Iftekhar Hasan - Central Bank Research Hub

Papers by year: All | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2004 | 2003 | 2002

Title Other author(s)

More than connectedness - Heterogeneity of CEO social network and firm value

Bank of Finland Discussion Papers [View] (Paper: 2012/26, 27.08.2012)

JEL: D71, G30, G32, Z10

A note on foreign bank entry and bank corporate governance in China

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2012/08, 27.04.2012)

JEL: F23, G21, G28, G34

Government intervention and institutional trading strategy: Evidence from a transition country

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2012/09, 27.04.2012)

JEL: G15, G18, G32

Bank regulations and income inequality: Empirical evidence

Bank of Finland Discussion Papers [View] (Paper: 2012/18, 20.04.2012)

JEL: G28, O15, O16

Retail payments and economic growth

Bank of Finland Discussion Papers [View] (Paper: 2012/19, 20.04.2012)

JEL: G20, G21

Urban agglomeration and CEO compensation

Bank of Finland Discussion Papers [View] (Paper: 2012/17, 19.04.2012)

JEL: D8, G3, J3, R1

What determines bank stock price synchronicity? Global evidence

Bank of Finland Discussion Papers [View] (Paper: 2012/16, 18.04.2012)

JEL: G12, G14, G15, G21, G38, N20

Asymmetric benchmarking in bank credit rating

Bank of Finland Discussion Papers [View] (Paper: 2012/13, 12.04.2012)

JEL: G21, G32, G38

Corporate governance and cost of bank loan

Bank of Finland Discussion Papers [View] (Paper: 2012/14, 12.04.2012)

JEL: G21, G34

Are firm- and country-specific governance substitutes? Evidence from financial contracts in emerging markets

Bank of Finland Discussion Papers [View] (Paper: 2012/12, 12.04.2012)

JEL: G20, G30, G31, G34, G38

Predicting rating changes for banks: How accurate are accounting and stock market indicators?

Bank of Finland Discussion Papers [View] (Paper: 2012/15, 12.04.2012)

JEL: G21, G28

Do corporate boards affect firm performance? New evidence from the financial crisis

Bank of Finland Discussion Papers [View] (Paper: 2012/11, 12.04.2012)

JEL: G01, G30, G34

Incentives and innovation: evidence from CEO compensation contracts

Bank of Finland Discussion Papers [View] (Paper: 2011/17, 04.10.2011)

Leverage and growth: effect of stock options

Bank of Finland Discussion Papers [View] (Paper: 2011/19, 04.10.2011)

Subordinated debt, market discipline, and bank risk

Bank of Finland Discussion Papers [View] (Paper: 2011/20, 04.10.2011)

The impact of CFO gender on bank loan contracting

Bank of Finland Discussion Papers [View] (Paper: 2011/18, 04.10.2011)

Market reforms, legal changes and bank risk-taking - evidence from transition economies

Bank of Finland Discussion Papers [View] (Paper: 2011/07, 23.03.2011)

Product market relationships and cost of bank loans: evidence from strategic alliances

Bank of Finland Discussion Papers [View] (Paper: 2011/04, 15.03.2011)

Bank efficiency in transition economies: recent evidence from South-Eastern Europe

Bank of Finland Discussion Papers [View] (Paper: 2011/05, 15.03.2011)

Does diversification increase or decrease bank risk and performance? Evidence on diversification and the risk-return tradeoff in banking

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2010/09, 29.07.2010)

JEL: G21, G28, G34

Growth strategies and value creation: what works best for stock exchanges?,

European Central Bank Working papers [View] (Paper: 1201, 25.06.2010)

JEL: D23, G32, L22

The effects of focus versus diversification on bank performance: Evidence from Chinese banks

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2010/04, 24.03.2010)

Growth strategies and value creation: what works best for stock exchanges?

