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Executive compensation and risk taking. (2010). Shapiro, Joel ; Mehran, Hamid ; Bolton, Patrick.
In: Staff Reports.
RePEc:fip:fednsr:456.

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  2. Sovereigns at risk: A dynamic model of sovereign debt and banking leverage. (2020). Coimbra, Nuno.
    In: Journal of International Economics.
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  3. CEO investment of deferred compensation plans and firm performance. (2019). Fantini, Giulia ; Colonnello, Stefano ; Cambrea, Domenico Rocco ; Curatola, Giuliano.
    In: SAFE Working Paper Series.
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  4. Effectiveness and (in)efficiencies of compensation regulation: Evidence from the EU banker bonus cap. (2018). Koetter, Michael ; Colonnello, Stefano ; Wagner, Konstantin.
    In: IWH Discussion Papers.
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  5. Bank capital requirements and mandatory deferral of compensation. (2018). Wohlschlegel, Ansgar ; Feess, Eberhard.
    In: Journal of Regulatory Economics.
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  6. Trading by bank insiders before and during the 2007–2008 financial crisis. (2018). Cziraki, Peter.
    In: Journal of Financial Intermediation.
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  7. Dealing with Overleverage: Restricting Leverage vs. Restricting Variable Compensation. (2017). Gete, Pedro ; Gomez, Juan Pedro .
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  8. How the corporate governance mechanisms affect bank risk taking. (2017). mamatzakis, emmanuel ; Wang, Chaoke ; Zhang, Xiaoxiang.
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  9. CoCo Issuance and Bank Fragility. (2017). Kartasheva, Anastasia ; Jiang, Wei ; Bolton, Patrick ; Avdjiev, Stefan ; Bogdanova, Bilyana.
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  10. CEO compensation and banks’ risk-taking during pre and post financial crisis periods. (2017). Ali, Syed Zulfiqar ; Akbar, Saeed ; Liu, Jia ; Cao, Sichen.
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  11. Direct and indirect risk-taking incentives of inside debt. (2017). Colonnello, Stefano ; Hoang, Ngoc Giang ; Curatola, Giuliano.
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  12. The role of managerial risk-taking in the ‘rise and fall’ of the CDS market. (2017). Dias, Roshanthi .
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  13. CoCo issuance and bank fragility. (2017). Kartasheva, Anastasia ; Avdjiev, Stefan ; Jiang, Wei ; Bolton, Patrick ; Bogdanova, Bilyana.
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  14. Incentive-based capital requirements. (2016). Eufinger, Christian ; Gill, Andrej .
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  15. Coinvestment and risk taking in private equity funds. (2016). Walz, Uwe ; Thorburn, Karin ; Bienz, Carsten .
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  16. Direct and indirect risk-taking incentives of inside debt. (2016). Colonnello, Stefano ; Hoang, Ngoc Giang ; Curatola, Giuliano.
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  17. The Stock Market and Bank Risk-Taking. (2016). Scharfstein, David ; Falato, Antonio.
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  18. Cash holdings and bank compensation. (2016). Mehran, Hamid ; Acharya, Viral ; Sundaram, Rangarajan K.
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  19. Why does the FDIC sue?. (2016). Koch, Christoffer ; Okamura, Ken .
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  20. Relative Performance, Banker Compensation, and Systemic Risk. (2016). Cabral, Luis ; Albuquerque, Rui ; Guedes, Jose .
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  21. Real Regulatory Capital Management and Dividend Payout: Evidence from Available-for-Sale Securities. (2016). Magnan, Michel ; Ipino, Elisabetta ; Parbonetti, Antonio ; Fabrizi, Michele.
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  22. Regulating deferred incentive pay. (2015). Opp, Marcus ; Inderst, Roman ; Hoffmann, Florian.
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  23. Nonstationary Z-score measures. (2015). Mare, Davide Salvatore ; Rossi, Roberto ; Moreira, Fernando.
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  24. CEO Compensation, Regulation, and Risk in Banks: Theory and Evidence from the Financial Crisis. (2015). Oliviero, Tommaso ; CERASI, VITTORIA.
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  25. Macro-prudential Policies, Moral Hazard and Financial Fragility. (2015). Valencia, Oscar ; Arango, Carlos.
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  26. Risk Choices and Compensation Design. (2015). Sun, Bo ; Carey, Mark S..
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  27. Inside debt, bank default risk, and performance during the crisis. (2015). Unal, Haluk ; Bennett, Rosalind ; Guntay, Levent .
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  28. Size, leverage, and risk-taking of financial institutions. (2015). Bhagat, Sanjai ; Lu, Jun ; Bolton, Brian .
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  29. Incentive pay and bank risk-taking: Evidence from Austrian, German, and Swiss banks. (2015). Steinbrecher, Johannes ; Kampkötter, Patrick ; Hau, Harald ; Efing, Matthias ; Kampkotter, Patrick.
