shocks to Bank Capital: Evidence from UK Banks at Home and Away
2010
What Moves Capital to Transition Economies?
2002
What Moves Capital to Transition Economies?
2001
A Crisis of Banks as Liquidity Providers
2014
What Moves Capital to Transition Economies?
2002
Towards a Framework for Quantifying Systemic Stability
2012
Funding Liquidity Risk in a Quantitative Model of Systemic Stability
2009