
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:
Monetary Policy, Bank Bailouts and the Sovereign-Bank Risk Nexus in the Euro Area*
Marcel Fratzscher, Malte Rieth
Review of Finance (2018) Vol. 23, Iss. 4, pp. 745-775
Open Access | Times Cited: 64
Marcel Fratzscher, Malte Rieth
Review of Finance (2018) Vol. 23, Iss. 4, pp. 745-775
Open Access | Times Cited: 64
Showing 1-25 of 64 citing articles:
Pandemic or panic? A firm-level study on the psychological and industrial impacts of COVID-19 on the Chinese stock market
Qiuyun Wang, Lu Liu
Financial Innovation (2022) Vol. 8, Iss. 1
Open Access | Times Cited: 42
Qiuyun Wang, Lu Liu
Financial Innovation (2022) Vol. 8, Iss. 1
Open Access | Times Cited: 42
Estimating contagion mechanism in global equity market with time‐zone effect
Boyao Wu, Difang Huang, Muzi Chen
Financial Management (2023) Vol. 52, Iss. 3, pp. 543-572
Open Access | Times Cited: 17
Boyao Wu, Difang Huang, Muzi Chen
Financial Management (2023) Vol. 52, Iss. 3, pp. 543-572
Open Access | Times Cited: 17
Managing the Sovereign-Bank Nexus
Giovanni Dell’Ariccia, Caio Ferreira, Nigel Jenkinson, et al.
Departmental Paper (2018) Vol. 18, Iss. 16, pp. 1-1
Open Access | Times Cited: 47
Giovanni Dell’Ariccia, Caio Ferreira, Nigel Jenkinson, et al.
Departmental Paper (2018) Vol. 18, Iss. 16, pp. 1-1
Open Access | Times Cited: 47
Monetary policy and systemic risk-taking in the euro area banking sector
Alain Kabundi, Francisco Nadal De Simone
Economic Modelling (2019) Vol. 91, pp. 736-758
Closed Access | Times Cited: 40
Alain Kabundi, Francisco Nadal De Simone
Economic Modelling (2019) Vol. 91, pp. 736-758
Closed Access | Times Cited: 40
Determinants of European banks’ default risk
Nicolas Soenen, Rudi Vander Vennet
Finance research letters (2021) Vol. 47, pp. 102557-102557
Open Access | Times Cited: 28
Nicolas Soenen, Rudi Vander Vennet
Finance research letters (2021) Vol. 47, pp. 102557-102557
Open Access | Times Cited: 28
The European Bank Recovery and Resolution Directive: A market assessment
Livia Pancotto, Owain ap Gwilym, Jonathan Williams
Journal of Financial Stability (2019) Vol. 44, pp. 100689-100689
Open Access | Times Cited: 35
Livia Pancotto, Owain ap Gwilym, Jonathan Williams
Journal of Financial Stability (2019) Vol. 44, pp. 100689-100689
Open Access | Times Cited: 35
Sovereign and bank dependence in the eurozone: A multi-scale approach using wavelet-network analysis
Stephan Bales
International Review of Financial Analysis (2022) Vol. 83, pp. 102297-102297
Closed Access | Times Cited: 17
Stephan Bales
International Review of Financial Analysis (2022) Vol. 83, pp. 102297-102297
Closed Access | Times Cited: 17
Heat Distributed Unequally in the Sovereign Bond Market <br>
Azzam Santosa, Thomas Lebbe
(2025)
Closed Access
Azzam Santosa, Thomas Lebbe
(2025)
Closed Access
Unveiling the asymmetric dynamic spillovers in industry bond credit risk: Is the energy industry the prime mover?
Yi‐Shuai Ren, Tony Klein, Yong Jiang
International Review of Financial Analysis (2025), pp. 104014-104014
Closed Access
Yi‐Shuai Ren, Tony Klein, Yong Jiang
International Review of Financial Analysis (2025), pp. 104014-104014
Closed Access
Research on sovereign credit and international banking industry tail risk contagion ----Perspective from double-layer complex network
Xiao-Li Gong, Wu Zhuo-Cheng, Xiong Xiong, et al.
International Review of Economics & Finance (2025), pp. 103992-103992
Open Access
Xiao-Li Gong, Wu Zhuo-Cheng, Xiong Xiong, et al.
International Review of Economics & Finance (2025), pp. 103992-103992
Open Access
The effects of government bailouts on bank performance in the EU
S. Siva
Finance research letters (2025), pp. 107181-107181
Closed Access
S. Siva
Finance research letters (2025), pp. 107181-107181
Closed Access
Spillovers Between Sovereign Bonds and the Banking Sector: Evidence from Italy
Gianluca Cafiso, Giulia Rivolta
(2025)
Closed Access
Gianluca Cafiso, Giulia Rivolta
(2025)
Closed Access
Systemic Risks, Crises, and Connections of the Real Economy, Banking Sector, and Financial Markets
Allen N. Berger, José‐Luis Peydró, John Sedunov, et al.
Oxford University Press eBooks (2025), pp. 637-661
Closed Access
Allen N. Berger, José‐Luis Peydró, John Sedunov, et al.
