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Institutional and foreign ownership vis-à-vis default risk: Evidence from Japanese firms. (2020). Sharma, Parmendra ; Ali, Searat ; Miah, Mohammad Dulal ; Kabir, Md Nurul.
In: International Review of Economics & Finance.
RePEc:eee:reveco:v:69:y:2020:i:c:p:469-493.

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  1. Does managerial pay disparity influence BHC default risk?. (2024). Rahman, Dewan ; Malik, Ihtisham ; Iqbal, Jamshed.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:92:y:2024:i:c:p:1250-1269.

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  2. Corporate governance and earnings management: Evidence from Vietnamese listed firms. (2024). Ali, Searat ; Kim, Maria H ; Nguyen, Quynh.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:89:y:2024:i:pa:p:775-801.

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  3. The impact of bank fintech on corporate debt default. (2024). Hu, Jikong ; Liu, Haiming.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:86:y:2024:i:c:s0927538x24002130.

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  4. Foreign institutional ownership stability and stock price crash risk. (2024). Thenmozhi, M ; Shruti, R.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:91:y:2024:i:c:s1042443124000039.

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  5. Unmasking the carbon conundrum: How emissions impact stock price crash risk. (2024). Nguyen, Dat Thanh ; Tee, Chwee-Ming ; Bach, Dinh Hoang ; Tran, Vuong Thao.
    In: Finance Research Letters.
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  6. Does minority shareholder activism impede corporate default risk? Evidence from China. (2024). Wang, Zhibin ; Huang, Xue.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:61:y:2024:i:c:s1544612324000084.

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  7. Short-selling and corporate default risk: Evidence from China. (2023). Wang, Song ; Li, Xinyu ; Huang, Haozheng ; Meng, Qingbin.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:87:y:2023:i:c:p:398-417.

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  8. Does information disclosure and transparency ranking system prevent the default risk of a firm?. (2023). Lee, Shih-Cheng ; Lu, Canyi ; Yen, Huang-Ping ; Ho, Kung-Cheng.
    In: Economic Analysis and Policy.
    RePEc:eee:ecanpo:v:78:y:2023:i:c:p:1089-1105.

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  9. How can firms transition to a low-carbon economy affect the distance to default?. (2022). Tascon, Maria T ; Castro, Paula ; Gutierrez-Lopez, Cristina.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:62:y:2022:i:c:s0275531922001106.

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  10. Ownership concentration among entrepreneurial firms: The growth-control trade-off. (2022). Zhang, Jianing ; Pu, Xiaoling ; Liu, Zilong ; Liang, Hongyan ; Lai, Shaojie.
    In: International Review of Economics & Finance.
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  11. Foreign controlling shareholders and corporate investment. (2022). Agarwal, Anushka ; Chaudhry, Neeru.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:80:y:2022:i:c:s1042443122000919.

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  12. Corporate governance and the insolvency risk of financial institutions. (2021). Hussain, Nazim ; Iqbal, Jamshed ; Ali, Searat.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:55:y:2021:i:c:s1062940820301996.

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  13. Carbon emissions and default risk: International evidence from firm-level data. (2021). Anwar, Mumtaheena ; Rahman, Md Arifur ; Kabir, Md Nurul.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:103:y:2021:i:c:s0264999321002066.

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  14. Environmental, social and governance disclosure and default risk. (2021). Ali, Searat ; Atif, Muhammad.
    In: Business Strategy and the Environment.
    RePEc:bla:bstrat:v:30:y:2021:i:8:p:3937-3959.

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    RePEc:ira:wpaper:201517.

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  19. Accounting data and the credit spread: An empirical investigation. (2015). Demirovic, Amer ; Guermat, Cherif ; Tucker, Jon.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:34:y:2015:i:c:p:233-250.

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  20. Financial sustainability of wind electricity sectors in the Baltic States. (2015). Bobinaite, Viktorija .
    In: Renewable and Sustainable Energy Reviews.
    RePEc:eee:rensus:v:47:y:2015:i:c:p:794-815.

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  21. Comparative credit risk in Islamic and conventional bank. (2015). Worthington, Andrew ; Gupta, Rakesh ; Nurul, MD.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:34:y:2015:i:c:p:327-353.

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  22. Bank risk behavior and connectedness in EMU countries. (2015). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Gomez-Puig, Marta ; Singh, Manish K.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:57:y:2015:i:c:p:161-184.

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  23. Combining accounting data and a structural model for predicting credit ratings: Empirical evidence from European listed firms. (2015). Zopounidis, Constantin ; Doumpos, Michael ; Andriosopoulos, Kostas ; Niklis, Dimitrios .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:50:y:2015:i:c:p:599-607.

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  24. Performance evaluation of bankruptcy prediction models: An orientation-free super-efficiency DEA-based framework. (2015). Xu, Bing ; Mousavi, Mohammad M ; Ouenniche, Jamal.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:42:y:2015:i:c:p:64-75.

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  25. “Forward Looking Banking Stress in EMU Countries”. (2014). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Singh, Manish K. ; Gomez-Puig, Marta.
    In: IREA Working Papers.
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  26. Predicting distress in European banks. (2014). Sarlin, Peter ; Peltonen, Tuomas ; Betz, Frank ; Opric, Silviu .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:45:y:2014:i:c:p:225-241.

