Search results
Results: 8
Number of items: 8
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Martynova, N., Perotti, E. C., & Suarez, J. (2022). Capital forbearance in the bank recovery and resolution game. Journal of Financial Economics, 146(3), 884-904. https://doi.org/10.1016/j.jfineco.2022.09.006
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Martynova, N., Ratnovski, L., & Vlahu, R. E. (2020). Bank profitability, leverage constraints, and risk-taking. Journal of Financial Intermediation, 44, Article 100821. https://doi.org/10.1016/j.jfi.2019.03.006
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Martynova, N., Perotti, E., & Suarez, J. (2019). Bank Capital Forbearance. (Discussion Paper Series; No. DP13617). CEPR. https://cepr.org/active/publications/discussion_papers/dp.php?dpno=13617
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Martynova, N., & Perotti, E. C. (2018). Convertible bonds and bank risk-taking. Journal of Financial Intermediation, 35(B), 61-80. https://doi.org/10.1016/j.jfi.2018.01.002
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Martynova, N., & Perotti, E. (2015). Convertible bonds and bank risk-taking. (DNB working paper; No. 480). De Nederlandsche Bank. http://www.dnb.nl/nieuws/publicaties-dnb/dnb-working-papers-reeks/dnb-working-papers/working-papers-2015/dnb325132.jsp
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Martynova, N., & Perotti, E. (2013). Convertible Bonds and Bank Risk-Taking. University of Amsterdam, Duisenberg School of Finance. https://40d5a3fe-a-62cb3a1a-s-sites.googlegroups.com/site/researchmartynova/research/Martynova%20Perotti%20CoCos.pdf?attachauth=ANoY7cpRPLycWx6GxnhT4bnJ9AQ9XB_n0bOYsWVvTFP6cYb6EEbbEAOiGwvQfz0xUJDZsXlQx_199FSmJXgaJSorN2e90EtDlo5JuB3xR59VBbNitHF-cYj4ou5mu4ML845F8omF8el2jHhRC4VvpzSZH2IUZhIlmN0bqbMb6-YpLMZoY_0Zcr2s6RG5zjN8skgcHgptm2WznFrkygvKpX3j2wWHXqn423taLYfPtSehszM3cq6Xhizmp-26MiVjVpIa6dASLuUv&attredirects=0&revision=1
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Martynova, N., & Perotti, E. (2012). Convertible bonds and bank risk-taking. University of Amsterdam, Duisenberg School of Finance. https://doi.org/10.2139/ssrn.2176191
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