
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 Impact of Government Interventions on CDS and Equity Markets
Frederic A. Schweikhard, Zoe Tsesmelidakis
SSRN Electronic Journal (2011)
Closed Access | Times Cited: 50
Frederic A. Schweikhard, Zoe Tsesmelidakis
SSRN Electronic Journal (2011)
Closed Access | Times Cited: 50
Showing 1-25 of 50 citing articles:
Illiquidity or credit deterioration: A study of liquidity in the US corporate bond market during financial crises
Nils Friewald, Rainer Jankowitsch, Marti G. Subrahmanyam
Journal of Financial Economics (2012) Vol. 105, Iss. 1, pp. 18-36
Open Access | Times Cited: 382
Nils Friewald, Rainer Jankowitsch, Marti G. Subrahmanyam
Journal of Financial Economics (2012) Vol. 105, Iss. 1, pp. 18-36
Open Access | Times Cited: 382
Credit spread interdependencies of European states and banks during the financial crisis
Adrian Alter, Yves S. Schüler
Journal of Banking & Finance (2012) Vol. 36, Iss. 12, pp. 3444-3468
Open Access | Times Cited: 257
Adrian Alter, Yves S. Schüler
Journal of Banking & Finance (2012) Vol. 36, Iss. 12, pp. 3444-3468
Open Access | Times Cited: 257
The Empirical Analysis of Liquidity
Craig W. Holden, Stacey E. Jacobsen, Avanidhar Subrahmanyam
Foundations and Trends® in Finance (2014) Vol. 8, Iss. 4, pp. 263-365
Closed Access | Times Cited: 140
Craig W. Holden, Stacey E. Jacobsen, Avanidhar Subrahmanyam
Foundations and Trends® in Finance (2014) Vol. 8, Iss. 4, pp. 263-365
Closed Access | Times Cited: 140
The End of Market Discipline? Investor Expectations of Implicit State Guarantees
Viral V. Acharya, Deniz Anginer, A. Joseph Warburton
SSRN Electronic Journal (2011)
Closed Access | Times Cited: 98
Viral V. Acharya, Deniz Anginer, A. Joseph Warburton
SSRN Electronic Journal (2011)
Closed Access | Times Cited: 98
Systemic risk in an interconnected banking system with endogenous asset markets
Marcel Bluhm, Jan Pieter Krahnen
Journal of Financial Stability (2014) Vol. 13, pp. 75-94
Open Access | Times Cited: 89
Marcel Bluhm, Jan Pieter Krahnen
Journal of Financial Stability (2014) Vol. 13, pp. 75-94
Open Access | Times Cited: 89
The euro area sovereign debt crisis: Can contagion spread from the periphery to the core?
Denis Gorea, Deyan Radev
International Review of Economics & Finance (2013) Vol. 30, pp. 78-100
Closed Access | Times Cited: 81
Denis Gorea, Deyan Radev
International Review of Economics & Finance (2013) Vol. 30, pp. 78-100
Closed Access | Times Cited: 81
Financial Sector Reform after the Subprime Crisis: Has Anything Happened? *
Alexander Schäfer, Isabel Schnabel, Beatrice Weder di Mauro
European Finance Review (2015) Vol. 20, Iss. 1, pp. 77-125
Open Access | Times Cited: 73
Alexander Schäfer, Isabel Schnabel, Beatrice Weder di Mauro
European Finance Review (2015) Vol. 20, Iss. 1, pp. 77-125
Open Access | Times Cited: 73
Credit Default Swaps: A Survey
Patrick Augustin, Marti G. Subrahmanyam, Dragon Yongjun Tang, et al.
(2014)
Closed Access | Times Cited: 69
Patrick Augustin, Marti G. Subrahmanyam, Dragon Yongjun Tang, et al.
(2014)
Closed Access | Times Cited: 69
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
Florian Hett, Alexander Schmidt
Journal of Financial Economics (2017) Vol. 126, Iss. 3, pp. 635-651
Open Access | Times Cited: 63
On a New Approach for Analyzing and Managing Macrofinancial Risks (corrected)
Robert C. Merton, Monica Billio, Mila Getmansky, et al.
Financial Analysts Journal (2013) Vol. 69, Iss. 2, pp. 22-33
Open Access | Times Cited: 63
Robert C. Merton, Monica Billio, Mila Getmansky, et al.
Financial Analysts Journal (2013) Vol. 69, Iss. 2, pp. 22-33
Open Access | Times Cited: 63
Explaining bank stock performance with crisis sentiment
Felix Irresberger, Janina Mühlnickel, Gregor Weiß
Journal of Banking & Finance (2015) Vol. 59, pp. 311-329
Open Access | Times Cited: 56
Felix Irresberger, Janina Mühlnickel, Gregor Weiß
Journal of Banking & Finance (2015) Vol. 59, pp. 311-329
Open Access | Times Cited: 56
A Review of Bank Funding Cost Differentials
Randall S. Kroszner
Journal of Financial Services Research (2016) Vol. 49, Iss. 2-3, pp. 151-174
Closed Access | Times Cited: 51
Randall S. Kroszner
Journal of Financial Services Research (2016) Vol. 49, Iss. 2-3, pp. 151-174
Closed Access | Times Cited: 51
Sovereign, Bank and Insurance Credit Spreads: Connectedness and System Networks
Monica Billio, Mila Getmansky Sherman, Dale F. Gray, et al.