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  27. Are hazard models superior to traditional bankruptcy prediction approaches? A comprehensive test. (2014). Bauer, Julian ; Agarwal, Vineet .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:40:y:2014:i:c:p:432-442.

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  28. Bank competition and financial stability in Asia Pacific. (2014). Molyneux, Philip ; Lin, Yongjia ; Fu, Xiaoqing.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:38:y:2014:i:c:p:64-77.

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  29. Default risk and equity prices in the U.S. banking sector: Regime switching effects of regulatory changes. (2014). Kanas, Angelos.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:33:y:2014:i:c:p:244-258.

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  30. The characteristics of changes in construction companies to become insolvent by size following macroeconomic fluctuations. (2013). Kim, Jaejun ; Kwon, Taein ; Lee, Sanghyo.
    In: E3 Journal of Business Management and Economics..
    RePEc:etr:series:v:4:y:2013:i:4:p:082-092.

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  31. Alternative bankruptcy prediction models using option-pricing theory. (2013). Charitou, Andreas ; Lambertides, Neophytos ; Trigeorgis, Lenos ; Dionysiou, Dionysia.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:7:p:2329-2341.

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  32. Product market competition and credit risk. (2013). Lee, Han-Hsing ; Huang, Hsing-Hua .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:2:p:324-340.

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  33. The impact of diverse measures of default risk on UK stock returns. (2013). Chen, Jie ; Hill, Paula.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:12:p:5118-5131.

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  34. Is the Distance to Default a good measure in predicting bank failures? A case study of Japanese major banks. (2013). Takahashi, Shuhei ; Ito, Takatoshi ; Harada, Kimie .
    In: Japan and the World Economy.
    RePEc:eee:japwor:v:27:y:2013:i:c:p:70-82.

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  35. Financial distress and bankruptcy prediction among listed companies using accounting, market and macroeconomic variables. (2013). Tinoco, Mario Hernandez ; Wilson, Nick.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:30:y:2013:i:c:p:394-419.

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  36. Predicting distress in European banks. (2013). Sarlin, Peter ; Peltonen, Tuomas ; Betz, Frank ; Oprica, Silviu .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20131597.

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  37. On the prediction of corporate financial distress in the light of the financial crisis: empirical evidence from Greek listed firms. (2013). Charalambakis, Evangelos.
    In: Working Papers.
    RePEc:bog:wpaper:164.

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  38. Examining what best explains corporate credit risk: accounting-based versus market-based models. (2012). Trujillo-Ponce, Antonio ; Samaniego-Medina, Reyes ; Cardone-Riportella, Clara .
    In: Working Papers.
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  39. Examining what best explains corporate credit risk: accounting-based versus market-based models. (2012). Trujillo-Ponce, Antonio ; Samaniego-Medina, Reyes ; Cardone-Riportella, Clara .
    In: Working Papers.
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  40. Multi-period credit default prediction with time-varying covariates.. (2011). Orth, Walter .
    In: MPRA Paper.
    RePEc:pra:mprapa:30507.

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  41. Assessing bankruptcy prediction models via information content of technical inefficiency. (2011). Hwang, Ruey-Ching ; Siao, Jhao-Siang ; Chung, Huimin.
    In: Journal of Productivity Analysis.
    RePEc:kap:jproda:v:36:y:2011:i:3:p:263-273.

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  42. The predictive ability of “conservatism” and “governance” variables in corporate financial disclosures. (2011). Smith, Malcolm ; Ren, Yun ; Dong, Yinan .
    In: Asian Review of Accounting.
    RePEc:eme:arapps:v:19:y:2011:i:2:p:171-185.

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  43. The term structure of banking crisis risk in the United States: A market data based compound option approach. (2011). Eichler, Stefan ; Karmann, Alexander ; Maltritz, Dominik .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:4:p:876-885.

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  44. Dynamic analysis of the business failure process: A study of bankruptcy trajectories. (2010). du Jardin, Philippe ; Severin, Eric .
    In: MPRA Paper.
    RePEc:pra:mprapa:44379.

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  45. Is hazard or probit more accurate in predicting financial distress? Evidence from U.S. bank failures. (2010). Cole, Rebel ; Wu, Qiongbing.
    In: MPRA Paper.
    RePEc:pra:mprapa:24688.

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  46. A compound option approach to model the interrelation between banking crises and country defaults: The case of Hungary 2008. (2010). Maltritz, Dominik .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:12:p:3025-3036.

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  47. Is the diversification discount caused by the book value bias of debt?. (2010). Glaser, Markus ; Muller, Sebastian.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:34:y:2010:i:10:p:2307-2317.

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  48. A hybrid bankruptcy prediction model with dynamic loadings on accounting-ratio-based and market-based information: A binary quantile regression approach. (2010). Li, Ming-Yuan Leon ; Miu, Peter .
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:17:y:2010:i:4:p:818-833.

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  49. Bankruptcy prediction models: How to choose the most relevant variables?. (2009). du Jardin, Philippe.
    In: MPRA Paper.
    RePEc:pra:mprapa:44380.

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  50. Accounting-based versus market-based cross-sectional models of CDS spreads. (2009). Sarin, Atulya ; Das, Sanjiv ; Hanouna, Paul.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:33:y:2009:i:4:p:719-730.

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