
OpenAlex is a bibliographic catalogue of scientific papers, authors and institutions accessible in open access mode, named after the Library of Alexandria. It's citation coverage is excellent and I hope you will find utility in this listing of citing articles!
If you click the article title, you'll navigate to the article, as listed in CrossRef. If you click the Open Access links, you'll navigate to the "best Open Access location". Clicking the citation count will open this listing for that article. Lastly at the bottom of the page, you'll find basic pagination options.
Requested Article:
Financial market stability—A test
Dirk G. Baur, Niels Schulze
Journal of International Financial Markets Institutions and Money (2008) Vol. 19, Iss. 3, pp. 506-519
Closed Access | Times Cited: 32
Dirk G. Baur, Niels Schulze
Journal of International Financial Markets Institutions and Money (2008) Vol. 19, Iss. 3, pp. 506-519
Closed Access | Times Cited: 32
Showing 1-25 of 32 citing articles:
An analysis of the literature on systemic financial risk: A survey
Walmir Silva, Herbert Kimura, Vinícius Amorim Sobreiro
Journal of Financial Stability (2016) Vol. 28, pp. 91-114
Closed Access | Times Cited: 191
Walmir Silva, Herbert Kimura, Vinícius Amorim Sobreiro
Journal of Financial Stability (2016) Vol. 28, pp. 91-114
Closed Access | Times Cited: 191
COVID-19 pandemic and stability of stock market—A sectoral approach
Michał Buszko, Witold Orzeszko, Marcin Stawarz
PLoS ONE (2021) Vol. 16, Iss. 5, pp. e0250938-e0250938
Open Access | Times Cited: 44
Michał Buszko, Witold Orzeszko, Marcin Stawarz
PLoS ONE (2021) Vol. 16, Iss. 5, pp. e0250938-e0250938
Open Access | Times Cited: 44
The effect of financial market development on bank risk: evidence from Southeast Asian countries
Chaiporn Vithessonthi
International Review of Financial Analysis (2014) Vol. 35, pp. 249-260
Closed Access | Times Cited: 42
Chaiporn Vithessonthi
International Review of Financial Analysis (2014) Vol. 35, pp. 249-260
Closed Access | Times Cited: 42
A Financial Stability Model for Iraqi Companies
Narjis Abdlkareem Ibrahim, Mahdi Salehi, Hussen Amran Naji Al-Refiay, et al.
Risks (2024) Vol. 12, Iss. 9, pp. 140-140
Open Access | Times Cited: 2
Narjis Abdlkareem Ibrahim, Mahdi Salehi, Hussen Amran Naji Al-Refiay, et al.
Risks (2024) Vol. 12, Iss. 9, pp. 140-140
Open Access | Times Cited: 2
Financial development, government bond returns, and stability: International evidence
Sabri Boubaker, Duc Khuong Nguyen, Vanja Piljak, et al.
Journal of International Financial Markets Institutions and Money (2019) Vol. 61, pp. 81-96
Open Access | Times Cited: 19
Sabri Boubaker, Duc Khuong Nguyen, Vanja Piljak, et al.
Journal of International Financial Markets Institutions and Money (2019) Vol. 61, pp. 81-96
Open Access | Times Cited: 19
Default, Liquidity, and Crises: an Econometric Framework
Alain Monfort, Jean‐Paul Renne
Journal of Financial Econometrics (2012) Vol. 11, Iss. 2, pp. 221-262
Open Access | Times Cited: 20
Alain Monfort, Jean‐Paul Renne
Journal of Financial Econometrics (2012) Vol. 11, Iss. 2, pp. 221-262
Open Access | Times Cited: 20
When the US sneezes the world catches cold: are worldwide stock markets stable?
Sandy Suardi
Applied Financial Economics (2012) Vol. 22, Iss. 23, pp. 1961-1978
Closed Access | Times Cited: 18
Sandy Suardi
Applied Financial Economics (2012) Vol. 22, Iss. 23, pp. 1961-1978
Closed Access | Times Cited: 18
Financial markets development and bank risk: Experience from Thailand during 1990–2012
Chaiporn Vithessonthi
Journal of Multinational Financial Management (2014) Vol. 27, pp. 67-88
Closed Access | Times Cited: 18
Chaiporn Vithessonthi
Journal of Multinational Financial Management (2014) Vol. 27, pp. 67-88
Closed Access | Times Cited: 18
The structure and degree of dependence in government bond markets
Nebojsa Dimic, Vanja Piljak, Laurens Swinkels, et al.
Journal of International Financial Markets Institutions and Money (2021) Vol. 74, pp. 101385-101385
Open Access | Times Cited: 11
Nebojsa Dimic, Vanja Piljak, Laurens Swinkels, et al.