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  30. Macro-Prudential Policy under Moral Hazard and Financial Fragility. (2015). Valencia, Oscar ; Arango, Carlos.
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  31. Macro-Prudential Policy under Moral Hazard and Financial Fragility. (2015). Valencia, Oscar ; Arango, Carlos.
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  32. Financial incentives and loan officer behavior: Multitasking and allocation of effort under an incomplete contract. (2014). Gropp, Reint ; Drexler, Alejandro ; Behr, Patrick ; Guettler, Andre .
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  33. Managerial Compensation, Regulation and Risk in Banks: Theory and Evidence from the Financial Crisis. (2014). Oliviero, Tommaso ; CERASI, VITTORIA.
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  34. Bank Capital Requirements and Mandatory Deferral of Compensation. (2014). Wohlschlegel, Ansgar ; Feess, Eberhard.
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  35. Credit Default Swaps: A Survey. (2014). Tang, Dragon Yongjun ; Wang, Sarah Qian ; Augustin, Patrick ; Subrahmanyam, Marti G..
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  36. Incentive Pay and Bank Risk-Taking: Evidence from Austrian, German, and Swiss Banks. (2014). Steinbrecher, Johannes ; Kampkötter, Patrick ; Hau, Harald ; Efing, Matthias ; Kampkotter, Patrick.
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  37. The Complexity of CEO Compensation. (2014). Jarque, Arantxa.
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  39. Regulating Deferred Incentive Pay. (2014). Opp, Marcus ; Inderst, Roman ; Hoffmann, Florian.
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  40. Incentive Pay and Bank Risk-Taking:Evidence from Austrian, German, and Swiss Banks. (2014). Steinbrecher, Johannes ; Kampkötter, Patrick ; Hau, Harald ; Efing, Matthias ; Kampkotter, Patrick.
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  41. Incentive Pay and Bank Risk-Taking: Evidence from Austrian, German, and Swiss Banks. (2014). Steinbrecher, Johannes ; Kampkötter, Patrick ; Hau, Harald ; Efing, Matthias ; Kampkotter, Patrick.
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  42. Crisis performance of European banks – does management ownership matter?. (2014). Westman, Hanna.
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  44. Basel III and CEO compensation in banks: Pay structures as a regulatory signal. (2013). Eufinger, Christian ; Gill, Andrej .
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  45. How does corporate governance affect bank capitalization strategies ?. (2013). Huizinga, Harry ; Demirguc-Kunt, Asli ; Anginer, Deniz ; Ma, Kebin.
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  47. Incentivizing Calculated Risk-Taking: Evidence from an Experiment with Commercial Bank Loan Officers. (2013). Klapper, Leora ; Kanz, Martin ; Cole, Shawn.
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  48. Wall Street and the Housing Bubble. (2013). Xiong, Wei ; Cheng, Ing-Haw ; Raina, Sahil .
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  49. Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation: Why Bank Equity is Not Socially Expensive. (2013). Hellwig, Martin ; DeMarzo, Peter ; Admati, Anat ; Pfleiderer, Paul.
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  53. Risk-shifting and the regulation of bank CEOs’ compensation. (2013). Chaigneau, Pierre.
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  60. Incentivizing Calculated Risk-Taking: Evidence from an Experiment with Commercial Bank Loan Officers. (2012). Klapper, Leora ; Kanz, Martin ; Cole, Shawn.
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  61. Executive Compensation and Risk-taking in European Banking. (2012). Arbak, Emrah ; de Groen, Willem Pieter ; Ayadi, Rym .
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  63. Executive compensation based on asset values. (2012). Byström, Hans ; Bystrom, Hans.
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  64. The Case for Intervening in Bankers’ Pay. (2012). Thanassoulis, John.
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  66. Corporate governance and banks: what have we learned from the financial crisis?. (2011). Shapiro, Joel ; Mehran, Hamid ; Morrison, Alan.
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  67. Taxation and regulation of bonus pay. (2011). Ghatak, Maitreesh ; Besley, Timothy.
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  71. Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation: Why Bank Equity is Not Expensive. (2010). Hellwig, Martin ; DeMarzo, Peter ; Admati, Anat ; Pfleiderer, Paul.
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  72. Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation: Why Bank Equity Is Not Expensive. (2010). Hellwig, Martin ; DeMarzo, Peter ; Admati, Anat ; Pfleiderer, Paul.
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  73. Securitization and Compensation in Financial Institutions. (2010). Pfeil, Sebastian ; Inderst, Roman.
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    RePEc:mpg:wpaper:2013_03.

