共 50 条
- [21] Are Banks Improving Risk Governance After the Financial Crisis? [J]. JOURNAL OF ACCOUNTING AUDITING AND FINANCE, 2021, 36 (03): : 540 - 556
- [22] Risk, capital and financial crisis: Evidence for GCC banks [J]. BORSA ISTANBUL REVIEW, 2014, 14 (03) : 145 - 157
- [24] Revisiting the behavior of small and large firms during the 2008 financial crisis [J]. JOURNAL OF ECONOMIC DYNAMICS & CONTROL, 2017, 77 : 48 - 69
- [26] Banks’ deferred tax assets during the financial crisis [J]. Review of Quantitative Finance and Accounting, 2019, 53 : 527 - 550
- [29] Systemic Risk, Financial Crisis, and Credit Risk Insurance [J]. FINANCIAL REVIEW, 2013, 48 (03) : 417 - 442