Hoque, Hafiz; Andriosopoulos, Dimitris; Andriosopoulos, … - In: Journal of Banking & Finance 50 (2015) C, pp. 455-474
In this paper, we analyze whether regulation reduced risk during the credit crisis and the sovereign debt crisis for a cross section of global banks. In this regard, we examine distance to default (Laeven and Levine, 2008), systemic risk (Acharya et al., 2010), idiosyncratic risk, and systematic...