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  23. CEO Option Compensation, Risk-Taking Incentives, and Systemic Risk in the Banking Industry. (2013). Song, Frank ; Frank M. Song Author-Workplace-Name: University o, ; Mary L. Z. Ma, ; Li, LI ; Kim, Jeong-Bon.
    In: Working Papers.
    RePEc:hkm:wpaper:182013.

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  24. Risking Other People’s Money: Experimental Evidence on Bonus Schemes, Competition, and Altruism. (2013). Wengström, Erik ; Tyran, Jean-Robert ; Holm, Hakan ; Andersson, Ola ; Wengstrom, Erik.
    In: Working Paper Series.
    RePEc:hhs:iuiwop:0989.

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  25. Banker compensation and bank risk taking: the organizational economics view. (2013). Prescott, Edward ; Jarque, Arantxa.
    In: Working Paper.
    RePEc:fip:fedrwp:13-03.

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  26. International evidence on government support and risk taking in the banking sector. (2013). Sapriza, Horacio ; Brandao Marques, Luis ; Correa, Ricardo ; Brandao-Marques, Luis.
    In: International Finance Discussion Papers.
    RePEc:fip:fedgif:1086.

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  27. Institutional investor stability and crash risk: Monitoring versus short-termism?. (2013). Callen, Jeffrey L. ; Huafang, Xiao .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:8:p:3047-3063.

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  28. Capital structure, executive compensation, and investment efficiency. (2013). Eisdorfer, Assaf ; White, Reilly ; Giaccotto, Carmelo .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:2:p:549-562.

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  29. Risk-shifting and the regulation of bank CEOs’ compensation. (2013). Chaigneau, Pierre.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:778-789.

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  30. From the credit crisis to the sovereign debt crisis: Determinants of share price performance of global banks. (2013). Hoque, Hafiz.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:30:y:2013:i:c:p:334-350.

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  31. Taming SIFIs. (2012). Rochet, Jean ; FREIXAS, XAVIER.
    In: Economics Working Papers.
    RePEc:upf:upfgen:1328.

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  32. A Primer on Market Discipline and Governance of Financial Institutions for Those in a State of Shocked Disbelief. (2012). Mester, Loretta ; Hughes, Joseph.
    In: Departmental Working Papers.
    RePEc:rut:rutres:201204.

