Philip Lecturer In Banking And Finance Molyneux
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(Suggest an Edit or Addition)Philip Lecturer In Banking And Finance Molyneux's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- Determinants of European bank profitability: A note (1992) (1315)
- The Profitability of European Banks: A Cross-Sectional and Dynamic Panel Analysis (2004) (865)
- Efficiency in European Banking (1996) (776)
- A comparative study of efficiency in European banking (2003) (663)
- Dynamics of Growth and Profitability in Banking (2004) (659)
- Efficiency and Risk in European Banking (2010) (624)
- Bank Ownership and Efficiency (2001) (619)
- Examining the Relationships between Capital, Risk and Efficiency in European Banking (2007) (592)
- Risk in Islamic Banking (2012) (580)
- Thirty Years of Islamic Banking: History, Performance and Prospects (2004) (548)
- Efficiency and risk in Japanese banking (2000) (507)
- Competitive conditions in european banking (1994) (478)
- Bank competition and financial stability in Asia Pacific (2014) (466)
- Cross-Country Comparisons of Competition and Pricing Power in (2006) (416)
- Productivity change in European banking: A comparison of parametric and non-parametric approaches (2004) (377)
- Mergers and Acquisitions of Financial Institutions: A Review of the Post-2000 Literature (2009) (375)
- Analysing the determinants of bank efficiency: the case of Italian banks (2004) (348)
- European banking: An overview (2007) (338)
- Evidence on the bank lending channel in Europe (2002) (317)
- Introduction to Banking (2006) (292)
- European Banking : Efficiency, Technology and Growth (2001) (279)
- Market structure and performance in Spanish banking (1994) (244)
- Market structure and performance in European banking (1995) (239)
- Competition and market contestability in Japanese commercial banking (1996) (198)
- Competition and Stability in European Banking: A Regional Analysis (2010) (189)
- The Persistence of Bank Profit (2010) (176)
- Islamic Banking and Finance: Recent Empirical Literature and Directions for Future Research (2015) (167)
- The Oxford Handbook of Banking (2012) (167)
- Do Bank Profits Converge? (2009) (140)
- Competition and risk in South East Asian commercial banking (2012) (137)
- Regulations and Productivity Growth in Banking: Evidence from Transition Economies (2011) (136)
- Thirty Years of Islamic Banking (2004) (136)
- Challenges Facing Islamic Banking (2005) (122)
- Small Banks and Local Economic Development (2014) (116)
- Economies of scale and scope in European banking (1996) (115)
- The determinants of shareholder value in European banking (2010) (110)
- The persistance of bank profits (2011) (108)
- The Financial Crisis in Europe: Evolution, Policy Responses and Lessons for the Future (2009) (102)
- Emerging Themes in Banking: Recent Literature and Directions for Future Research (2009) (96)
- Financial Exclusion in Europe (2007) (95)
- Efficiency in Arabian Banking (2010) (94)
- Determinants of efficiency in South East Asian banking (2011) (94)
- Big-Bank Mergers in Europe: An Analysis of the Cost Implications (1997) (90)
- Non-Interest Income and Bank Lending (2014) (89)
- Changes in Western European Banking (1994) (86)
- Technical change in banking (1999) (84)
- CEO Power, Government Monitoring, and Bank Dividends (2015) (79)
- Diversification and bank stability in the GCC (2018) (76)
- The Role of the Central Bank (2007) (69)
- Structure and performance in European banking. (1993) (68)
- A note on the determinants of foreign bank activity in London between 1980 and 1989 (1996) (66)
- Bank Capital and Liquidity Creation in Asia Pacific (2016) (63)
- Bank margins and profits in a world of negative rates (2019) (62)
