1. Macroeconomic determinants of credit risks: evidence from high-income countries. Issue 1 (11th November 2019) Authors: Koju, Laxmi; Koju, Ram; Wang, Shouyang Journal: European journal of management and business economics Issue: Volume 29:Issue 1(2020) Page Start: 41 Record Type: Journal Article View Content: Available online (eLD content is only available in our Reading Rooms) ↗
2. Macroeconomic determinants of credit risks: evidence from high-income countries. Issue 1 (6th November 2019) Authors: Koju, Laxmi; Koju, Ram; Wang, Shouyang Journal: European journal of management and business economics Issue: Volume 29:Issue 1(2020) Page Start: 41 Record Type: Journal Article View Content: Available online (eLD content is only available in our Reading Rooms) ↗
3. The impact of financial regulation policy uncertainty on bank profits and risk. Issue 4 (20th September 2019) Authors: Killins, Robert Neil; Johnk, David W.; Egly, Peter V. Journal: Studies in economics and finance Issue: Volume 37:Issue 4(2020) Page Start: 725 Record Type: Journal Article View Content: Available online (eLD content is only available in our Reading Rooms) ↗
4. The impact of financial regulation policy uncertainty on bank profits and risk. Issue 4 (27th September 2019) Authors: Killins, Robert Neil; Johnk, David W.; Egly, Peter V. Journal: Studies in economics and finance Issue: Volume 37:Issue 4(2020) Page Start: 725 Record Type: Journal Article View Content: Available online (eLD content is only available in our Reading Rooms) ↗
5. The impact of housing market disturbances on the US financial system: a pre-crisis analysis. Issue 9 (19th February 2016) Authors: Schaffer, Marc; Wheeler, Mark Journal: Applied economics Issue: Volume 48:Issue 9(2016) Page Start: 759 Record Type: Journal Article View Content: Available online (eLD content is only available in our Reading Rooms) ↗