
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:
The effect of TARP on bank risk-taking
Lamont Black, Lieu N. Hazelwood
Journal of Financial Stability (2012) Vol. 9, Iss. 4, pp. 790-803
Open Access | Times Cited: 211
Lamont Black, Lieu N. Hazelwood
Journal of Financial Stability (2012) Vol. 9, Iss. 4, pp. 790-803
Open Access | Times Cited: 211
Showing 1-25 of 211 citing articles:
Whatever It Takes: The Real Effects of Unconventional Monetary Policy
Viral V. Acharya, Tim Eisert, Christian Eufinger, et al.
Review of Financial Studies (2019) Vol. 32, Iss. 9, pp. 3366-3411
Open Access | Times Cited: 470
Viral V. Acharya, Tim Eisert, Christian Eufinger, et al.
Review of Financial Studies (2019) Vol. 32, Iss. 9, pp. 3366-3411
Open Access | Times Cited: 470
Safer ratios, riskier portfolios: Banks׳ response to government aid
Ran Duchin, Denis Sosyura
Journal of Financial Economics (2014) Vol. 113, Iss. 1, pp. 1-28
Open Access | Times Cited: 455
Ran Duchin, Denis Sosyura
Journal of Financial Economics (2014) Vol. 113, Iss. 1, pp. 1-28
Open Access | Times Cited: 455
Bank Leverage and Monetary Policy's Risk‐Taking Channel: Evidence from the United States
Giovanni Dell’Ariccia, Luc Laeven, Gustavo Suárez
The Journal of Finance (2016) Vol. 72, Iss. 2, pp. 613-654
Open Access | Times Cited: 405
Giovanni Dell’Ariccia, Luc Laeven, Gustavo Suárez
The Journal of Finance (2016) Vol. 72, Iss. 2, pp. 613-654
Open Access | Times Cited: 405
Bank liquidity creation following regulatory interventions and capital support
Allen N. Berger, Christa H. S. Bouwman, Thomas Kick, et al.
Journal of Financial Intermediation (2016) Vol. 26, pp. 115-141
Open Access | Times Cited: 268
Allen N. Berger, Christa H. S. Bouwman, Thomas Kick, et al.
Journal of Financial Intermediation (2016) Vol. 26, pp. 115-141
Open Access | Times Cited: 268
CEO Narcissism, Risk-Taking, and Resilience: An Empirical Analysis in U.S. Commercial Banks
Tine Buyl, Christophe Boone, James B. Wade
Journal of Management (2017) Vol. 45, Iss. 4, pp. 1372-1400
Open Access | Times Cited: 265
Tine Buyl, Christophe Boone, James B. Wade
Journal of Management (2017) Vol. 45, Iss. 4, pp. 1372-1400
Open Access | Times Cited: 265
Internationalization and Bank Risk
Allen N. Berger, Sadok El Ghoul, Omrane Guedhami, et al.
Management Science (2016) Vol. 63, Iss. 7, pp. 2283-2301
Closed Access | Times Cited: 200
Allen N. Berger, Sadok El Ghoul, Omrane Guedhami, et al.
Management Science (2016) Vol. 63, Iss. 7, pp. 2283-2301
Closed Access | Times Cited: 200
Taxes and bank capital structure
Glenn Schepens
Journal of Financial Economics (2016) Vol. 120, Iss. 3, pp. 585-600
Closed Access | Times Cited: 170
Glenn Schepens
Journal of Financial Economics (2016) Vol. 120, Iss. 3, pp. 585-600
Closed Access | Times Cited: 170
Banking research in the time of COVID-19
Allen N. Berger, Aslι Demirgüç-Kunt
Journal of Financial Stability (2021) Vol. 57, pp. 100939-100939
Open Access | Times Cited: 116
Allen N. Berger, Aslι Demirgüç-Kunt
Journal of Financial Stability (2021) Vol. 57, pp. 100939-100939
Open Access | Times Cited: 116
TARP funds distribution and bank loan supply
Lei Li
Journal of Banking & Finance (2013) Vol. 37, Iss. 12, pp. 4777-4792
Closed Access | Times Cited: 179
Lei Li
Journal of Banking & Finance (2013) Vol. 37, Iss. 12, pp. 4777-4792
Closed Access | Times Cited: 179
Did TARP Banks Get Competitive Advantages?