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  33. Bank Pay Caps, Bank Risk, and Macroprudential Regulation. (2012). Thanassoulis, John.
    In: Economics Series Working Papers.
    RePEc:oxf:wpaper:636.

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  34. Stock Market Tournaments. (2012). Yuan, Kathy ; Ozdenoren, Emre.
    In: Koç University-TUSIAD Economic Research Forum Working Papers.
    RePEc:koc:wpaper:1222.

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  35. A primer on market discipline and governance of financial institutions for those in a state of shocked disbelief. (2012). Mester, Loretta ; Hughes, Joseph.
    In: Working Papers.
    RePEc:fip:fedpwp:12-13.

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  36. Bank Failures and CEO Compensation. (2012). Knopf, John D. ; Dolde, Walter .
    In: Chapters.
    RePEc:elg:eechap:14045_10.

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  37. Seeking safety: The relation between CEO inside debt holdings and the riskiness of firm investment and financial policies. (2012). Cassell, Cory A. ; Huang, Shawn X. ; Stuart, Michael D. ; Sanchez, Juan Manuel.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:103:y:2012:i:3:p:588-610.

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  38. Chapter 3: Banking Regulation. (2012). Vives, Xavier ; Valentinyi, Akos ; Sturm, Jan-Egbert ; Sinn, Hans-Werner ; Saint-Paul, Gilles ; Hassler, John ; Corsetti, Giancarlo ; Calmfors, Lars.
    In: EEAG Report on the European Economy.
    RePEc:ces:eeagre:v::y:2012:i::p:83-98.

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  39. Taming SIFIs. (2012). Rochet, Jean ; FREIXAS, XAVIER.
    In: Working Papers.
    RePEc:bge:wpaper:649.

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  40. How does Ownership Structure Influence Bank Risk? Analyzing the Role of Managerial Incentives.. (2012). Lamy, Monica Lopez-Puertas .
    In: Working Papers.
    RePEc:bbe:wpaper:1208.

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  41. Industrial Structure, Executives Pay And Myopic Risk Taking. (2011). Thanassoulis, John.
    In: Economics Series Working Papers.
    RePEc:oxf:wpaper:571.

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  42. Competition policy in banking. (2011). Vives, Xavier.
    In: Oxford Review of Economic Policy.
    RePEc:oup:oxford:v:27:y:2011:i:3:p:479-497.

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  43. Why Did U.S. Banks Invest in Highly-Rated Securitization Tranches?. (2011). Stulz, René ; Erel, Isil ; Nadauld, Taylor D..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17269.

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  44. A Fistful of Dollars: Lobbying and the Financial Crisis. (2011). Tressel, Thierry ; Igan, Deniz ; Mishra, Prachi.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17076.

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  45. This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance During the Recent Financial Crisis. (2011). Stulz, René ; Fahlenbrach, Ruediger ; Prilmeier, Robert.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17038.

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  46. A Fistful of Dollars: Lobbying and the Financial Crisis. (2011). Igan, Deniz ; Tressel, Thierry ; Mishra, Prachi.
    In: NBER Chapters.
    RePEc:nbr:nberch:12416.

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  47. The Impact of Capital Structure on Profitability with Special Reference to IT Industry in India vs. Domestic Products. (2011). Gavoury, Candasamy ; Azhagaiah, Ramachandran .
    In: Managing Global Transitions.
    RePEc:mgt:youmgt:v:9:y:2011:i:4:p:371-392.

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  48. Corporate governance and banks: what have we learned from the financial crisis?. (2011). Shapiro, Joel ; Mehran, Hamid ; Morrison, Alan.
    In: Staff Reports.
    RePEc:fip:fednsr:502.

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  49. CFOs versus CEOs: Equity incentives and crashes. (2011). Zhang, Liandong ; Kim, Jeong-Bon ; Li, Yinghua.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:101:y:2011:i:3:p:713-730.

