Gianni De Nicolo
Gianni De Nicolo
Johns Hopkins University Carey Business School
Verified email at jhu.edu
Title
Cited by
Cited by
Year
The theory of bank risk taking and competition revisited
JH Boyd, G De Nicolo
The Journal of finance 60 (3), 1329-1343, 2005
21432005
Monetary disturbances matter for business fluctuations in the G-7
F Canova, G De Nicolo
Journal of Monetary Economics 49 (6), 1131-1159, 2002
7922002
Bank risk-taking and competition revisited: New theory and new evidence
JH Boyd, G De Nicol˛, AM Jalal
IMF working paper, 2006
6042006
Bank consolidation, internationalization and conglomeration: Trends and implications for financial risk
MG De Nicolˇ, MMG Zephirin, PF Bartholomew, J Zaman
International Monetary Fund, 2003
4592003
Size, charter value and risk in banking: An international perspective
G De Nicolo
EFA 2001 Barcelona Meetings, 2001
4272001
Systemic risk and financial consolidation: Are they related?
G De Nicolo, ML Kwast
Journal of Banking & Finance 26 (5), 861-880, 2002
3822002
Bank ownership, market structure and risk
MG De Nicolˇ, E Loukoianova
International Monetary Fund, 2007
2822007
Monetary policy and bank risk taking
G De Nicol˛, G Dell'Ariccia, L Laeven, F Valencia
Available at SSRN 1654582, 2010
2582010
Dollarization of the banking system: good or bad?
G Nicolo, P Honohan, A Ize
The World Bank, 2003
2512003
Dollarization of bank deposits: Causes and consequences
G De Nicolˇ, P Honohan, A Ize
Journal of Banking & Finance 29 (7), 1697-1727, 2005
2402005
Crisis in competitive versus monopolistic banking systems
MBD Smith, MG De Nicolˇ, JH Boyd
International Monetary Fund, 2003
2212003
Corporate governance quality: Trends and real effects
G De Nicol˛, L Laeven, K Ueda
Journal of Financial Intermediation 17 (2), 198-228, 2008
1962008
Externalities and macroprudential policy
MG De Nicolˇ, G Favara, L Ratnovski
International Monetary Fund, 2012
1782012
Banking crises and crisis dating: Theory and evidence
E Loukoianova, MG De Nicolˇ, JH Boyd
International Monetary Fund, 2009
1752009
On the Sources of Business Cycles in the G-7
F Canova, G De Nicol˛
Journal of international economics 59 (1), 77-100, 2003
1422003
Stock returns and real activity: A structural approach
F Canova, G De Nicolo
European Economic Review 39 (5), 981-1015, 1995
1361995
Bank competition, risk and asset allocations
JH Boyd, MG De Nicolˇ, AM Jalal
International Monetary Fund, 2009
1142009
Stock returns, term structure, inflation and real activity: An international perspective
F Canova, G De Nicolo
891997
Microprudential regulation in a dynamic model of banking
G De Nicolo, A Gamba, M Lucchetta
The Review of Financial Studies 27 (7), 2097-2138, 2014
852014
Systemic risks and the macroeconomy
G De Nicol˛, M Lucchetta
IMF Working Papers, 1-40, 2010
832010
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Articles 1–20