- Total factor productivity and shareholder returns in banking. (2010) (62)
- FOREIGN BANKS, PROFITS AND COMMERCIAL CREDIT EXTENSION IN THE UNITED STATES (1998) (59)
- Bank mergers and acquisitions in emerging markets: evidence from Asia and Latin America (2011) (54)
- ‘Too systemically important to fail’ in banking – Evidence from bank mergers and acquisitions (2014) (50)
- Banking and Financial Systems in the Arab World (2004) (50)
- Banks and the real economy: An assessment of the research (2020) (42)
- Market value, book value and earnings: is bank efficiency a missing link? (2009) (38)
- Modeling Foreign Bank Performance and Lending Behavior (1998) (38)
- Competition in banking: measurement and interpretation (2013) (37)
- European savings banks: facing up to the new environment (1997) (37)
- Shareholder Value in Banking (2006) (36)
- Bank efficiency and shareholder value in Asia Pacific (2014) (35)
- Do Bank Profits Converge?: Do Bank Profits Converge? (2013) (35)
- Exchange rate risk and the equity performance of financial intermediaries (2013) (33)
- The Relationship Between Bank Efficiency and Stock Returns: Evidence from Asia and Latin America (2008) (32)
- Bank Credit and the Regions: A Comparison within Europe (1996) (32)
- Dealing with Cross-Firm Heterogeneity in Bank Efficiency Estimates: Some evidence from Latin America (2014) (32)
- Banking in the European Union (2012) (31)
- Foreign bank entry in South East Asia (2013) (31)
- Regulations and productivity growth in banking (2009) (30)
- The Genesis of Strategic Marketing Control in British Retail Banking (1988) (29)
- Cost economies in EU banking systems (1996) (28)
- Access to consumer credit in the UK (2016) (26)
- Chair-CEO Generation Gap and Bank Risk-Taking (2017) (26)
- Efficiency in the factoring industry (2004) (26)
- The Productivity of European Co‐operative Banks (2005) (25)
- Cost Efficiency, Scale Elasticity and Scale Economies in Arab Banking (2017) (25)
- Efficiency in Islamic Banking (2005) (23)
- Does the Stock Market Compensate Banks for Diversifying into the Insurance Business? (2011) (22)
- The crisis in UK banking (2009) (20)
- Efficiency and Risk Taking in European Banking (2009) (20)
- Banking an Overview (2012) (18)
- Universal Banks, Ownership and Efficiency: A Stochastic Frontier Analysis of the German Banking Market (1997) (17)
- Beyond Common Equity: The Influence of Secondary Capital on Bank Insolvency Risk (2020) (17)
- Developments in European Banking (2007) (17)
- Measuring Competition and Stability: Recent Evidence for European Banking (2010) (17)
- Earnings management, forecast guidance and the banking crisis (2011) (16)
- Bank earnings forecasts, risk and the crisis☆ (2014) (16)
- European banking: technology, efficiency and growth (2001) (15)
- 'Too-Big-To-Fail' and its Impact on Safety Net Subsidies and Systemic Risk (2010) (14)
- E$ciency in European banking (2001) (13)
- Bank Corporate Governance and Future Earnings Predictability (2015) (13)
- Bank performance, risk and firm financing (2011) (13)
- European Banking: An Analysis of Competitive Conditions (1994) (12)
- Executive compensation, board independence and bank efficiency in China: the effects of the financial crisis (2014) (12)
- “Shareholder value and the clash in performance measurement: are banks special ?” (2003) (12)
- The Oxford Handbook of Banking, Second Edition (2014) (12)
- Contemporary issues in banking (2017) (12)
- Macro stress testing the U.S. banking system (2017) (12)
- 1992 and its Impact on Local and Regional Banking Markets (1989) (12)
- The Handbook of Post Crisis Financial Modelling (2015) (12)
- VALUE CREATION IN BANKING (2007) (11)
- Determinants of Cross-Border Mergers in European Banking (2003) (11)
