# | Title | Journal | Year | Citations |
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1 | Consistency Conditions for Regulatory Analysis of Financial Institutions: A Comparison of Frontier Efficiency Methods | Journal of Economics and Business | 1998 | 561 |
2 | Why do businesses go crypto? An empirical analysis of initial coin offerings | Journal of Economics and Business | 2018 | 352 |
3 | Risk-based capital, portfolio risk, and bank capital: A simultaneous equations approach | Journal of Economics and Business | 1997 | 344 |
4 | Ceo gender and firm performance | Journal of Economics and Business | 2013 | 278 |
5 | Relationship lending: a survey of the literature | Journal of Economics and Business | 2004 | 260 |
6 | Fintech and regtech: Impact on regulators and banks | Journal of Economics and Business | 2018 | 253 |
7 | Identifying failing companies: a re-evaluation of the logit, probit and DA approaches | Journal of Economics and Business | 1999 | 252 |
8 | Interest-rate smoothing and optimal monetary policy: a review of recent empirical evidence | Journal of Economics and Business | 2000 | 236 |
9 | Return policies and the optimal level of “hassle” | Journal of Economics and Business | 1998 | 231 |
10 | The Impact of Financial Liberalization on the Performance of Thai Banks | Journal of Economics and Business | 1998 | 221 |
11 | Do fintech lenders penetrate areas that are underserved by traditional banks? | Journal of Economics and Business | 2018 | 212 |
12 | CEO overconfidence, CEO dominance and corporate acquisitions | Journal of Economics and Business | 2007 | 210 |
13 | Stock market development and economic growth: Evidence from seven sub-Sahara African countries | Journal of Economics and Business | 2009 | 210 |
14 | Effects of Deregulation on the Productivity of Korean Banks | Journal of Economics and Business | 1998 | 199 |
15 | Predicting large US commercial bank failures | Journal of Economics and Business | 2002 | 190 |
16 | Assessing the impact of the September 11 terrorist attacks on U.S. airline demand | Journal of Economics and Business | 2005 | 186 |
17 | The relationship between privatization and DEA estimates of efficiency in the container port industry | Journal of Economics and Business | 2005 | 178 |
18 | Errors in the measurement of the output gap and the design of monetary policy | Journal of Economics and Business | 2000 | 176 |
19 | Risk-taking behaviour and ownership in the banking industry: The Spanish evidence | Journal of Economics and Business | 2008 | 167 |
20 | Oil sensitivity and systematic risk in oil-sensitive stock indices | Journal of Economics and Business | 2005 | 162 |
21 | Patterns of competition in banking | Journal of Economics and Business | 2004 | 158 |
22 | Liquidity, exchange listing, and common stock performance | Journal of Economics and Business | 1985 | 155 |
23 | The impact of managerial change on team performance in professional sports | Journal of Economics and Business | 2002 | 154 |
24 | Do locals perform better than foreigners?: An analysis of UK and US mutual fund managers | Journal of Economics and Business | 1995 | 152 |
25 | Revisiting the empirical evidence on firms’ money demand | Journal of Economics and Business | 2007 | 150 |
26 | Do macroeconomics news releases affect gold and silver prices? | Journal of Economics and Business | 2000 | 149 |
27 | Gold prices, cost of carry, and expected inflation | Journal of Economics and Business | 2010 | 147 |
28 | Start-up financing, owner characteristics, and survival | Journal of Economics and Business | 2003 | 146 |
29 | Remittances, financial development and economic growth in Africa | Journal of Economics and Business | 2012 | 143 |
30 | Fee versus royalty licensing in a differentiated Cournot duopoly | Journal of Economics and Business | 2002 | 134 |
31 | Competition and market contestability in Japanese commercial banking | Journal of Economics and Business | 1996 | 133 |
32 | Macroeconomic information and stock prices | Journal of Economics and Business | 1987 | 132 |
33 | The stock market's valuation of R&D spending and market concentration | Journal of Economics and Business | 1992 | 132 |
34 | Gold and commodity prices as leading indicators of inflation: Tests of long-run relationship and predictive performance | Journal of Economics and Business | 1997 | 131 |
35 | The impact of capital requirements on banks’ cost of intermediation and performance: The case of Egypt | Journal of Economics and Business | 2009 | 126 |
36 | Financial deregulation and profit efficiency: A nonparametric analysis of Indian banks | Journal of Economics and Business | 2009 | 123 |
37 | The effects of unemployment and the business cycle on absenteeism | Journal of Economics and Business | 1985 | 121 |
38 | A tale of two audiences: Spectators, television viewers and outcome uncertainty in Spanish football | Journal of Economics and Business | 2009 | 119 |
39 | Mergers and acquisitions and bank performance in Europe: The role of strategic similarities | Journal of Economics and Business | 2008 | 117 |
40 | Procyclicality of credit rating systems: How to manage it | Journal of Economics and Business | 2015 | 115 |
41 | Integrating the ‘Troublemakers’: A taxonomy for cooperation between banks and fintechs | Journal of Economics and Business | 2018 | 113 |
42 | Asymmetries in the Conditional Mean and the Conditional Variance: Evidence From Nine Stock Markets | Journal of Economics and Business | 1998 | 112 |
43 | Outside directors, board interlocks and firm performance: Empirical evidence from Colombian business groups | Journal of Economics and Business | 2011 | 108 |
44 | The effect of interstate banking on large bank holding company profitability and risk | Journal of Economics and Business | 1997 | 106 |
45 | Market share as a source of market power: Implications and some evidence | Journal of Economics and Business | 1985 | 105 |
46 | Contagion and interdependence in stock markets: Have they been misdiagnosed? | Journal of Economics and Business | 2003 | 104 |
47 | Statistical methods for bankruptcy forecasting | Journal of Economics and Business | 1982 | 99 |
48 | The risk effects of combining banking, securities, and insurance activities | Journal of Economics and Business | 2000 | 99 |
49 | Asymmetrical reaction to US stock-return news: evidence from major stock markets based on a double-threshold model | Journal of Economics and Business | 2003 | 98 |
50 | Deregulation and efficiency: the case of private Korean banks | Journal of Economics and Business | 2001 | 97 |