Allen N. Berger, Raluca A. Roman
Journal of Financial and Quantitative Analysis (2015) Vol. 50, Iss. 6, pp. 1199-1236
Open Access | Times Cited: 143
Allen N. Berger, Raluca A. Roman
Journal of Financial and Quantitative Analysis (2015) Vol. 50, Iss. 6, pp. 1199-1236
Open Access | Times Cited: 143
Did TARP reduce or increase systemic risk? The effects of government aid on financial system stability
Allen N. Berger, Raluca A. Roman, John Sedunov
Journal of Financial Intermediation (2019) Vol. 43, pp. 100810-100810
Closed Access | Times Cited: 133
Allen N. Berger, Raluca A. Roman, John Sedunov
Journal of Financial Intermediation (2019) Vol. 43, pp. 100810-100810
Closed Access | Times Cited: 133
Lobbying on Regulatory Enforcement Actions: Evidence from U.S. Commercial and Savings Banks
Thomas Lambert
Management Science (2018) Vol. 65, Iss. 6, pp. 2545-2572
Open Access | Times Cited: 130
Thomas Lambert
Management Science (2018) Vol. 65, Iss. 6, pp. 2545-2572
Open Access | Times Cited: 130
Banks and the real economy: An assessment of the research
Allen N. Berger, Philip Molyneux, John O. S. Wilson
Journal of Corporate Finance (2019) Vol. 62, pp. 101513-101513
Open Access | Times Cited: 124
Allen N. Berger, Philip Molyneux, John O. S. Wilson
Journal of Corporate Finance (2019) Vol. 62, pp. 101513-101513
Open Access | Times Cited: 124
An Assessment of TARP Assistance to Financial Institutions
Charles W. Calomiris, Urooj Khan
The Journal of Economic Perspectives (2015) Vol. 29, Iss. 2, pp. 53-80
Open Access | Times Cited: 123
Charles W. Calomiris, Urooj Khan
The Journal of Economic Perspectives (2015) Vol. 29, Iss. 2, pp. 53-80
Open Access | Times Cited: 123
How to explain non-performing loans by many corporate governance variables simultaneously? A corporate governance index is built to US commercial banks
Ameni Tarchouna, Bilel Jarraya, Abdelfettah Bouri
Research in International Business and Finance (2017) Vol. 42, pp. 645-657
Closed Access | Times Cited: 112
Ameni Tarchouna, Bilel Jarraya, Abdelfettah Bouri
Research in International Business and Finance (2017) Vol. 42, pp. 645-657
Closed Access | Times Cited: 112
Does the impact of board independence on large bank risks change after the global financial crisis?
Francesco Vallascas, Sabur Mollah, Kevin Keasey
Journal of Corporate Finance (2017) Vol. 44, pp. 149-166
Open Access | Times Cited: 109
Francesco Vallascas, Sabur Mollah, Kevin Keasey
Journal of Corporate Finance (2017) Vol. 44, pp. 149-166
Open Access | Times Cited: 109
How do insured deposits affect bank risk? Evidence from the 2008 Emergency Economic Stabilization Act
Claudia Lambert, Felix Noth, Ulrich Schüwer
Journal of Financial Intermediation (2015) Vol. 29, pp. 81-102
Open Access | Times Cited: 92
Claudia Lambert, Felix Noth, Ulrich Schüwer
Journal of Financial Intermediation (2015) Vol. 29, pp. 81-102
Open Access | Times Cited: 92
The Effects of Government Interventions in the Financial Sector on Banking Competition and the Evolution of Zombie Banks
César Calderón, Klaus Schaeck
Journal of Financial and Quantitative Analysis (2016) Vol. 51, Iss. 4, pp. 1391-1436
Open Access | Times Cited: 90
César Calderón, Klaus Schaeck
Journal of Financial and Quantitative Analysis (2016) Vol. 51, Iss. 4, pp. 1391-1436
Open Access | Times Cited: 90
Government support, regulation, and risk taking in the banking sector
Luis Brandão-Marques, Ricardo Correa, Horacio Sapriza
Journal of Banking & Finance (2018) Vol. 112, pp. 105284-105284
Closed Access | Times Cited: 85
Luis Brandão-Marques, Ricardo Correa, Horacio Sapriza
Journal of Banking & Finance (2018) Vol. 112, pp. 105284-105284
Closed Access | Times Cited: 85
Kicking the Can Down the Road: Government Interventions in the European Banking Sector
Viral V. Acharya, Lea Borchert, Maximilian Jager, et al.
Review of Financial Studies (2021) Vol. 34, Iss. 9, pp. 4090-4131
Open Access | Times Cited: 62
Viral V. Acharya, Lea Borchert, Maximilian Jager, et al.
Review of Financial Studies (2021) Vol. 34, Iss. 9, pp. 4090-4131
Open Access | Times Cited: 62
Did Banks Pay Fair Returns to Taxpayers on TARP?
Thomas Flanagan, Amiyatosh Purnanandam
The Journal of Finance (2024) Vol. 79, Iss. 5, pp. 2909-2941
Closed Access | Times Cited: 9
Thomas Flanagan, Amiyatosh Purnanandam
The Journal of Finance (2024) Vol. 79, Iss. 5, pp. 2909-2941
Closed Access | Times Cited: 9
Safer Ratios, Riskier Portfolios: Banks’ Response to Government Aid
Ran Duchin, Denis Sosyura
SSRN Electronic Journal (2012)
Open Access | Times Cited: 91
Ran Duchin, Denis Sosyura
SSRN Electronic Journal (2012)
Open Access | Times Cited: 91
Bank loan supply responses to Federal Reserve emergency liquidity facilities
Allen N. Berger, Lamont Black, Christa H. S. Bouwman, et al.
Journal of Financial Intermediation (2017) Vol. 32, pp. 1-15
Closed Access | Times Cited: 83
Allen N. Berger, Lamont Black, Christa H. S. Bouwman, et al.
Journal of Financial Intermediation (2017) Vol. 32, pp. 1-15
Closed Access | Times Cited: 83
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
Abhishek Srivastav, Seth Armitage, Jens Hagendorff
Journal of Banking & Finance (2014) Vol. 47, pp. 41-53
Open Access | Times Cited: 82
Bank Leverage and Monetary Policy's Risk-Taking Channel: Evidence from the United States
Giovanni Dell’Ariccia, Luc Laeven, Gustavo Suárez
IMF Working Paper (2013) Vol. 13, Iss. 143, pp. 1-1
Open Access | Times Cited: 78
Giovanni Dell’Ariccia, Luc Laeven, Gustavo Suárez
IMF Working Paper (2013) Vol. 13, Iss. 143, pp. 1-1
Open Access | Times Cited: 78