OpenAlex Citation Counts

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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:

Corporate governance and the systemic risk of financial institutions
Jamshed Iqbal, Sascha Strobl, Sami Vähämaa
Journal of Economics and Business (2015) Vol. 82, pp. 42-61
Closed Access | Times Cited: 57

Showing 1-25 of 57 citing articles:

Does corporate social sustainability influence on business environment? Impact of corporate governance on distance to default of Sukuk issuers in Islamic banks
Wei Chen, Awais Ur Rehman, S.N. Toma, et al.
International Review of Economics & Finance (2024) Vol. 93, pp. 520-528
Closed Access | Times Cited: 16

Bank liquidity creation and systemic risk
Denis Davydov, Sami Vähämaa, Sara Yasar
Journal of Banking & Finance (2020) Vol. 123, pp. 106031-106031
Closed Access | Times Cited: 102

Macroprudential policies, corporate governance and bank risk: Cross-country evidence
Chrysovalantis Gaganis, Ana Lozano‐Vivas, Panagiota Papadimitri, et al.
Journal of Economic Behavior & Organization (2019) Vol. 169, pp. 126-142
Open Access | Times Cited: 75

Measuring systemic risk: A comparison of alternative market-based approaches
Jacob Kleinow, Fernando Moreira, Sascha Strobl, et al.
Finance research letters (2017) Vol. 21, pp. 40-46
Open Access | Times Cited: 65

Are Islamic stock indexes exposed to systemic risk? Multivariate GARCH estimation of CoVaR
Nader Trabelsi, Nader Naifar
Research in International Business and Finance (2017) Vol. 42, pp. 727-744
Closed Access | Times Cited: 60

When do women on board of directors reduce bank risk?
Giuliana Birindelli, Helen Chiappini, Marco Savioli
Corporate Governance (2020) Vol. 20, Iss. 7, pp. 1307-1327
Open Access | Times Cited: 49

The effect of corporate board attributes on bank stability
Renata Karkowska, Jan Acedański
Portuguese Economic Journal (2019) Vol. 19, Iss. 2, pp. 99-137
Open Access | Times Cited: 48

Non-financial corporations and systemic risk
Mardi Dungey, Thomas Flavin, Thomas O’Connor, et al.
Journal of Corporate Finance (2021) Vol. 72, pp. 102129-102129
Open Access | Times Cited: 37

The relationship between corporate governance and foreign ownership of the banks in developing countries
K. Batu Tunay, Serhat Yüksel
Contaduría y Administración (2017) Vol. 62, Iss. 5, pp. 1627-1642
Open Access | Times Cited: 46

Managerial risk-taking incentives and the systemic risk of financial institutions
Jamshed Iqbal, Sami Vähämaa
Review of Quantitative Finance and Accounting (2018) Vol. 53, Iss. 4, pp. 1229-1258
Open Access | Times Cited: 38

Systemic risk in non financial companies: Does governance matter?
Doriana Cucinelli, Maria Gaia Soana
International Review of Financial Analysis (2023) Vol. 87, pp. 102601-102601
Open Access | Times Cited: 12

Impact of corporate governance and related controversies on the market value of banks
Muhammed Aslam Chelery Komath, Murat Doğan, Özlem Sayılır
Research in International Business and Finance (2023) Vol. 65, pp. 101985-101985
Closed Access | Times Cited: 12

Deceptive Assurance? A Conceptual View on Systemic Risk in Decentralized Finance (DeFi)
Felix Bekemeier
(2021), pp. 76-87
Closed Access | Times Cited: 26

Corporate governance and systemic risk: Evidence from Chinese-listed banks
Chien‐Chiang Lee, Yurong Wang, Xiaoming Zhang
International Review of Economics & Finance (2023) Vol. 87, pp. 180-202
Closed Access | Times Cited: 10

Does managerial pay disparity influence BHC default risk?
Searat Ali, Jamshed Iqbal, Ihtisham Malik, et al.
International Review of Economics & Finance (2024) Vol. 92, pp. 1250-1269
Closed Access | Times Cited: 3

Systemic risk, corporate governance and regulation of banks across emerging countries
Alin Marius Andrieș, Simona Nistor
Economics Letters (2016) Vol. 144, pp. 59-63
Closed Access | Times Cited: 27

Corporate Governance and Banking Systemic Risk: A Test of the Bundling Hypothesis
Kwabena A. Addo, N. Hussain, Jamshed Iqbal
Journal of International Money and Finance (2020) Vol. 115, pp. 102327-102327
Open Access | Times Cited: 24

Risk governance: Examining its impact upon bank performance and risk‐taking
Walter Gontarek, Yacine Belghitar
Financial Markets Institutions and Instruments (2018) Vol. 27, Iss. 5, pp. 187-224
Open Access | Times Cited: 21

The effect of liquidity creation on systemic risk: evidence from European banking sector
Waël Louhichi, Nadia Saghi, Zainab Srour, et al.
Annals of Operations Research (2022) Vol. 334, Iss. 1-3, pp. 357-389
Closed Access | Times Cited: 12

Risk governance of financial institutions: The effect of ownership structure and board independence
Marion Dupire, Regine Slagmulder
Finance research letters (2018) Vol. 28, pp. 227-237
Closed Access | Times Cited: 19

Modelling systemic risk in the South African banking sector using CoVaR
Mathias Mandla Manguzvane, John Weirstrass Muteba Mwamba
International Review of Applied Economics (2019) Vol. 33, Iss. 5, pp. 624-641
Closed Access | Times Cited: 16

Corporate governance and the insolvency risk of financial institutions
Searat Ali, N. Hussain, Jamshed Iqbal
The North American Journal of Economics and Finance (2020) Vol. 55, pp. 101311-101311
Open Access | Times Cited: 15

Stand-alone vs systemic risk-taking of financial institutions
Sascha Strobl
The Journal of Risk Finance (2016) Vol. 17, Iss. 4, pp. 374-389
Closed Access | Times Cited: 13

The impact of ESG-factors on financial stability
Mikhail Stolbov, Maria Shchepeleva
Voprosy Ekonomiki (2022), Iss. 11, pp. 136-148
Closed Access | Times Cited: 8

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