Oxford University Press eBooks (2025), pp. 637-661
Closed Access
Corruption and Bank Risk‐Taking in Dual Banking Systems
Mushtaq Hussain Khan, Mohammad Bitar, Amine Tarazi, et al.
Corporate Governance An International Review (2024)
Open Access | Times Cited: 3
Mushtaq Hussain Khan, Mohammad Bitar, Amine Tarazi, et al.
Corporate Governance An International Review (2024)
Open Access | Times Cited: 3
Euro area banking and monetary policy shocks in the QE era
Alain Kabundi, Francisco Nadal De Simone
Journal of Financial Stability (2022) Vol. 63, pp. 101062-101062
Closed Access | Times Cited: 14
Alain Kabundi, Francisco Nadal De Simone
Journal of Financial Stability (2022) Vol. 63, pp. 101062-101062
Closed Access | Times Cited: 14
On the nexus between sovereign risk and banking crises
Franco Fiordelisi, Claudia Girardone, Federica Minnucci, et al.
Journal of Corporate Finance (2020) Vol. 65, pp. 101717-101717
Open Access | Times Cited: 20
Franco Fiordelisi, Claudia Girardone, Federica Minnucci, et al.
Journal of Corporate Finance (2020) Vol. 65, pp. 101717-101717
Open Access | Times Cited: 20
Avoiding the fall into the loop: Isolating the transmission of bank-to-sovereign distress in the Euro Area
Hannes Böhm, Stefan Eichler
Journal of Financial Stability (2020) Vol. 51, pp. 100763-100763
Closed Access | Times Cited: 19
Hannes Böhm, Stefan Eichler
Journal of Financial Stability (2020) Vol. 51, pp. 100763-100763
Closed Access | Times Cited: 19
ECB monetary policy and bank default risk☆
Nicolas Soenen, Rudi Vander Vennet
Journal of International Money and Finance (2021) Vol. 122, pp. 102571-102571
Open Access | Times Cited: 17
Nicolas Soenen, Rudi Vander Vennet
Journal of International Money and Finance (2021) Vol. 122, pp. 102571-102571
Open Access | Times Cited: 17
Monetary policy and uncertainty spillovers: Evidence from a wavelet and frequency connectedness analysis
George Apostolakis, Nikolaos Giannellis
International Review of Financial Analysis (2024) Vol. 95, pp. 103513-103513
Closed Access | Times Cited: 2
George Apostolakis, Nikolaos Giannellis
International Review of Financial Analysis (2024) Vol. 95, pp. 103513-103513
Closed Access | Times Cited: 2
ECB's unconventional monetary policy and spillover effects between sovereign and bank credit risk
Ioannis Katsampoxakis
EuroMed Journal of Business (2021) Vol. 17, Iss. 2, pp. 218-245
Closed Access | Times Cited: 13
Ioannis Katsampoxakis
EuroMed Journal of Business (2021) Vol. 17, Iss. 2, pp. 218-245
Closed Access | Times Cited: 13
Am I riskier if I rescue my banks? Beyond the effects of bailouts
Pedro J. Cuadros‐Solas, Carlos Salvador, Nuria Suárez
Journal of Financial Stability (2021) Vol. 56, pp. 100935-100935
Closed Access | Times Cited: 11
Pedro J. Cuadros‐Solas, Carlos Salvador, Nuria Suárez
Journal of Financial Stability (2021) Vol. 56, pp. 100935-100935
Closed Access | Times Cited: 11
Macro‐financial effects of monetary policy easing
George Apostolakis, Nikolaos Giannellis, Athanasios P. Papadopoulos
Journal of Forecasting (2023) Vol. 42, Iss. 3, pp. 715-738
Open Access | Times Cited: 4
George Apostolakis, Nikolaos Giannellis, Athanasios P. Papadopoulos
Journal of Forecasting (2023) Vol. 42, Iss. 3, pp. 715-738
Open Access | Times Cited: 4
Impact of sovereign credit ratings on systemic risk and the moderating role of regulatory reforms: An international investigation
Irfan Ullah Sahibzada, Muhammad Rizwan, Anum Qureshi
Journal of Banking & Finance (2022) Vol. 145, pp. 106654-106654
Closed Access | Times Cited: 7
Irfan Ullah Sahibzada, Muhammad Rizwan, Anum Qureshi
Journal of Banking & Finance (2022) Vol. 145, pp. 106654-106654
Closed Access | Times Cited: 7
Sovereign credit spreads, banking fragility, and global factors
Anusha Chari, Felipe Garcés, Juan Francisco Martı́nez, et al.
Journal of Financial Stability (2024) Vol. 72, pp. 101235-101235
Closed Access | Times Cited: 1
Anusha Chari, Felipe Garcés, Juan Francisco Martı́nez, et al.
Journal of Financial Stability (2024) Vol. 72, pp. 101235-101235
Closed Access | Times Cited: 1
Recent evidence on the sovereign-bank nexus in the euro area
Paul Bochmann, Benedikt Kagerer, Cosimo Pancaro
Finance research letters (2024), pp. 106108-106108
Closed Access | Times Cited: 1
Paul Bochmann, Benedikt Kagerer, Cosimo Pancaro
Finance research letters (2024), pp. 106108-106108
Closed Access | Times Cited: 1