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bankruptcy, liquidation (946) 946
economics (768) 768
financing policy, financial risk and risk management, capital and ownership structure, value of firms, goodwill (590) 590
bankruptcy (588) 588
business, finance (514) 514
firm (496) 496
banks, depository institutions, micro finance institutions, mortgages (376) 376
g33 (363) 363
analysis (301) 301
bank (294) 294
studies (274) 274
firms (251) 251
europe (218) 218
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u.s (203) 203
risk (190) 190
credit (177) 177
banks (176) 176
financial institutions and services: government policy and regulation (169) 169
economics / management science (168) 168
firm performance: size, diversification, and scope (168) 168
finance (158) 158
capital (152) 152
debt (143) 143
banking (138) 138
capital structure (138) 138
management (131) 131
g32 (117) 117
liquidation (116) 116
financial distress (110) 110
investment (109) 109
g21 (103) 103
default (101) 101
models (101) 101
credit risk (100) 100
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insolvency (86) 86
determinants (85) 85
leverage (84) 84
law (83) 83
costs (80) 80
financial crisis (80) 80
mathematics, interdisciplinary applications (80) 80
performance (79) 79
asset pricing, trading volume, bond interest rates (77) 77
mergers, acquisitions, restructuring, voting, proxy contests, corporate governance (77) 77
prediction (77) 77
social sciences, mathematical methods (75) 75
economic development: financial markets, saving and capital investment, corporate finance and governance (70) 70
financial crises (69) 69
business (68) 68
business and securities law (68) 68
entrepreneurship (66) 66
financing (64) 64
market (64) 64
default risk (63) 63
regulation (63) 63
accounting/auditing (62) 62
operations research/decision theory (62) 62
banking industry (60) 60
corporate governance (59) 59
econometrics (59) 59
microeconomics (59) 59
valuation (59) 59
bank loans (58) 58
financial markets and the macroeconomy (58) 58
ownership (58) 58
policy (58) 58
bank failures (57) 57
firm behavior: empirical analysis (57) 57
bankruptcies (56) 56
reorganization (54) 54
corporate finance and governance: government policy and regulation (53) 53
economic aspects (53) 53
finance/investment/banking (51) 51
financial risk (50) 50
shareholder (50) 50
asymmetric and private information, mechanism design (49) 49
crisis (49) 49
insurance (49) 49
corporate finance (48) 48
business fluctuations, cycles (47) 47
g28 (47) 47
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growth (47) 47
financial econometrics (46) 46
financial markets (46) 46
macroeconomics (44) 44
markets (44) 44
financial ratios (43) 43
systemic risk (43) 43
contagion (42) 42
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contracts (41) 41
distress (41) 41
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Journal of Financial Economics, ISSN 0304-405X, 05/2016, Volume 120, Issue 2, pp. 363 - 382
Exploiting the timing of the 2005–2006 Italian bankruptcy law reforms, we disentangle the effects of reorganization and liquidation in bankruptcy on bank... 
Financial contracting | Multi-bank borrowing | Renegotiation | Bankruptcy courts | Financial distress | G33 | K22 | BUSINESS, FINANCE | DISTRESS | SAY | ECONOMICS | ENFORCEMENT | Bankruptcy law | Banks (Finance) | Banking law | Bankruptcy | Interest rates
Journal Article
Journal Article
The American Economic Review, ISSN 0002-8282, 10/2014, Volume 104, Issue 10, pp. 3115 - 3153
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 01/2015, Volume 50, pp. 383 - 399
Interconnections among financial institutions create potential channels for contagion and amplification of shocks to the financial system. We estimate the... 
Financial network | Contagion | Systemic risk | BUSINESS, FINANCE | ECONOMICS | Financial institutions
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 2010, Volume 34, Issue 10, pp. 2510 - 2517
With the advent of the new Basel Capital Accord, banking organizations are invited to estimate credit risk capital requirements using an internal ratings based... 
Regression tree | Loss-given-default | Bank loan | Fractional response regression | G33 | G21 | G17 | Forecasting | BUSINESS, FINANCE | EMPIRICAL-EVIDENCE | RISK | ECONOMICS | RECOVERY RATES | G17 G21 G33 Loss-given-default Forecasting Bank loan Fractional response regression Regression tree | Bank loans | Banks (Finance)
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 2/2015, Volume 28, Issue 2, pp. 561 - 591
This paper exploits intertemporal variations in employment protection across countries and finds that rigidities in labor markets are an important determinant... 
K31 | J31 | G33 | G32 | J51 | BUSINESS, FINANCE | PROFITABILITY | DECISIONS | MARKET | CAPITAL STRUCTURE | POLITICAL-ECONOMY | FIRMS | CORPORATE GOVERNANCE | ECONOMICS | DEBT | UNIONS | UNIONIZATION
Journal Article
Journal of Corporate Finance, ISSN 0929-1199, 12/2013, Volume 23, pp. 345 - 367
This paper empirically examines business starts, deaths, venture capital and patents in relation to U.S. public policy. The most consistent evidence in the... 
Tax | Labor law | Public policy | Entrepreneurship | Bankruptcy | Venture capital | G33 | G32 | G24 | K31 | K22 | G38 | START-UPS | FIRMS | ECONOMIC-FREEDOM | EMPLOYMENT PROTECTION | ADVISORY SERVICES | CHOICE | BUSINESS, FINANCE | FINANCE | GROWTH | GOVERNMENT | Analysis
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 10/2014, Volume 27, Issue 10, pp. 2926 - 2960
We use credit default swaps (CDS) trading data to demonstrate that the credit risk of reference firms, reflected in rating downgrades and bankruptcies,... 
