
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:
Systemic risk measures and regulatory challenges
Scott J. Ellis, Satish Sharma, Janusz Brzeszczyński
Journal of Financial Stability (2021) Vol. 61, pp. 100960-100960
Open Access | Times Cited: 52
Scott J. Ellis, Satish Sharma, Janusz Brzeszczyński
Journal of Financial Stability (2021) Vol. 61, pp. 100960-100960
Open Access | Times Cited: 52
Showing 1-25 of 52 citing articles:
FTX Collapse and systemic risk spillovers from FTX Token to major cryptocurrencies
Elie Bouri, Elham Kamal, Harald Kinateder
Finance research letters (2023) Vol. 56, pp. 104099-104099
Closed Access | Times Cited: 27
Elie Bouri, Elham Kamal, Harald Kinateder
Finance research letters (2023) Vol. 56, pp. 104099-104099
Closed Access | Times Cited: 27
A note on regulatory responses to COVID-19 pandemic: Balancing banks’ solvency and contribution to recovery
Mohammad Bitar, Amine Tarazi
Journal of Financial Stability (2022) Vol. 60, pp. 101009-101009
Open Access | Times Cited: 27
Mohammad Bitar, Amine Tarazi
Journal of Financial Stability (2022) Vol. 60, pp. 101009-101009
Open Access | Times Cited: 27
Understanding and governing global systemic crises in the 21st century: A complexity perspective
Didier Wernli, Lucas Böttcher, Flore Vanackere, et al.
Global Policy (2023) Vol. 14, Iss. 2, pp. 207-228
Open Access | Times Cited: 16
Didier Wernli, Lucas Böttcher, Flore Vanackere, et al.
Global Policy (2023) Vol. 14, Iss. 2, pp. 207-228
Open Access | Times Cited: 16
Fintech governance and performance: Implications for banking and financial stability
Greta Benedetta Ferilli, Yener Altunbaş, Valeria Stefanelli, et al.
Research in International Business and Finance (2024) Vol. 70, pp. 102349-102349
Open Access | Times Cited: 6
Greta Benedetta Ferilli, Yener Altunbaş, Valeria Stefanelli, et al.
Research in International Business and Finance (2024) Vol. 70, pp. 102349-102349
Open Access | Times Cited: 6
ESG Performance and Systemic Risk Nexus: Role of Firm-Specific Factors in Indian Companies
Mithilesh Gidage, Shilpa Bhide, Rajesh N. Pahurkar, et al.
Journal of risk and financial management (2024) Vol. 17, Iss. 9, pp. 381-381
Open Access | Times Cited: 5
Mithilesh Gidage, Shilpa Bhide, Rajesh N. Pahurkar, et al.
Journal of risk and financial management (2024) Vol. 17, Iss. 9, pp. 381-381
Open Access | Times Cited: 5
Artificial Intelligence and Financial Stability
Silvio Andrae
Advances in finance, accounting, and economics book series (2025), pp. 87-110
Closed Access
Silvio Andrae
Advances in finance, accounting, and economics book series (2025), pp. 87-110
Closed Access
Downside belief disagreements and financial instability: Evidence from risk factor disclosures in U.S. financial institutions’ 10-K filings
Rui Li, Jianping Li, Xiaoqian Zhu
Journal of International Financial Markets Institutions and Money (2025) Vol. 99, pp. 102118-102118
Closed Access
Rui Li, Jianping Li, Xiaoqian Zhu
Journal of International Financial Markets Institutions and Money (2025) Vol. 99, pp. 102118-102118
Closed Access
The application of multiple-output quantile regression to the US financial cycle
Michal Franta
Econometric Reviews (2025), pp. 1-19
Closed Access
Michal Franta
Econometric Reviews (2025), pp. 1-19
Closed Access
How Did Banks React to SVB Collapse?
Anis Samet, Kimberly C. Gleason, Feras M. Salama, et al.
Journal of Multinational Financial Management (2025), pp. 100900-100900
Closed Access
Anis Samet, Kimberly C. Gleason, Feras M. Salama, et al.
Journal of Multinational Financial Management (2025), pp. 100900-100900
Closed Access
The origin of financial instability and systemic risk: Do Bank Business Models Matter?
Rym Ayadi, Paola Bongini, Barbara Casu, et al.
Journal of Financial Stability (2025), pp. 101403-101403
Open Access
Rym Ayadi, Paola Bongini, Barbara Casu, et al.
Journal of Financial Stability (2025), pp. 101403-101403
Open Access
Bank opacity, systemic risk and financial stability
Michael Mies
Journal of Financial Stability (2023) Vol. 70, pp. 101211-101211
Closed Access | Times Cited: 13
Michael Mies
Journal of Financial Stability (2023) Vol. 70, pp. 101211-101211
Closed Access | Times Cited: 13
Too-systemic-to-fail: Empirical comparison of systemic risk measures in the Eurozone financial system
Amir Armanious
Journal of Financial Stability (2024) Vol. 73, pp. 101273-101273
Open Access | Times Cited: 4
Amir Armanious
Journal of Financial Stability (2024) Vol. 73, pp. 101273-101273
Open Access | Times Cited: 4
Financial instability in Europe:Does geopolitical risk from proximate countries and trading partners matter?
