Citation Impact

Citing Papers

UNDERSTANDING THE ROLE OF DEBT IN THE FINANCIAL SYSTEM 1
2014 StandoutNobel
Competition, Efficiency, and Stability in Banking
2012
John Snow's legacy: epidemiology without borders
2013 StandoutNobel
COVID-19 implications for banks: evidence from an emerging economy
2020 Standout
COVID-19 and finance: Agendas for future research
2020 Standout
Default cascades: When does risk diversification increase stability?
2012 Nobel
Microeconomic Origins of Macroeconomic Tail Risks
2016 StandoutNobel
Financial Integration and Liquidity Crises
2017
Systemic Risk and Stability in Financial Networks
2013 StandoutNobel
Deciphering the Liquidity and Credit Crunch 2007–2008
2009 Standout
Networks and the Macroeconomy: An Empirical Exploration
2015 StandoutNobel
Microeconomic Origins of Macroeconomic Tail Risks
2014 StandoutNobel
The Real Effects of Disrupted Credit: Evidence from the Global Financial Crisis
2018 StandoutNobel
Regulation of systemic liquidity risk
2010
Competition and bank stability
2017 Standout
Networks and the Macroeconomy: An Empirical Exploration
2016 StandoutNobel
Is Financial Innovation Good for the Economy?
2012 StandoutNobel
Banks’ Non-Interest Income and Systemic Risk
2012
Competition, Efficiency, and Stability in Banking
2013
The impact of the COVID-19 crisis on the perception of business risk in the SME segment
2020 Standout
Macroprudential capital requirements and systemic risk
2012
Resiliency of Environmental and Social Stocks: An Analysis of the Exogenous COVID-19 Market Crash
2020 Standout
Spillover Effects among Financial Institutions: A State-Dependent Sensitivity Value-at-Risk Approach
2014
On the network topology of variance decompositions: Measuring the connectedness of financial firms
2014 Standout
Networks and the Macroeconomy: An Empirical Exploration
2015 StandoutNobel
The Impact of the Global Financial Crisis on Banking Globalization
2015 Standout
Illiquidity and All Its Friends
2011 StandoutNobel
Pandemics of the poor and banking stability
2013
Measuring Geopolitical Risk
2022 Standout
CoVaR
2016 Standout
Competition and risk in South East Asian commercial banking
2011
International Financial Integration in the Aftermath of the Global Financial Crisis
2017
A Survey of Systemic Risk Analytics
2012
The Spillovers from Easy Liquidity and the Implications for Multilateralism
2019 StandoutNobel
The European Sovereign Debt Crisis
2012 Standout
The effect of the interbank network structure on contagion and common shocks
2013
Liaisons dangereuses: Increasing connectivity, risk sharing, and systemic risk
2012 Nobel
Systemic credit freezes in financial lending networks
2020 StandoutNobel
Credit ratings failures and policy options
2010
Banking stability determinants in Africa
2018
Challenges in Identifying and Measuring Systemic Risk
2012 StandoutNobel
Are U.S. Multinational Corporations Becoming More Aggressive Income Shifters?
2012 Standout
Should Competition Policy in Banking Be Amended during Crises? Lessons from the EU
2013
Competition and financial stability in European cooperative banks
2014 Standout
Inside and Outside Liquidity
2011 StandoutNobel
Machine Learning and Deep Learning in smart manufacturing: The Smart Grid paradigm
2021 Standout
Securitization, Transparency, and Liquidity
2012
Financial Integration, Liquidity and the Depth of Systemic Crises
2009
Resistance of commercial banks to the crisis caused by the COVID-19 pandemic: the case of Poland
2020 Standout
Investors' Horizons and the Amplification of Market Shocks
2013
How bank competition influences liquidity creation
2014 Standout
Financial Networks and Contagion
2012
Financing Firms in Hibernation During the COVID-19 Pandemic
2020
The Greek debt restructuring: an autopsy
2013 Standout
Bank competition and stability: Cross-country heterogeneity
2012
Measuring Systemic Risk
2016 Standout
Meta‐analysis and traditional systematic literature reviews—What, why, when, where, and how?
2022 Standout
Securitisation and the Bank Lending Channel
2007
Cashless payment and economic growth
2016 Standout
Markets: The Credit Rating Agencies
2010 Standout
Networks, Shocks, and Systemic Risk
2015 StandoutNobel
The macroeconomic impact of financial and uncertainty shocks
2016
Credit risk transfer and bank competition
2010
Banking at the crossroads: How to deal with marketability and complexity?
2011
Systemic Risk and Stability in Financial Networks
2013 StandoutNobel
Size and complexity in model financial systems
2012
Retail Payments and Economic Growth
2012
Minimal Settlement Assets in Economies with Interconnected Financial Obligations
2011
Liquidity Shocks, Local Banks, and Economic Activity: Evidence from the 2007-2009 Crisis
2010
Country-specific determinants of cross-border mergers and acquisitions: A comprehensive review and future research directions
2017
Amplification Mechanisms in Liquidity Crises
2010
The effect of digital finance on financial stability
2021 Standout
How Market Power Influences Bank Failures: Evidence from Russia
2009
Securitized banking and the run on repo
2011 Standout
A Survey of Systemic Risk Analytics
2012
Privacy-constrained network formation
2017 StandoutNobel
Bank competition, concentration and financial stability in the Turkish banking industry
2015 Standout
Illiquidity and All Its Friends
2010 StandoutNobel
Innovation, Reallocation and Growth
2013 StandoutNobel
What are Borders Made of? An Analysis of Barriers to European Banking Integration
2008 Standout
Asset commonality, debt maturity and systemic risk
2011
Systemic Risk in Endogenous Financial Networks
2015 StandoutNobel
Models for Predicting Business Bankruptcies and Their Application to Banking and to Financial Regulation
2019
Financial Networks and Contagion
2014
Diversification and Systemic Bank Panics
2018
How Does Transfer Pricing Risk Affect Premia in Cross-Border Mergers and Acquisitions?
2014
Measuring Geopolitical Risk
2018 Standout
Leverage and the Central Banker's Put
2009 StandoutNobel
Illiquidity and All its Friends
2010 StandoutNobel
Information contagion and systemic risk
2017
Asset Commonality, Debt Maturity and Systemic Risk
2011
Securitization, Transparency and Liquidity
2010
Systemic Risk and Stability in Financial Networks
2015 StandoutNobel
Bank resilience to systemic shocks and the stability of banking systems: Small is beautiful
2012