- Do different forms of government ownership matter for bank capital behavior? Evidence from China (2019) (10)
- Financial Exclusion in the UK (2005) (10)
- Bank Capital, Adjustment and Ownership: Evidence from China (2014) (10)
- The Crisis in UK Banking: Lessons for Public Policy (2009) (10)
- ‘Too Systemically Important to Fail’ in Banking (2011) (10)
- The Performance of Islamic Banks (2005) (10)
- Do Mergers Improve Bank Productivity and Performance (2009) (9)
- Non-Interest Income Activities and Bank Lending (2021) (9)
- Is There a Conflict between Competition and Financial Stability (2012) (9)
- OWNERSHIP AND PERFORMANCE IN EUROPEAN AND US BANKING – A COMPARISON OF COMMERCIAL, CO-OPERATIVE & SAVINGS BANKS (2003) (9)
- Asymmetric information among lending syndicate members and the value of repeat lending (2012) (9)
- State-Aid, Stability and Competition in European Banking (2015) (8)
- Banking in the New Europe: The Impact of the Single European Market Programme and EMU on the European Banking Sector (2002) (8)
- 1 PRIVATE BANKING IN EUROPE – Getting Clients & Keeping Them ! (2005) (8)
- Bank Profits and Margins in a World of Negative Rates (2019) (8)
- 50 Years of Money and Finance: Lessons and Challenges (2013) (7)
- European savings banks : coming of age? (1999) (7)
- Cost Economies and Efficiency in EU Banking Systems (2000) (7)
- REGULATION AND FINANCIAL INNOVATION TRENDS IN EUROPEAN BANKING AND THE IMPACT ON THE SUPPLY AND DEMAND FOR FINANCIAL SERVICES IN EUROPE (2003) (7)
- Credit default swap spreads: market conditions, firm performance, and the impact of the 2007–2009 financial crisis (2020) (7)
- Earnout financing in the financial services industry (2016) (7)
- Financial Exclusion – Areas for Further Study (2005) (7)
- Velocity and the Volatility of Unanticipated and Anticipated Money Supply in the United Kingdom (1995) (7)
- Competition in the Banking Sector (2019) (7)
- Introduction to the special issue: new perspectives on regulating banks after the global financial crisis (2017) (7)
- Tariff endogeneity: Evidence from 19th century Europe (1997) (7)
- ciency and risk in Japanese banking (2000) (6)
- Bank Competition, Efficiency and Liquidity Creation in Asia Pacific (2014) (6)
- Household Access to Mortgages in the UK (2017) (6)
- The Cost Implications of Hypothetical Bank Mergers in Italy (1996) (6)
- The Strategic Implications of EMU for European Banking (1998) (6)
- Banking: An introductory text (1990) (5)
- Structural Reform, Too-Big-To Fail and Banks as Public Utilities in Europe (2016) (5)
- Investment banking : theory and practice (1995) (5)
- Do institutions, religion and the economic cycle impact bank stability in dual banking systems? (2022) (5)
- Measuring Shareholder Value in European Banking (2004) (5)
- The quality and quantity of bank intermediation and economic growth: evidence from Asia Pacific (2018) (5)
- La exclusión financiera: un estudio comparativo (2005) (5)
- U.S. prompt corrective action and bank risk (2013) (5)
- Bank Liquidity Creation and Regulatory Capital in Asia Pacific (2015) (4)
- Frontiers of Banks in a Global Economy (2007) (4)
- Editors’ Introduction—Special Issue on Mergers and Acquisitions of Financial Institutions (2009) (4)
- Efficiency in Arab Banking (2005) (4)
- Hedge Funds and Private Equity (2007) (4)
- Financial Exclusion in Developing Countries (2005) (4)
- Productivity in the Financial Services Sector (2009) (4)
- Developments in Banking Research and Areas for Future Study (2018) (4)
- The too-big-fail doctrine revisited (1997) (4)
- Are banks public utilities? Evidence from Europe (2017) (4)
- Technical Change in European Banking (2001) (4)
- Banks' noninterest income and securities holdings in a low interest rate environment: The case of Italy (2020) (3)