Bank of Finland Discussion Papers [View] (Paper: 2010/02, 19.02.2010)

Return from retail banking and payments

Bank of Finland Discussion Papers [View] (Paper: 2010/03, 19.02.2010)

Cross-border bank M&As and risk: evidence from the bond market

Bank of Finland Discussion Papers [View] (Paper: 2010/04, 19.02.2010)

Return to retail banking and payments,

European Central Bank Working papers [View] (Paper: 1135, 12.01.2010)

Bank relationships and firms’ financial performance: the Italian experience

Bank of Finland Discussion Papers [View] (Paper: 2009/36, 16.12.2009)

Financial crises and bank failures: a review of prediction methods

Bank of Finland Discussion Papers [View] (Paper: 2009/35, 02.12.2009)

The determinants of option-adjusted delta credit spreads: a comparative analysis of the United States, the United Kingdom and the euro area

Bank of Finland Discussion Papers [View] (Paper: 2009/34, 23.11.2009)

Financial Crises and Bank Failures: A Review of Prediction Methods

Cleveland Fed Working papers [View] (Paper: 0904, 19.06.2009)

Regional growth and finance in Europe: Is there a quality effect of bank efficiency?

Bank of Finland Discussion Papers [View] (Paper: 2009/13, 28.04.2009)

JEL: G21, O16, O47, O52

Corporate social responsibility and shareholder's value: an empirical analysis

Bank of Finland Discussion Papers [View] (Paper: 2009/01, 06.03.2009)

JEL: D21, G14, L21

Political connections and the process of going public: evidence from China

Bank of Finland Discussion Papers [View] (Paper: 2009/07, 06.03.2009)

JEL: G24, G3, G32, G34, G38, H0

New small firms and dimensions of economic performance

Bank of Finland Discussion Papers [View] (Paper: 2009/04, 06.03.2009)

JEL: J23, M13, O1

Do better institutions improve bank efficiency? Evidence from a transitional economy

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2008/28, 12.01.2009)

JEL: G21, O43

Central bank institutional structure and effective central banking: cross-country empirical evidence

Bank of Finland Discussion Papers [View] (Paper: 2008/29, 10.12.2008)

Central Bank Institutional Structure and Effective Central Banking: Cross-Country Empirical Evidence

Philadelphia Fed Working Papers [View] (Paper: 08-5, 18.09.2008)

Banking in transition countries

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2008/12, 26.08.2008)

JEL: G21, P30, P34, P52

Investment-cash flow sensitivities, credit rationing and financing constraints

Bank of Finland Discussion Papers [View] (Paper: 2008/15, 29.06.2008)

Does hedging tell the full story? Reconciling differences in US aggregate and industry-level exchange rate risk premia

Bank of Finland Discussion Papers [View] (Paper: 2008/14, 27.05.2008)

JEL: C3, F3, F4, G3

The signalling hypothesis revisited: Evidence from foreign IPOs

Bank of Finland Discussion Papers [View] (Paper: 2008/10, 07.05.2008)

JEL: G14, G15, G30, G32

Bank ownership and efficiency in China: what lies ahead in the world’s largest nation?

Bank of Finland Discussion Papers [View] (Paper: 2007/16, 25.10.2007)

JEL: F23, G21, G28, G34

The quality of banking and regional growth

Deutsche Bundesbank Banking Supervision Discussion Papers [View] (Paper: 2007/10, 24.08.2007)

Does Geography Matter to Bondholders?

Atlanta Fed Working papers [View] (Paper: 2007-02, 01.06.2007)

Corporate Social Responsibility and Shareholder's Value: An Event Study Analysis

Atlanta Fed Working papers [View] (Paper: 2007-06, 01.06.2007)

The use of loan loss provisions for capital management, earnings management and signalling by Australian banks

Bank of Finland Discussion Papers [View] (Paper: 2006/23, 14.12.2006)

JEL: C23, G14, M41

Financial market integration and the value of global diversification: evidence from US acquirers in cross-border mergers and acquisitions

Bank of Finland Discussion Papers [View] (Paper: 2006/24, 14.12.2006)

JEL: G15, G31, G34

Institutional development, financial deepening and economic growth: Evidence from China

Bank of Finland BOFIT Discussion Papers [View] (Paper: 2006/12, 01.12.2006)

JEL: O16, O53, P14, P16

Why do bank runs look like panic? A new explanation

Bank of Finland Discussion Papers [View] (Paper: 2006/19, 27.09.2006)

Bank Relationships and Small Firms’ Financial Performance

Atlanta Fed Working papers [View] (Paper: 2006-05, 10.05.2006)

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