Creditors | Bank credit | Bank loans | Lenders | Credit ratings | Credit risk | Modeling | Bankruptcy | Credit default swaps | Contracts | G33 | G32 | BUSINESS, FINANCE | IMPACT | INVESTMENT | ECONOMICS | MODEL | DEBT | DERIVATIVES | FIRM
Journal Article
Small Business Economics, ISSN 0921-898X, 04/2018, Volume 54, Issue 2, pp. 1 - 10
This paper attempts to shed light on the nexus of relationships existing between failure, bankruptcy, institutional context, and local characteristics on one... 
Entrepreneurship | Bankruptcy | Failure | Firms | Insolvency | BANKRUPTCY LAWS | MANAGEMENT | BUSINESS | ECONOMICS | PREDICTION | Recovered | Entrepreneurs | Competitiveness | Ventures | Markets | Economic policy | Ambition | Capital | Creditors
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 02/2015, Volume 115, Issue 2, pp. 237 - 260
Statistical default models, widely used to assess default risk, fail to account for a change in the relations between different variables resulting from an... 
Mortgage default | Regulation | Lucas critique | Statistical model | SECURITIZATION | CONTRACTS | INFORMATION | BIAS | MORTGAGE CREDIT | BUSINESS, FINANCE | BANKS | CRISIS | RATINGS | ECONOMICS | Loans | Financial risk | Analysis
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 03/2014, Volume 40, Issue 1, pp. 432 - 442
•We test z-score, contingent claims, and hazard models for bankruptcy prediction.•Models are evaluated by ROC curve, information content test, and economic... 
Basel III | Credit risk | Hazard models | Option pricing | Distress risk | BUSINESS, FINANCE | DEFAULT PREDICTION | ECONOMICS | FINANCIAL RATIOS | Analysis | Bankruptcy
Journal Article
The Review of Financial Studies, ISSN 0893-9454, 3/2012, Volume 25, Issue 3, pp. 747 - 796
We study the interaction between financing and investment decisions in a dynamic model, where the firm has multiple debt issues and equityholders choose the... 
Debt financing | Debt | Financial leverage | Cost of equity | Equity | Capital investments | Capital structure | Investment decisions | Financial investments | Investment value | CHAPTER-7 | GROWTH OPPORTUNITIES | G31 | DETERMINANTS | G33 | BANKRUPTCY | G32 | G13 | LEVERAGE | AGENCY | BUSINESS, FINANCE | DECISIONS | TRADE-OFF | COSTS | DEBT MATURITY | ECONOMICS
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 2007, Volume 84, Issue 3, pp. 860 - 883
This study examines the intra-industry information transfer effect of credit events, as captured in the credit default swaps (CDS) and stock markets. Positive... 
Contagion | Event study | Market reaction | Credit default swaps | Bankruptcy | contagion | BUSINESS, FINANCE | market reaction | credit default swaps | INVESTMENT | RISK | ECONOMICS | bankruptcy | SPREADS | event study | Swaps (Finance) | Credit contagion
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 2007, Volume 83, Issue 3, pp. 635 - 665
We provide maximum likelihood estimators of term structures of conditional probabilities of corporate default, incorporating the dynamics of firm-specific and... 
Duration analysis | Distance to default | Doubly stochastic | Default | Bankruptcy | CREDIT SPREADS | distance to default | RETURNS | INSURANCE | doubly stochastic | RISK | MODEL | bankruptcy | DEBT | BUSINESS, FINANCE | default | CAPITAL STRUCTURE | RATING TRANSITIONS | ECONOMICS | duration analysis | FINANCIAL RATIOS
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 2011, Volume 102, Issue 1, pp. 150 - 166
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 2010, Volume 97, Issue 3, pp. 339 - 368
We calculate the costs and benefits of the largest ever US government intervention in the financial sector announced during the 2008 Columbus-day weekend. We... 
TARP | Banking crisis | Bailout | BUSINESS, FINANCE | LIQUIDITY | COSTS | RISK | ECONOMICS | FINANCIAL DISTRESS | Banking crisis Bailout TARP
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 2008, Volume 32, Issue 8, pp. 1541 - 1551
Recently developed corporate bankruptcy prediction models adopt a contingent claims valuation approach. However, despite their theoretical appeal, tests of... 
Z-score | Bank profitability | Failure prediction | Credit risk | Option-pricing models | BUSINESS, FINANCE | AREA | credit risk | RISK | z-score | bank profitability | ECONOMICS | FINANCIAL RATIOS | failure prediction | option-pricing models | Analysis | Models | Bankruptcy
Journal Article
European Journal of Operational Research, ISSN 0377-2217, 07/2016, Volume 252, Issue 2, pp. 561 - 572
•Combining corporate government indicators (CGIs) and financial ratios (FRs) are examined for bankruptcy prediction.•In particular, seven and five different... 
Bankruptcy prediction | Feature selection | Financial ratios | Data mining | Corporate governance indicators | OPERATIONS RESEARCH & MANAGEMENT SCIENCE | CRISIS | Corporate governance | Analysis | Bankruptcy | Profitability | Boards | Categories | Markets | Mathematical models | Operational research | Bankruptcies | Indicators
Journal Article
Journal of Financial Intermediation, ISSN 1042-9573, 07/2013, Volume 22, Issue 3, pp. 397 - 421
We test whether income from nontraditional banking activities contributed to the failures of hundreds of U.S. commercial banks during the financial crisis.... 
Banking deregulation | Bank failure | Financial crisis | BUSINESS, FINANCE | IMPACT | DIVERSIFICATION | RISK | Banks (Finance) | Deregulation | Bank failures | Studies | Securities trading | Financial performance | Market strategy | Insurance coverage | Economic crisis
Journal Article