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Martynova, N., Ratnovski, L., & Vlahu, R. E. (2020). Bank profitability, leverage constraints, and risk-taking. Journal of Financial Intermediation, 44. https://doi.org/10.1016/j.jfi.2019.03.006
Stanga, I., Vlahu, R. E., & de Haan, J. (2020). Mortgage arrears, regulation and institutions: Cross-country evidence. Journal of Banking & Finance, 118, [105889]. https://doi.org/10.1016/j.jbankfin.2020.105889
2016
Brown, M., Trautmann, S. T., & Vlahu, R. E. (2016). Understanding Bank-Run Contagion. Management Science, 63(7), 2272. https://doi.org/10.1287/mnsc.2015.2416
Vlahu, R. E., & de Haan, J. (2016). Corporate governance of banks: A survey. Journal of Economic Surveys, 30(2), 228-277. https://doi.org/10.1111/joes.12101
2013
Trautmann, S. T., & Vlahu, R. E. (2013). Strategic loan defaults and coordination: An experimental analysis. Journal of Banking & Finance, 37(3), 747. https://doi.org/10.1016/j.jbankfin.2012.10.019
2011
Perotti, E., Ratnovski, L., & Vlahu, R. (2011). Capital regulation and tail risk. International Journal of Central Banking, 7(4), 123-163. [details]
Vlahu, R. E. (Author), Brown, M. (Author), & Trautmann, S. T. (Author). (2014). Exploring the transmission channels of contagious bank runs. Web publication/site, Centre for Economic Policy Research: VoxEU.org. Retrieved from https://voxeu.org/article/understanding-contagious-bank-runs
Vlahu, R. E., Boermans, M. A., & Petrescu, S. (2014). De toekomst voor CoCo-obligaties. Economisch-Statistische Berichten, 99(4695), 616.
2011
Perotti, E., Ratnovski, L., & Vlahu, R. (2011). Tail risk: higher capital is not enough. VOX : Research-based Policy Analysis and Commentary from leading Economists, 2011(26 August). [details]
Trautmann, S. T. (Author), & Vlahu, R. E. (Author). (2011). Borrower runs: Behavioural motives and their policy implications. Web publication/site, Centre for Economic Policy Research: VoxEU.org. https://voxeu.org/article/strategic-default-and-borrower-runs
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