
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:
Does non‐interest income make banks more risky? Retail‐ versus investment‐oriented banks
Matthias Köhler
Review of Financial Economics (2014) Vol. 23, Iss. 4, pp. 182-193
Open Access | Times Cited: 113
Matthias Köhler
Review of Financial Economics (2014) Vol. 23, Iss. 4, pp. 182-193
Open Access | Times Cited: 113
Showing 1-25 of 113 citing articles:
Business models and bank performance: A long-term perspective
Frederik Mergaerts, Rudi Vander Vennet
Journal of Financial Stability (2015) Vol. 22, pp. 57-75
Closed Access | Times Cited: 181
Frederik Mergaerts, Rudi Vander Vennet
Journal of Financial Stability (2015) Vol. 22, pp. 57-75
Closed Access | Times Cited: 181
Factors influencing bank risk in Europe: Evidence from the financial crisis
Laura Baselga-Pascual, Antonio Trujillo‐Ponce, Clara Cardone‐Riportella
The North American Journal of Economics and Finance (2015) Vol. 34, pp. 138-166
Closed Access | Times Cited: 158
Laura Baselga-Pascual, Antonio Trujillo‐Ponce, Clara Cardone‐Riportella
The North American Journal of Economics and Finance (2015) Vol. 34, pp. 138-166
Closed Access | Times Cited: 158
Diversification and bank stability in the GCC
Bana Abuzayed, Nedal Al‐Fayoumi, Philip Molyneux
Journal of International Financial Markets Institutions and Money (2018) Vol. 57, pp. 17-43
Closed Access | Times Cited: 130
Bana Abuzayed, Nedal Al‐Fayoumi, Philip Molyneux
Journal of International Financial Markets Institutions and Money (2018) Vol. 57, pp. 17-43
Closed Access | Times Cited: 130
Macroprudential policy and bank systemic risk
Elien Meuleman, Rudi Vander Vennet
Journal of Financial Stability (2020) Vol. 47, pp. 100724-100724
Open Access | Times Cited: 128
Elien Meuleman, Rudi Vander Vennet
Journal of Financial Stability (2020) Vol. 47, pp. 100724-100724
Open Access | Times Cited: 128
Banks’ Noninterest Income and Systemic Risk
Markus K. Brunnermeier, Gang Nathan Dong, Darius Palia
The Review of Corporate Finance Studies (2020)
Open Access | Times Cited: 85
Markus K. Brunnermeier, Gang Nathan Dong, Darius Palia
The Review of Corporate Finance Studies (2020)
Open Access | Times Cited: 85
Do non-traditional banking activities reduce bank liquidity creation? Evidence from Vietnam
Van Dan Dang
Research in International Business and Finance (2020) Vol. 54, pp. 101257-101257
Closed Access | Times Cited: 59
Van Dan Dang
Research in International Business and Finance (2020) Vol. 54, pp. 101257-101257
Closed Access | Times Cited: 59
How does economic policy uncertainty affect bank business models?
Dung Tran, Khánh Hoàng, Cuong Nguyen
Finance research letters (2020) Vol. 39, pp. 101639-101639
Closed Access | Times Cited: 57
Dung Tran, Khánh Hoàng, Cuong Nguyen
Finance research letters (2020) Vol. 39, pp. 101639-101639
Closed Access | Times Cited: 57
The Impact of Non-Interest Income on Commercial Bank Profitability in the Middle East and North Africa (MENA) Region
Bashar Abu Khalaf, Antoine B. Awad, S.D. Ellis
Journal of risk and financial management (2024) Vol. 17, Iss. 3, pp. 103-103
Open Access | Times Cited: 7
Bashar Abu Khalaf, Antoine B. Awad, S.D. Ellis
Journal of risk and financial management (2024) Vol. 17, Iss. 3, pp. 103-103
Open Access | Times Cited: 7
Non-interest income and bank risk: The role of financial structure
Md Sohel Saklain, Barry Williams
Pacific-Basin Finance Journal (2024) Vol. 85, pp. 102352-102352
Closed Access | Times Cited: 7
Md Sohel Saklain, Barry Williams
Pacific-Basin Finance Journal (2024) Vol. 85, pp. 102352-102352
Closed Access | Times Cited: 7
Income diversification and financial performance of commercial banks in Vietnam
Hiep Ngoc Luu, Loan Quynh Thi Nguyen, Quynh Huong Vu, et al.
Review of Behavioral Finance (2019) Vol. 12, Iss. 3, pp. 185-199
Closed Access | Times Cited: 43
Hiep Ngoc Luu, Loan Quynh Thi Nguyen, Quynh Huong Vu, et al.
Review of Behavioral Finance (2019) Vol. 12, Iss. 3, pp. 185-199
Closed Access | Times Cited: 43
Income diversification and bank risk in Asia Pacific
Chunyang Wang, Yongjia Lin
The North American Journal of Economics and Finance (2021) Vol. 57, pp. 101448-101448
Closed Access | Times Cited: 39
Chunyang Wang, Yongjia Lin
The North American Journal of Economics and Finance (2021) Vol. 57, pp. 101448-101448
Closed Access | Times Cited: 39
Financial stability, liquidity risk and income diversification: evidence from European banks using the CAMELS–DEA approach
Béchir Ben Lahouel, Lotfi Taleb, Younes Ben Zaied, et al.
Annals of Operations Research (2022) Vol. 334, Iss. 1-3, pp. 391-422
Closed Access | Times Cited: 25
Béchir Ben Lahouel, Lotfi Taleb, Younes Ben Zaied, et al.
