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Number of items: 27.

Hagendorff, Jens, Keasey, Kevin and Vallascas, Francesco 2018. When banks grow too big for their national economies: tail risks, risk channels, and government guarantees. Journal of Financial and Quantitative Analysis 53 (5) , pp. 2041-2066. 10.1017/S0022109018000327
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Nguyen, Duc Duy, Hagendorff, Jens and Eshraghi, Arman 2018. Does a CEO's cultural heritage affect performance under competitive pressure? Review of Financial Studies 31 (1) , pp. 97-141. 10.1093/rfs/hhx046
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Srivastav, Abhishek and Hagendorff, Jens 2016. Corporate governance and bank risk-taking. Corporate Governance: An International Review 24 (3) , pp. 334-345. 10.1111/corg.12133

Nguyen, Duc, Hagendorff, Jens and Eshraghi, Arman 2016. Can bank boards prevent misconduct? Review of Finance 20 (1) , pp. 1-36. 10.1093/rof/rfv011
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Sila, Vathunyoo, Gonzalez, Angelica and Hagendorff, Jens 2016. Women on board: does boardroom gender diversity affect firm risk? Journal of Corporate Finance 36 , pp. 26-53. 10.1016/j.jcorpfin.2015.10.003
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Hagendorff, Jens and Nieto, Maria J. 2015. The safety and soundness effects of bank M&A in the EU: does prudential regulation have any impact? European Financial Management 21 (3) , pp. 462-490. 10.1111/j.1468-036X.2013.12022.x

Nguyen, Duc Duy Louis, Hagendorff, Jens and Eshraghi, Arman 2015. Which executive characteristics create value in banking? Evidence from appointment announcements. Corporate Governance: An International Review 23 (2) , pp. 112-128. 10.1111/corg.12084

Hagendorff, Bjoern, Hagendorff, Jens and Keasey, Kevin 2015. The impact of mega-catastrophes on insurers: An exposure-based analysis of the US homeowners' insurance market. Risk Analysis 35 (1) , pp. 157-173. 10.1111/risa.12252
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Hagendorff, Jens 2015. Corporate governance in banking. In: Berger, Allen N., Molyneux, Philip and Wilson, John O. S. eds. Oxford Handbook of Banking, Oxford Handbooks Online, Oxford: Oxford University Press, (10.1093/oxfordhb/9780199688500.013.0006)

Srivastav, Abhishek, Armitage, Seth and Hagendorff, Jens 2014. CEO inside debt holdings and risk-shifting: Evidence from bank payout policies. Journal of Banking & Finance 47 , pp. 41-53. 10.1016/j.jbankfin.2014.06.016
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Hagendorff, Bjoern, Hagendorff, Jens, Keasey, Kevin and Gonzalez, Angelica 2014. The risk implications of insurance securitization: The case of catastrophe bonds. Journal of Corporate Finance 25 , pp. 387-402. 10.1016/j.jcorpfin.2014.01.004
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Hagendorff, Bjoern, Hagendorff, Jens and Keasey, Kevin 2013. The shareholder wealth effects of insurance securitization: preliminary evidence from the catastrophe bond market. Journal of Financial Services Research 44 (3) , pp. 281-301. 10.1007/s10693-012-0147-x
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Vallascas, Francesco and Hagendorff, Jens 2013. The risk sensitivity of capital requirements: evidence from an international sample of large banks. Review of Finance 17 (6) , pp. 1947-1988. 10.1093/rof/rfs042
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Vallascas, Francesco and Hagendorff, Jens 2013. CEO bonus compensation and bank default risk: evidence from the U.S. and Europe. Financial Markets, Institutions & Instruments 22 (2) , pp. 47-89. 10.1111/fmii.12004
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Hagendorff, Jens, Keasey, Kevin and Vallascas, Francesco 2013. Size, risk, and governance in European banking. Oxford: Oxford University Press.

Hagendorff, Jens and Keasey, Kevin 2012. The value of board diversity in banking: evidence from the market for corporate control. The European Journal of Finance 18 (1) , pp. 41-58. 10.1080/1351847X.2010.481471

Hagendorff, Jens, Hernando, Ignacio, Nieto, Maria J. and Wall, Larry D. 2012. What do premiums paid for bank M&As reflect? The case of the European Union. Journal of Banking & Finance 36 (3) , pp. 749-759. 10.1016/j.jbankfin.2011.03.009
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Clacher, Iain and Hagendorff, Jens 2012. Do announcements about corporate social responsibility create or destroy shareholder wealth? Evidence from the UK. Journal of Business Ethics 106 (3) , pp. 253-266. 10.1007/s10551-011-1004-9
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Hagendorff, Jens and Vallascas, Francesco 2011. CEO pay incentives and risk-taking: Evidence from bank acquisitions. Journal of Corporate Finance 17 (4) , pp. 1078-1095. 10.1016/j.jcorpfin.2011.04.009
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Vallascas, Francesco and Hagendorff, Jens 2011. The impact of European bank mergers on bidder default risk. Journal of Banking & Finance 35 (4) , pp. 902-915. 10.1016/j.jbankfin.2010.09.001
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Kato, Paul and Hagendorff, Jens 2010. Distance to default, subordinated debt, and distress indicators in the banking industry. Accounting & Finance 50 (4) , pp. 853-870. 10.1111/j.1467-629X.2010.00354.x

Hagendorff, Jens, Collins, Michael and Keasey, Kevin 2010. Board monitoring, regulation, and performance in the banking industry: evidence from the Market for Corporate Control. Corporate Governance An International Review 18 (5) , pp. 381-395. 10.1111/j.1467-8683.2010.00815.x

Hagendorff, Jens and Keasey, Kevin 2009. Post-merger strategy and performance: evidence from the US and European banking industries. Accounting & Finance 49 (4) , pp. 725-751. 10.1111/j.1467-629X.2009.00306.x

Hagendorff, Jens, Collins, Michael and Keasey, Kevin 2008. Investor protection and the value effects of bank merger announcements in Europe and the US. Journal of Banking & Finance 32 (7) , pp. 1333-1348. 10.1016/j.jbankfin.2007.11.008
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Hagendorff, Jens, Collins, Michael and Keasey, Kevin 2007. Bank governance and acquisition performance. Corporate Governance: An International Review 15 (5) , pp. 957-968. 10.1111/j.1467-8683.2007.00601.x

Hagendorff, Jens, Collins, Michael and Keasey, Kevin 2007. Bank deregulation and acquisition activity: the cases of the US, Italy and Germany. Journal of Financial Regulation and Compliance 15 (2) , pp. 199-209. 10.1108/13581980710744084

Hagendorff, Jens, Hudson, Robert and Keasey, Kevin 2006. Electronic trading platforms and the cost-effective distribution of open market option (OMO) pension annuities. International Journal of Information Management 26 (3) , pp. 187-195. 10.1016/j.ijinfomgt.2006.01.001

This list was generated on Mon Dec 9 09:14:34 2019 GMT.