OpenAlex Citation Counts

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OpenAlex is a bibliographic catalogue of scientific papers, authors and institutions accessible in open access mode, named after the Library of Alexandria. It's citation coverage is excellent and I hope you will find utility in this listing of citing articles!

If you click the article title, you'll navigate to the article, as listed in CrossRef. If you click the Open Access links, you'll navigate to the "best Open Access location". Clicking the citation count will open this listing for that article. Lastly at the bottom of the page, you'll find basic pagination options.

Requested Article:

Bank Bailouts and Moral Hazard: Evidence from Germany
Lammertjan Dam, Michael Koetter
Review of Financial Studies (2012) Vol. 25, Iss. 8, pp. 2343-2380
Closed Access | Times Cited: 375

Showing 26-50 of 375 citing articles:

CEO inside debt holdings and risk-shifting: Evidence from bank payout policies
Abhishek Srivastav, Seth Armitage, Jens Hagendorff
Journal of Banking & Finance (2014) Vol. 47, pp. 41-53
Open Access | Times Cited: 82

The concentration–stability controversy in banking: New evidence from the EU-25
Pieter IJtsma, Laura Spierdijk, Sherrill Shaffer
Journal of Financial Stability (2017) Vol. 33, pp. 273-284
Open Access | Times Cited: 79

The perennial challenge to counter Too-Big-to-Fail in banking: Empirical evidence from the new international regulation dealing with Global Systemically Important Banks
Sebastian C. Moenninghoff, Steven Ongena, Axel Wieandt
Journal of Banking & Finance (2015) Vol. 61, pp. 221-236
Closed Access | Times Cited: 79

What do we know about the impact of government interventions in the banking sector? An assessment of various bailout programs on bank behavior
Aneta Hryckiewicz
Journal of Banking & Finance (2014) Vol. 46, pp. 246-265
Closed Access | Times Cited: 78

How Accurately Can Z‐score Predict Bank Failure?
Laura Chiaramonte, Hong Liu, Federica Poli, et al.
Financial Markets Institutions and Instruments (2016) Vol. 25, Iss. 5, pp. 333-360
Open Access | Times Cited: 75

The systemic implications of bail-in: A multi-layered network approach
Anne‐Caroline Hüser, Grzegorz Hałaj, Christoffer Kok, et al.
Journal of Financial Stability (2017) Vol. 38, pp. 81-97
Open Access | Times Cited: 65

Bank rescues and bailout expectations: The erosion of market discipline during the financial crisis
Florian Hett, Alexander Schmidt
Journal of Financial Economics (2017) Vol. 126, Iss. 3, pp. 635-651
Open Access | Times Cited: 63

Do Business Borrowers Benefit from Bank Bailouts?: The Effects of TARP on Loan Contract Terms
Allen N. Berger, Tanakorn Makaew, Raluca A. Roman
Financial Management (2018) Vol. 48, Iss. 2, pp. 575-639
Closed Access | Times Cited: 60

Policy uncertainty and the capital shortfall of global financial firms
Roman Matoušek, Ekaterini Panopoulou, Andromachi Papachristopoulou
Journal of Corporate Finance (2020) Vol. 62, pp. 101558-101558
Open Access | Times Cited: 54

Sharing the Pain? Credit Supply and Real Effects of Bank Bail-ins
Thorsten Beck, Samuel Da-Rocha-Lopes, André F. Silva
Review of Financial Studies (2020) Vol. 34, Iss. 4, pp. 1747-1788
Open Access | Times Cited: 52

Fiscal support and banks’ loan loss provisions during the COVID-19 crisis
Hans Degryse, Cédric Huylebroek
Journal of Financial Stability (2023) Vol. 67, pp. 101150-101150
Open Access | Times Cited: 17

Bank Risk Taking and Liquidity Creation Following Regulatory Interventions and Capital Support
Allen N. Berger, Christa H. S. Bouwman, Thomas Kick, et al.
RePEc: Research Papers in Economics (2011)
Closed Access | Times Cited: 71

International Evidence on Government Support and Risk Taking in the Banking Sector
Luis Brandão-Marques, Ricardo Correa, Horacio Sapriza
IMF Working Paper (2013) Vol. 13, Iss. 94, pp. 1-1
Open Access | Times Cited: 70

Depositors’ Perception of “Too-Big-to-Fail”*
Raquel de Freitas Oliveira, Rafael Felipe Schiozer, Lucas Ayres Barreira de Campos Barros
European Finance Review (2014) Vol. 19, Iss. 1, pp. 191-227
Closed Access | Times Cited: 64

Bank Capital Requirements: A Quantitative Analysis
Thien Tung Nguyen
SSRN Electronic Journal (2013)
Closed Access | Times Cited: 56

Information Management in Banking Crises
Joel Shapiro, David R. Skeie
Review of Financial Studies (2015) Vol. 28, Iss. 8, pp. 2322-2363
Closed Access | Times Cited: 52

Mandatory disclosure tone and bank risk-taking: Evidence from Europe
Belinda Laura Del Gaudio, Amith Vikram Megaravalli, Gabriele Sampagnaro, et al.
Economics Letters (2019) Vol. 186, pp. 108531-108531
Closed Access | Times Cited: 50

Bank loan loss accounting and its contracting effects: the new expected loss models
Begoña Giner Inchausti, Araceli Mora Enguídanos
Accounting and Business Research (2019) Vol. 49, Iss. 6, pp. 726-752
Closed Access | Times Cited: 47

Bank complexity, governance, and risk
Ricardo Correa, Linda S. Goldberg
Journal of Banking & Finance (2021) Vol. 134, pp. 106013-106013
Open Access | Times Cited: 40

The effectiveness of TARP-CPP on the US banking industry: A new copula-based approach
Raffaella Calabrese, Marta Degl’Innocenti, Silvia Angela Osmetti
European Journal of Operational Research (2016) Vol. 256, Iss. 3, pp. 1029-1037
Open Access | Times Cited: 43

Political Borders and Bank Lending in Post-Crisis America
Matthieu Chavaz, Andrew K. Rose
(2016)
Open Access | Times Cited: 43

The Relevance of Relationship Lending in Times of Crisis
Dan Amiram, Daniel Rabetti
SSRN Electronic Journal (2020)
Closed Access | Times Cited: 38

Equity Is Cheap for Large Financial Institutions
Priyank Gandhi, Hanno Lustig, Alberto Plazzi
Review of Financial Studies (2020) Vol. 33, Iss. 9, pp. 4231-4271
Closed Access | Times Cited: 36

Strategic Liquidity Mismatch and Financial Sector Stability
André F. Silva
Review of Financial Studies (2019) Vol. 32, Iss. 12, pp. 4696-4733
Open Access | Times Cited: 36

Firm-level political risk and distance-to-default
Md. Shahidul Islam, Md. Samsul Alam, Shehub Bin Hasan, et al.
Journal of Financial Stability (2022) Vol. 63, pp. 101082-101082
Open Access | Times Cited: 22

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