Journal of International Financial Markets Institutions and Money (2021) Vol. 74, pp. 101385-101385
Open Access | Times Cited: 11
Financial Market Stability: A Quantile Regression Approach
Viorica Chirilă, Ciprian Chirilă
Procedia Economics and Finance (2015) Vol. 20, pp. 125-130
Open Access | Times Cited: 9
Viorica Chirilă, Ciprian Chirilă
Procedia Economics and Finance (2015) Vol. 20, pp. 125-130
Open Access | Times Cited: 9
Quantifying Systemic Risk in the Presence of Unlisted Banks: Application to the European Banking Sector
Daniel Dimitrov, Sweder van Wijnbergen
SSRN Electronic Journal (2023)
Closed Access | Times Cited: 3
Daniel Dimitrov, Sweder van Wijnbergen
SSRN Electronic Journal (2023)
Closed Access | Times Cited: 3
Analysing the Economic Stability of an Enterprise with the Help of Eigenstate Method
V. V. Mokeev, Е.В. Бунова, A.V. Perevedentceva
Procedia Engineering (2015) Vol. 129, pp. 681-689
Open Access | Times Cited: 7
V. V. Mokeev, Е.В. Бунова, A.V. Perevedentceva
Procedia Engineering (2015) Vol. 129, pp. 681-689
Open Access | Times Cited: 7
Calendar trading of Taiwan stock market: A study of holidays on trading detachment and interruptions
Ann Shawing Yang
Emerging Markets Review (2016) Vol. 28, pp. 140-154
Closed Access | Times Cited: 7
Ann Shawing Yang
Emerging Markets Review (2016) Vol. 28, pp. 140-154
Closed Access | Times Cited: 7
Stock market stability on selected CEE and SEE markets: a quantile regression approach
Tihana Škrinjarić
Post-Communist Economies (2019) Vol. 32, Iss. 3, pp. 352-375
Closed Access | Times Cited: 7
Tihana Škrinjarić
Post-Communist Economies (2019) Vol. 32, Iss. 3, pp. 352-375
Closed Access | Times Cited: 7
Misinformation corrections of corporate news: Corporate clarification announcements
Ann Shawing Yang
Pacific-Basin Finance Journal (2020) Vol. 61, pp. 101315-101315
Closed Access | Times Cited: 7
Ann Shawing Yang
Pacific-Basin Finance Journal (2020) Vol. 61, pp. 101315-101315
Closed Access | Times Cited: 7
The Effect of Financial Markets Development on Bank Risk: Evidence from Southeast Asian Countries
Chaiporn Vithessonthi
SSRN Electronic Journal (2014)
Closed Access | Times Cited: 6
Chaiporn Vithessonthi
SSRN Electronic Journal (2014)
Closed Access | Times Cited: 6
Measuring the Impact of Financial Crisis on International Markets: An Application of the Financial Stress Index
Apostolos G. Christopoulos, John Mylonakis, C. A. Koromilas
Review of European Studies (2011) Vol. 3, Iss. 1
Open Access | Times Cited: 6
Apostolos G. Christopoulos, John Mylonakis, C. A. Koromilas
Review of European Studies (2011) Vol. 3, Iss. 1
Open Access | Times Cited: 6
Financial Markets Development, Business Cycles, and Bank Risk in South America
Chaiporn Vithessonthi, Jittima Tongurai
SSRN Electronic Journal (2015)
Closed Access | Times Cited: 5
Chaiporn Vithessonthi, Jittima Tongurai
SSRN Electronic Journal (2015)
Closed Access | Times Cited: 5
Cognitive model of the national financial market: creating process and prospects for assessing the security of its functioning
Е.А. Локтионова
Finance Theory and Practice (2022) Vol. 26, Iss. 1, pp. 126-143
Open Access | Times Cited: 3
Е.А. Локтионова
Finance Theory and Practice (2022) Vol. 26, Iss. 1, pp. 126-143
Open Access | Times Cited: 3
A novel estimation of time-varying quantile correlation for financial contagion detection
Wuyi Ye, Ming-Ge Li, Yuehua Wu
The North American Journal of Economics and Finance (2022) Vol. 63, pp. 101796-101796
Closed Access | Times Cited: 3
Wuyi Ye, Ming-Ge Li, Yuehua Wu
The North American Journal of Economics and Finance (2022) Vol. 63, pp. 101796-101796
Closed Access | Times Cited: 3
The Risk of Beta – Investor Learning and Prospect Theory
Dirk G. Baur, Niels Schulze
SSRN Electronic Journal (2010)
Closed Access | Times Cited: 3
Dirk G. Baur, Niels Schulze
SSRN Electronic Journal (2010)
Closed Access | Times Cited: 3
The influence of trade friction on the stability of stock market: Evidence from China
Jianna Guo, Lu Liu, Yi Tang
Heliyon (2023) Vol. 9, Iss. 10, pp. e20446-e20446
Open Access | Times Cited: 1
Jianna Guo, Lu Liu, Yi Tang
Heliyon (2023) Vol. 9, Iss. 10, pp. e20446-e20446
Open Access | Times Cited: 1
The Study on Financial Market Stability Based on Quantile Regression Technique
洁 陈
Finance (2013) Vol. 03, Iss. 04, pp. 59-68
Open Access | Times Cited: 2
洁 陈
Finance (2013) Vol. 03, Iss. 04, pp. 59-68
Open Access | Times Cited: 2
Flights and CAViaR - Financial market stability and the stock-bond return relation
Tero Viitanen
(2011)
Closed Access | Times Cited: 1
Tero Viitanen
(2011)
Closed Access | Times Cited: 1
The behavioural finance paradigm and the adaptive market hypothesis
Zakhiyya Yousuf, Daniel Makina
International Journal of Finance & Banking Studies (2147-4486) (2022) Vol. 11, Iss. 2, pp. 34-48
Open Access | Times Cited: 1
Zakhiyya Yousuf, Daniel Makina
International Journal of Finance & Banking Studies (2147-4486) (2022) Vol. 11, Iss. 2, pp. 34-48
Open Access | Times Cited: 1