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  50. Managerial compensation and the underinvestment problem. (2011). Kanagaretnam, Kiridaran ; Sarkar, Sudipto.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:28:y:2011:i:1-2:p:308-315.

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  51. Bankers compensation and fair value accounting. (2011). Milne, Alistair ; Livne, Gilad ; Markarian, Garen.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:17:y:2011:i:4:p:1096-1115.

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  52. Why Did U.S. Banks Invest in Highly-Rated Securitization Tranches?. (2011). Stulz, René ; Erel, Isil ; Nadauld, Taylor .
    In: Working Paper Series.
    RePEc:ecl:ohidic:2011-16.

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  53. This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance during the Recent Financial Crisis. (2011). Stulz, René ; Fahlenbrach, Ruediger ; Prilmeier, Robert.
    In: Working Paper Series.
    RePEc:ecl:ohidic:2011-10.

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  54. Commentaire : Déséquilibres mondiaux, errances de la régulation et crise de la finance globalisée. (2010). Bouveret, Antoine ; Colliac, Stephane .
    In: Économie et Statistique.
    RePEc:prs:ecstat:estat_0336-1454_2010_num_438_1_9594.

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  55. Executive compensation and risk taking. (2010). Shapiro, Joel ; Mehran, Hamid ; Bolton, Patrick.
    In: Staff Reports.
    RePEc:fip:fednsr:456.

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  56. Risk-shifting and investment asymmetry. (2010). Eisdorfer, Assaf .
    In: Finance Research Letters.
    RePEc:eee:finlet:v:7:y:2010:i:4:p:232-237.

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  57. Securitization and Compensation in Financial Institutions. (2010). Pfeil, Sebastian ; Inderst, Roman.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:8089.

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  58. Irreversible investment, managerial discretion and optimal capital structure. (2009). Andrikopoulos, Andreas.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:33:y:2009:i:4:p:709-718.

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  59. Executive compensation and capital structure: The effects of convertible debt and straight debt on CEO pay. (2007). Ortiz-Molina, Hernan .
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:43:y:2007:i:1:p:69-93.

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  60. Debt, managerial compensation and learning. (2006). Jain, Neelam.
    In: European Economic Review.
    RePEc:eee:eecrev:v:50:y:2006:i:2:p:377-399.

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  61. Executive pay in Japan: the role of bank-appointed monitors and the Main Bank relationship. (2005). Kubo, Katsuyuki ; Gaston, Noel ; Abe, Naohito.
    In: Japan and the World Economy.
    RePEc:eee:japwor:v:17:y:2005:i:3:p:371-394.

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  62. Control benefits and CEO discipline in automatic bankruptcy auctions. (2003). Thorburn, Karin ; Eckbo, B. ; Thorburn Karin S., .
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:69:y:2003:i:1:p:227-258.

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  63. Debt, Managerial Incentives and Learning.. (2002). Jain, Neelam.
    In: Discussion Papers.
    RePEc:kud:kuiedp:0203.

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  64. Control Benefits and CEO Discipline in Automatic Bankruptcy Auctions. (2002). Thorburn, Karin ; Eckbo, B..
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:3481.

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  65. Bank mergers and the fragility of loan markets. (2000). Koskela, Erkki ; Stenbacka, Rune.
    In: Finnish Economic Papers.
    RePEc:fep:journl:v:13:y:2000:i:1:p:3-18.

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  66. Agency Cost of Debt and Lending Market Competition: Is there a Relationship?. (2000). Koskela, Erkki ; Stenbacka, Rune.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_274.

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  67. An empirical examination of the relation between debt contracts and management incentives. (1999). Feltham, Gerald A. ; Begley, Joy.
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:27:y:1999:i:2:p:229-259.

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  68. Efficiency wages, managerial discretion, and the fear of bankruptcy. (1997). Gaston, Noel.
    In: Journal of Economic Behavior & Organization.
    RePEc:eee:jeborg:v:33:y:1997:i:1:p:41-59.

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