Works of Wolf Wagner being referenced

Efficient asset allocations in the banking sector and financial regulation
2009
Cross-Border Banking in Europe: Implications for Financial Stability and Macroeconomic Policies
2011
Credit risk transfer activities and systemic risk: How banks became less risky individually but posed greater risks to the financial system at the same time
2010
Loan Market Competition and Bank Risk-Taking
2007
Credit Risk Transfer Activities and Systemic Risk: How Banks Became Less Risky Individually But Posed Greater Risks to the Financial System at the Same Time
2008
Performance Evaluation and Financial Market Runs
2012
Loan Market Competition and Bank Risk-Taking
2009
Diversification at financial institutions and systemic crises
2009
Credit Risk Transfer and Financial Sector Performance
2004
Shocks to Bank Lending, Risk-Taking, Securitization, and Their Role for U.S. Business Cycle Fluctuations
2014
Systemic Liquidation Risk and the Diversity–Diversification Trade‐Off
2011
The liquidity of bank assets and banking stability
2006
Tail Risk at Banks
2009
The homogenization of the financial system and financial crises
2008
Liquidity Provision during a Pandemic
2020
Why is Price Discovery in Credit Default Swap Markets News-Specific?
2012
On the efficiency of bilateral interbank insurance
2012
Bank Behaviour with Access to Credit Risk Transfer Markets
2007
Credit risk transfer and financial sector stability
2006
The Optimality of Interbank Liquidity Insurance
2009
Who bears the burden of international taxation? Evidence from cross-border M&As
2012
Rankless by CCL
2026