Følg
Olivier De Jonghe
Olivier De Jonghe
Associate Professor, Finance Department, Tilburg University
Verifisert e-postadresse på nbb.be - Startside
Tittel
Sitert av
Sitert av
År
Bank competition and stability: cross-country heterogeneity
T Beck, O De Jonghe, G Schepens
Journal of Financial Intermediation 22 (2), 218-244, 2013
14122013
Does the stock market value bank diversification?
L Baele, O De Jonghe, R Vander Vennet
Journal of Banking & Finance 31 (7), 1999-2023, 2007
9502007
Back to the basics in banking? A micro-analysis of banking system stability
O De Jonghe
Journal of financial intermediation 19 (3), 387-417, 2010
8312010
Competition, transmission and bank pricing policies: Evidence from Belgian loan and deposit markets
F De Graeve, O De Jonghe, R Vander Vennet
Journal of Banking & Finance 31 (1), 259-278, 2007
2672007
Identifying credit supply shocks with bank-firm data: methods and applications
H Degryse, O De Jonghe, Jakovljevic, Sanja, K Mulier, G Schepens
Journal of Financial Intermediation 40, 2019
2462019
Banks’ size, scope and systemic risk: What role for conflicts of interest?
O De Jonghe, M Diepstraten, G Schepens
Journal of Banking & Finance 61, S3-S13, 2015
2052015
Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
O De Jonghe, H Dewachter, S Ongena
Journal of Corporate Finance 60, 2020
1812020
Some borrowers are more equal than others: Bank funding shocks and credit reallocation
O De Jonghe, H Dewachter, M Klaas, O Steven, G Schepens
Review of Finance 24, 2020
1762020
Bank capital management: International evidence
O De Jonghe, Ö Öztekin
Journal of Financial Intermediation 24 (2), 154-177, 2015
1612015
Competition versus efficiency: What drives franchise values in European banking?
O De Jonghe, R Vander Vennet
Journal of Banking & Finance 32 (9), 1820-1835, 2008
1552008
Corporate governance, opaque bank activities, and risk/return efficiency: pre-and post-crisis evidence from Turkey
O De Jonghe, M Disli, K Schoors
Journal of Financial Services Research 41 (1), 51-80, 2012
602012
Model uncertainty and systematic risk in US banking
L Baele, V De Bruyckere, O De Jonghe, R Vander Vennet
Journal of Banking & Finance 53, 49-66, 2015
382015
Does banks' systemic importance affect their capital structure and balance sheet adjustment processes?
Y Bakkar, O De Jonghe, A Tarazi
Journal of Banking and Finance, 0
35*
Bank risks and the business cycle
R Vander Vennet, L Baele, O De Jonghe
Routledge, 2005
282005
Do stock markets discipline US Bank Holding Companies: Just monitoring, or also influencing?
L Baele, V De Bruyckere, O De Jonghe, R Vander Vennet
The North American Journal of Economics and Finance 29, 124-145, 2014
152014
Systemet kan ikke utføre handlingen. Prøv på nytt senere.
Artikler 1–15