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:

How Do Central Banks Writeon Financial Stability?
Martin Čihák
IMF Working Paper (2006) Vol. 06, Iss. 163, pp. 1-1
Open Access | Times Cited: 39

Showing 1-25 of 39 citing articles:

How well do aggregate prudential ratios identify banking system problems?
Martin Čihák, Klaus Schaeck
Journal of Financial Stability (2010) Vol. 6, Iss. 3, pp. 130-144
Closed Access | Times Cited: 92

Distance-to-default in banking: A bridge too far?
Jorge A. Chan‐Lau, Amadou Sy
Journal of Banking Regulation (2007) Vol. 9, Iss. 1, pp. 14-24
Closed Access | Times Cited: 77

Communicating About Macro‐prudential Supervision – A New Challenge for Central Banks
Benjamin Born, Michael Ehrmann, Marcel Fratzscher
International Finance (2012) Vol. 15, Iss. 2, pp. 179-203
Closed Access | Times Cited: 47

The bank capital-competition-risk nexus – A global perspective
E. Philip Davis, Dilruba Karim, Dennison Noel
Journal of International Financial Markets Institutions and Money (2020) Vol. 65, pp. 101169-101169
Open Access | Times Cited: 37

A New Approach to Assessing Risks to Financial Stability
Andrew Haldane, Simon Hall, Silvia Pezzini
SSRN Electronic Journal (2007)
Closed Access | Times Cited: 56

Forecasting the fragility of the banking and insurance sectors
Kerstin Bernoth, Andreas Pick
Journal of Banking & Finance (2010) Vol. 35, Iss. 4, pp. 807-818
Closed Access | Times Cited: 51

Portfolio Credit Risk and Macroeconomic Shocks: Applications to Stress Testing Under Data-Restricted Environments
Miguel A. Segoviano Basurto
IMF Working Paper (2006) Vol. 06, Iss. 283, pp. 1-1
Open Access | Times Cited: 52

Macroprudential Regulation — The Missing Policy Pillar
E. Philip Davis, Dilruba Karim
National Institute Economic Review (2010) Vol. 211, pp. R3-R16
Open Access | Times Cited: 35

The predictive content of financial cycle measures for output fluctuations 1
Tim Ng
SSRN Electronic Journal (2011)
Closed Access | Times Cited: 32

The Influence of Board Composition, Audit Fees and Ownership Concentration on Enterprise Risk Management
Mónica LópezPuertas‐Lamy, Óscar Ramón Ramos Gutiérrez
SSRN Electronic Journal (2009)
Closed Access | Times Cited: 31

Can You Map Global Financial Stability?
Jaume Puig, Ken Miyajima, Rebecca McCaughrin, et al.
IMF Working Paper (2010) Vol. 10, Iss. 145, pp. 1-1
Open Access | Times Cited: 23

Central Banks and Financial Stability: A Survey
Martin Čihák
SSRN Electronic Journal (2007)
Closed Access | Times Cited: 24

Survey of Research on Financial Sector Modeling within DSGE Models: What Central Banks Can Learn from It
František Brázdik, Aleš Maršál
SSRN Electronic Journal (2011)
Open Access | Times Cited: 18

An analysis of the growth and rise of smaller Islamic banks in last decade
Omar Masood, Ghulam Shabbir Khan Niazi, Noryati Ahmad
Qualitative Research in Financial Markets (2011) Vol. 3, Iss. 2, pp. 105-116
Closed Access | Times Cited: 18

Macroprudential Banking Regulation: Does One Size Fit All?
Doris Neuberger, Roger Rissi
SSRN Electronic Journal (2012)
Open Access | Times Cited: 18

What can we tell about monetary policy synchronization and interdependence over the 2007–2009 global financial crisis?
Mohamed El Hédi Arouri, Fredj Jawadi, Duc Khuong Nguyen
Journal of Macroeconomics (2013) Vol. 36, pp. 175-187
Open Access | Times Cited: 15

The geography of climate change risk analysis at central banks in Europe
Csaba Burger, Dariusz Wójcik
GeoJournal (2024) Vol. 89, Iss. 5
Closed Access | Times Cited: 1

Sentiment in Central Banks' Financial Stability Reports
Ricardo Correa, Keshav Garud, Juan M. Londoño, et al.
SSRN Electronic Journal (2017)
Open Access | Times Cited: 14

THE REGIME SWITCHING OF CYCLE INSTABILITY OF ISLAMIC BANKING AND THE ECONOMY: EVIDENCE FROM INDONESIA, MALAYSIA, AND PAKISTAN
Irfan Nurfalah, Aam Slamet Rusydiana
Journal of Islamic Monetary Economics and Finance (2021) Vol. 7, Iss. 2, pp. 233-262
Open Access | Times Cited: 11

Macroprudential Banking Regulation: Does One Size Fit All?
Doris Neuberger, Roger Rissi
Journal of Banking and Financial Economics (2014) Vol. 1, Iss. 1
Open Access | Times Cited: 11

Central Bank Communication on Financial Stability
Benjamin Born, Michael Ehrmann, Marcel Fratzscher
SSRN Electronic Journal (2011)
Open Access | Times Cited: 11

Developing a New Multidimensional Index of Bank Stability and Its Usage in the Design of Optimal Policy Interventions
Rachita Gulati, M. Kabir Hassan, Vincent Charles
Computational Economics (2023) Vol. 63, Iss. 4, pp. 1281-1325
Closed Access | Times Cited: 3

Empirical study on the correlation of corporate social responsibility with the banks efficiency and stability
Tatiana Vasileva, Anna Lasukova
Corporate Ownership and Control (2013) Vol. 10, Iss. 4, pp. 86-93
Open Access | Times Cited: 7

Clarity of Central Bank Communication About Inflation
Aleš Bulı́ř, Martin Čihák, David‐Jan Jansen
SSRN Electronic Journal (2011)
Open Access | Times Cited: 6

Stress-testing at the IMF
Marina Moretti, Stéphanie Stolz, Mark Swinburne
Cambridge University Press eBooks (2009), pp. 297-317
Closed Access | Times Cited: 6

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