Jiahao Liu, Wenyu Shen
Finance research letters (2024) Vol. 66, pp. 105657-105657
Closed Access | Times Cited: 3
Jiahao Liu, Wenyu Shen
Finance research letters (2024) Vol. 66, pp. 105657-105657
Closed Access | Times Cited: 3
The contribution of (shadow) banks and real estate to systemic risk in China
Carlo Bellavite Pellegrini, Peter Cincinelli, Michele Meoli, et al.
Journal of Financial Stability (2022) Vol. 60, pp. 101018-101018
Open Access | Times Cited: 16
Carlo Bellavite Pellegrini, Peter Cincinelli, Michele Meoli, et al.
Journal of Financial Stability (2022) Vol. 60, pp. 101018-101018
Open Access | Times Cited: 16
15 years of research on systemic risk across the globe: The evolution of the field and its drivers
Mikhail Stolbov, Maria Shchepeleva
Research in Globalization (2024) Vol. 8, pp. 100195-100195
Open Access | Times Cited: 2
Mikhail Stolbov, Maria Shchepeleva
Research in Globalization (2024) Vol. 8, pp. 100195-100195
Open Access | Times Cited: 2
Volatility spillover features in financial industries and identification of systemically important financial institutions: A new perspective
Wang Hu, Xin Liu
Pacific-Basin Finance Journal (2023) Vol. 83, pp. 102241-102241
Closed Access | Times Cited: 7
Wang Hu, Xin Liu
Pacific-Basin Finance Journal (2023) Vol. 83, pp. 102241-102241
Closed Access | Times Cited: 7
Stock market extreme risk prediction based on machine learning: Evidence from the American market
Tingting Ren, Shaofang Li, Siying Zhang
The North American Journal of Economics and Finance (2024) Vol. 74, pp. 102241-102241
Closed Access | Times Cited: 2
Tingting Ren, Shaofang Li, Siying Zhang
The North American Journal of Economics and Finance (2024) Vol. 74, pp. 102241-102241
Closed Access | Times Cited: 2
External wealth of nations and systemic risk
Alin Marius Andrieş, Alexandra Maria Chiper, Steven Ongena, et al.
Journal of Financial Stability (2023) Vol. 70, pp. 101192-101192
Open Access | Times Cited: 5
Alin Marius Andrieş, Alexandra Maria Chiper, Steven Ongena, et al.
Journal of Financial Stability (2023) Vol. 70, pp. 101192-101192
Open Access | Times Cited: 5
Macroprudential policy and systemic risk in G20 nations
Shivani Narayan, Dilip Kumar
Journal of Financial Stability (2024), pp. 101340-101340
Closed Access | Times Cited: 1
Shivani Narayan, Dilip Kumar
Journal of Financial Stability (2024), pp. 101340-101340
Closed Access | Times Cited: 1
Bidirectional Risk Spillovers between Chinese and Asian Stock Markets: A Dynamic Copula-EVT-CoVaR Approach
Mingguo Zhao, Hail Park
Journal of risk and financial management (2024) Vol. 17, Iss. 3, pp. 110-110
Open Access | Times Cited: 1
Mingguo Zhao, Hail Park
Journal of risk and financial management (2024) Vol. 17, Iss. 3, pp. 110-110
Open Access | Times Cited: 1
Banking on resilience: EU macroprudential policy and systemic risk
Ashleigh Neill
International Review of Economics & Finance (2024) Vol. 93, pp. 678-699
Closed Access | Times Cited: 1
Ashleigh Neill
International Review of Economics & Finance (2024) Vol. 93, pp. 678-699
Closed Access | Times Cited: 1
Systemic Risk and Bank Networks: A Use of Knowledge Graph with ChatGPT
Ren-Yuan Lyu, Ren‐Raw Chen, San‐Lin Chung, et al.
FinTech (2024) Vol. 3, Iss. 2, pp. 274-301
Open Access | Times Cited: 1
Ren-Yuan Lyu, Ren‐Raw Chen, San‐Lin Chung, et al.
FinTech (2024) Vol. 3, Iss. 2, pp. 274-301
Open Access | Times Cited: 1
Banking Stability and Financial Conglomerates in European Emerging Countries
Pavla Klepková Vodová, Iveta Palečková, Daniel Stavárek
(2022)
Closed Access | Times Cited: 6
Pavla Klepková Vodová, Iveta Palečková, Daniel Stavárek
(2022)
Closed Access | Times Cited: 6
The impact of banks’ capital buffer on equity return: evidence from Islamic and conventional banks of GCC countries
Mohammad Omar Farooq, Mohammad Dulal Miah, Md. Nurul Kabir, et al.
Journal of Islamic accounting and business research (2023)
Closed Access | Times Cited: 3
Mohammad Omar Farooq, Mohammad Dulal Miah, Md. Nurul Kabir, et al.
Journal of Islamic accounting and business research (2023)
Closed Access | Times Cited: 3
Systemic Risk and Tail Risk of Fintech Firms During Covid 19: A Case of Southeast Asian Economy
Mohammed Khalifa Abdelsalam, H.M. Sohaib Sajid
Deleted Journal (2023) Vol. 3, Iss. 1, pp. 33-45
Open Access | Times Cited: 3
Mohammed Khalifa Abdelsalam, H.M. Sohaib Sajid
Deleted Journal (2023) Vol. 3, Iss. 1, pp. 33-45
Open Access | Times Cited: 3