Gianni De Nicolo
Gianni De Nicolo
Johns Hopkins University Carey Business School
Verified email at
TitleCited byYear
The theory of bank risk taking and competition revisited
JH Boyd, G De Nicolo
The Journal of finance 60 (3), 1329-1343, 2005
Monetary disturbances matter for business fluctuations in the G-7
F Canova, G De Nicolo
Journal of Monetary Economics 49 (6), 1131-1159, 2002
Bank risk-taking and competition revisited: New theory and new evidence
MG De Nicolˇ, AM Jalal, JH Boyd
International Monetary Fund, 2006
Size, charter value and risk in banking: An international perspective
G De Nicolo
EFA 2001 Barcelona Meetings, 2001
Systemic risk and financial consolidation: Are they related?
G De Nicolo, ML Kwast
Journal of Banking & Finance 26 (5), 861-880, 2002
Bank consolidation, internationalization, and conglomeration: Trends and implications for financial risk
G De Nicol˛, P Bartholomew, J Zaman, M Zephirin
Financial markets, institutions & instruments 13 (4), 173-217, 2004
Bank ownership, market structure and risk
MG De Nicolˇ, E Loukoianova
International Monetary Fund, 2007
Dollarization of the banking system: good or bad?
G Nicolo, P Honohan, A Ize
The World Bank, 2003
Monetary policy and bank risk taking
G De Nicol˛, G Dell'Ariccia, L Laeven, F Valencia
Available at SSRN 1654582, 2010
Dollarization of bank deposits: Causes and consequences
G De Nicolˇ, P Honohan, A Ize
Journal of Banking & Finance 29 (7), 1697-1727, 2005
Crises in competitive versus monopolistic banking systems
JH Boyd, G De Nicolo, BD Smith
Journal of Money, Credit and Banking, 487-506, 2004
Banking crises and crisis dating: Theory and evidence
JH Boyd, G De Nicol˛, E Loukoianova
IMF Working Papers, 1-50, 2009
Externalities and macroprudential policy
MG De Nicolˇ, G Favara, L Ratnovski
International Monetary Fund, 2012
Bank consolidation, internationalization and conglomeration: Trends and implications for financial risk
MG De Nicolˇ, MMG Zephirin, PF Bartholomew, J Zaman
International Monetary Fund, 2003
On the Sources of Business Cycles in the G-7
F Canova, G De Nicol˛
Journal of international economics 59 (1), 77-100, 2003
Stock returns and real activity: A structural approach
F Canova, G De Nicolo
European Economic Review 39 (5), 981-1015, 1995
Systemic risks and the macroeconomy
G De Nicol˛, M Lucchetta
National Bureau of Economic Research, 2011
Corporate governance quality: Trends and real effects
G De Nicol˛, L Laeven, K Ueda
Journal of Financial Intermediation 17 (2), 198-228, 2008
Bank competition, risk and asset allocations
JH Boyd, MG De Nicolˇ, AM Jalal
International Monetary Fund, 2009
Stock returns, term structure, inflation, and real activity: An international perspective
F Canova, G De Nicolo
Macroeconomic Dynamics 4 (3), 343-372, 2000
The system can't perform the operation now. Try again later.
Articles 1–20