SSRN Electronic Journal (2012)
Closed Access | Times Cited: 42
Monica Billio, Mila Getmansky Sherman, Dale F. Gray, et al.
SSRN Electronic Journal (2012)
Closed Access | Times Cited: 42
Is Tail Risk Priced in Credit Default Swap Premia?
Christian Meine, Hendrik Supper, Gregor Weiß
Review of Finance (2015) Vol. 20, Iss. 1, pp. 287-336
Open Access | Times Cited: 34
Christian Meine, Hendrik Supper, Gregor Weiß
Review of Finance (2015) Vol. 20, Iss. 1, pp. 287-336
Open Access | Times Cited: 34
Deposit Rate Advantages at the Largest Banks
Stefan Jacewitz, Jonathan Pogach
Journal of Financial Services Research (2016) Vol. 53, Iss. 1, pp. 1-35
Closed Access | Times Cited: 33
Stefan Jacewitz, Jonathan Pogach
Journal of Financial Services Research (2016) Vol. 53, Iss. 1, pp. 1-35
Closed Access | Times Cited: 33
The Value of Implicit Guarantees
Zoe Tsesmelidakis, Robert C. Merton
SSRN Electronic Journal (2012)
Closed Access | Times Cited: 35
Zoe Tsesmelidakis, Robert C. Merton
SSRN Electronic Journal (2012)
Closed Access | Times Cited: 35
Distribution specific dependence and causality between industry-level U.S. credit and stock markets
Syed Jawad Hussain Shahzad, Walid Mensi, Shawkat Hammoudeh, et al.
Journal of International Financial Markets Institutions and Money (2017) Vol. 52, pp. 114-133
Closed Access | Times Cited: 31
Syed Jawad Hussain Shahzad, Walid Mensi, Shawkat Hammoudeh, et al.
Journal of International Financial Markets Institutions and Money (2017) Vol. 52, pp. 114-133
Closed Access | Times Cited: 31
From Fragmentation to Financial Integration in Europe
Charles Enoch, Luc Everaert, Thierry Tressel, et al.
International Monetary Fund eBooks (2013)
Open Access | Times Cited: 29
Charles Enoch, Luc Everaert, Thierry Tressel, et al.
International Monetary Fund eBooks (2013)
Open Access | Times Cited: 29
Sovereign and Financial-Sector Risk: Measurement and Interactions
Dale F. Gray, Samuel W. Malone
Annual Review of Financial Economics (2012) Vol. 4, Iss. 1, pp. 297-312
Closed Access | Times Cited: 22
Dale F. Gray, Samuel W. Malone
Annual Review of Financial Economics (2012) Vol. 4, Iss. 1, pp. 297-312
Closed Access | Times Cited: 22
Too-big-to-fail: The value of government guarantee
Georges Tsafack, Yifei Li, Natalia Beliaeva
Pacific-Basin Finance Journal (2020) Vol. 68, pp. 101313-101313
Closed Access | Times Cited: 18
Georges Tsafack, Yifei Li, Natalia Beliaeva
Pacific-Basin Finance Journal (2020) Vol. 68, pp. 101313-101313
Closed Access | Times Cited: 18
Improving the monitoring of the value of implicit guarantees for bank debt
Sebastian Schich, Michiel Bijlsma, Remco Mocking
OECD Journal Financial Market Trends (2014) Vol. 2014, Iss. 1, pp. 7-37
Open Access | Times Cited: 18
Sebastian Schich, Michiel Bijlsma, Remco Mocking
OECD Journal Financial Market Trends (2014) Vol. 2014, Iss. 1, pp. 7-37
Open Access | Times Cited: 18
Measurement and analysis of implicit guarantees for bank debt
Sebastian Schich, Yesim Aydin
OECD Journal Financial Market Trends (2014) Vol. 2014, Iss. 1, pp. 39-67
Open Access | Times Cited: 12
Sebastian Schich, Yesim Aydin
OECD Journal Financial Market Trends (2014) Vol. 2014, Iss. 1, pp. 39-67
Open Access | Times Cited: 12
Systemic Risk in an Interconnected Banking System with Endogenous Asset Markets
Marcel Bluhm, Jan Pieter Krahnen
SSRN Electronic Journal (2014)
Open Access | Times Cited: 11
Marcel Bluhm, Jan Pieter Krahnen
SSRN Electronic Journal (2014)
Open Access | Times Cited: 11
Bank Rescues and Bailout Expectations: The Erosion of Market Discipline During the Financial Crisis
Florian Hett, Alexander Schmidt
SSRN Electronic Journal (2013)
Open Access | Times Cited: 10
Florian Hett, Alexander Schmidt
SSRN Electronic Journal (2013)
Open Access | Times Cited: 10
Regulatory Influence on Market Conditions in the Banking Union: the Cases of Macro-Prudential Instruments and the Bail-in Tool
Tobias Tröger
European Business Organization Law Review (2015) Vol. 16, Iss. 3, pp. 575-593
Closed Access | Times Cited: 8
Tobias Tröger
European Business Organization Law Review (2015) Vol. 16, Iss. 3, pp. 575-593
Closed Access | Times Cited: 8