Annals of Operations Research (2022) Vol. 334, Iss. 1-3, pp. 391-422
Closed Access | Times Cited: 25
Do retail-oriented banks have less non-performing loans?
Matteo Farnè, Angelos T. Vouldis
The Journal of Economic Asymmetries (2024) Vol. 29, pp. e00358-e00358
Closed Access | Times Cited: 5
Matteo Farnè, Angelos T. Vouldis
The Journal of Economic Asymmetries (2024) Vol. 29, pp. e00358-e00358
Closed Access | Times Cited: 5
Loan portfolio diversification and bank returns: Do business models and market power matter?
Japan Huynh, Van Dan Dang
Cogent Economics & Finance (2021) Vol. 9, Iss. 1
Open Access | Times Cited: 32
Japan Huynh, Van Dan Dang
Cogent Economics & Finance (2021) Vol. 9, Iss. 1
Open Access | Times Cited: 32
Bank liquidity creation under micro uncertainty: The conditioning role of income structure
Van Dan Dang
Economic Modelling (2022) Vol. 112, pp. 105852-105852
Closed Access | Times Cited: 21
Van Dan Dang
Economic Modelling (2022) Vol. 112, pp. 105852-105852
Closed Access | Times Cited: 21
Profitability in the Greek Banking System: A Dual Investigation of Net Interest and Non-Interest Income
Dimitrios P. Louzis, Angelos T. Vouldis
SSRN Electronic Journal (2015)
Closed Access | Times Cited: 35
Dimitrios P. Louzis, Angelos T. Vouldis
SSRN Electronic Journal (2015)
Closed Access | Times Cited: 35
Bank Profitability and Financial Stability
TengTeng Xu, Kun Hu, Udaibir Das
IMF Working Paper (2019) Vol. 19, Iss. 5, pp. 1-1
Open Access | Times Cited: 31
TengTeng Xu, Kun Hu, Udaibir Das
IMF Working Paper (2019) Vol. 19, Iss. 5, pp. 1-1
Open Access | Times Cited: 31
The impact of credit risk and macroeconomic factors on profitability: the case of the ASEAN banks
Myra V. De Leon
Banks and Bank Systems (2020) Vol. 15, Iss. 1, pp. 21-29
Open Access | Times Cited: 28
Myra V. De Leon
Banks and Bank Systems (2020) Vol. 15, Iss. 1, pp. 21-29
Open Access | Times Cited: 28
The threshold effects of income diversification on bank stability: an efficiency perspective based on a dynamic network slacks-based measure model
Béchir Ben Lahouel, Lotfi Taleb, Kristína Kočišová, et al.
Annals of Operations Research (2022) Vol. 330, Iss. 1-2, pp. 267-304
Closed Access | Times Cited: 16
Béchir Ben Lahouel, Lotfi Taleb, Kristína Kočišová, et al.
Annals of Operations Research (2022) Vol. 330, Iss. 1-2, pp. 267-304
Closed Access | Times Cited: 16
Effects of shadow banking on bank risks from the view of capital adequacy
Mengwen Wu, Chung-Hua Shen
International Review of Economics & Finance (2018) Vol. 63, pp. 176-197
Closed Access | Times Cited: 29
Mengwen Wu, Chung-Hua Shen
International Review of Economics & Finance (2018) Vol. 63, pp. 176-197
Closed Access | Times Cited: 29
On the income diversification and bank market power nexus in the MENA countries: Evidence from a GMM panel-VAR approach
Haykel Zouaoui, Feten Zoghlami
Research in International Business and Finance (2020) Vol. 52, pp. 101186-101186
Closed Access | Times Cited: 25
Haykel Zouaoui, Feten Zoghlami
Research in International Business and Finance (2020) Vol. 52, pp. 101186-101186
Closed Access | Times Cited: 25
Monetary policy and bank performance: The role of business models
Van Dan Dang, Japan Huynh
The North American Journal of Economics and Finance (2021) Vol. 59, pp. 101602-101602
Closed Access | Times Cited: 20
Van Dan Dang, Japan Huynh
The North American Journal of Economics and Finance (2021) Vol. 59, pp. 101602-101602
Closed Access | Times Cited: 20
Bank Performance and Noninterest Income: Evidence from Countries in the Asian Region
Sherika Antao, Ajit Karnik
Asia-Pacific Financial Markets (2022) Vol. 29, Iss. 3, pp. 477-505
Open Access | Times Cited: 15
Sherika Antao, Ajit Karnik
Asia-Pacific Financial Markets (2022) Vol. 29, Iss. 3, pp. 477-505
Open Access | Times Cited: 15
Examining the impact of income diversification on bank performance: Are foreign banks heterogeneous?
Bismark Addai, Wenjin Tang, Annette Serwaa Agyeman
Journal of Applied Economics (2022) Vol. 25, Iss. 1, pp. 1-21
Open Access | Times Cited: 14
Bismark Addai, Wenjin Tang, Annette Serwaa Agyeman
Journal of Applied Economics (2022) Vol. 25, Iss. 1, pp. 1-21
Open Access | Times Cited: 14
Bank earnings management and income smoothing using commission and fee income
Peterson K Ozili
International Journal of Managerial Finance (2017) Vol. 13, Iss. 4, pp. 419-439
Closed Access | Times Cited: 28
Peterson K Ozili
International Journal of Managerial Finance (2017) Vol. 13, Iss. 4, pp. 419-439
Closed Access | Times Cited: 28