- CEOs as Leaders and Strategy Designers: Explaining the Success of Spanish Banks (2007) (3)
- Bank efficiency in Latin America (2013) (3)
- Public policy and financial stability : The impact of PCA and TARP on U.S. bank non-performing loans (2018) (3)
- Banking in the New Europe (2002) (3)
- Introduction to Banking (Second edition) (2015) (3)
- Finance and Development in Muslim Economies (2017) (3)
- Performance in European Banking: Productivity, Profitability and Employment Trends (2013) (3)
- Do Islamic and Conventional Banks Have the Same Technology? (2012) (3)
- ‘ Too-Big-toFail ’ and its Impact on Safety Net Subsidies and Systemic Risk (2010) (2)
- A Canary in a Coalmine! Religious agency and its impact on the performance of Islamic banks (2022) (2)
- New Issues in Financial and Credit Markets (2010) (2)
- Unanticipated income and consumption in ASEAN countries (1996) (2)
- 1 NonInterest Income Activities and Bank Lending (2015) (2)
- Jinnah, Islamic Banking and the New Financial Architecture (2010) (2)
- Financial Statement Comparability, Earnings Smoothing and Loan-Loss Provisioning in Banking (2020) (2)
- Emerging and Growth-leading Economies (EAGLEs) (2013) (2)
- Banks and FinTech Acquisitions (2023) (2)
- The Value of Repeat Lending (2011) (2)
- Tackling Financial Exclusion in the UK (2005) (2)
- Mitigating misleading implications for policy: Treatment of outliers in a difference-indifferences framework (2019) (2)
- Development of the Asia Pacific Banking System (2015) (2)
- Corporate Governance in Banking and Investor Protection (2018) (2)
- History and Growth of Islamic Banking and Finance (2005) (2)
- Bank Finance and the Regions: A European Perspective (1998) (2)
- Interest Rate Risk and Monetary Policy Normalisation in the Euro Area* (2022) (2)
- Exchange Rate Risk and the Equity Performance of Financial Intermediaries: Evidence from an International Sample (2012) (2)
- Banking in a Post-Crisis World (2014) (2)
- Adaptive strategies by European savings banks: a case study of Spain. (2000) (2)
- Corruption, lending and bank performance (2019) (2)
- Financial sector performance and risk: An introduction (2013) (2)
- Macroeconomic Determinants of Tariff Policy in a Developing Economy: Costa Rica, 1963-92 (1995) (2)
- Theoretical Foundations of Islamic Banking (2005) (1)
- Bank Strategy, Governance and Ratings (2011) (1)
- Accounting for Emissions: Evidence from Auditor Pricing of Climate Change Risk (2021) (1)
- New issues in financial institutions management (2010) (1)
- Technical Change, Costs and Profits in European Banking (2003) (1)
- Banking in the UK (2016) (1)
- Why Study Shareholder Value Creation in European Banking (2006) (1)
- Bank funding constraints and stock liquidity (2022) (1)
- Banking market reaction to auctions of failed banks (2020) (1)
- Do cost and profit efficiency drive shareholder value? Evidence from European banking (2006) (1)
- Interest Rate Risk and Monetary Policy Normalisation in the Euro Area (2020) (1)
- 2 Technical Change in European Banking (1)
- Bank Corporate Governance and Future Earnings Predictability (2019) (1)
- Development of the Islamic Banking Model (2005) (1)
- The New Tiger Economies — China and India (2007) (0)
- Banking (2019) (0)
- Islamic Banking in the Twenty-First Century (2005) (0)
- Corporate Control and the Restructuring of European Banking (2011) (0)
- European Economic and Monetary Union (2007) (0)
- Credit default swap spreads: market conditions, firm performance, and the impact of the 2007–2009 financial crisis (2020) (0)
- Financial System Efficiency (2005) (0)
- Bank Earnings Forecasts, Risk and the Crisis (2011) (0)
- Islamic Finance at Bangor University (2012) (0)
- Value Creation in European Banking (2007) (0)
- Does unconventional monetary policy boost local economic development? The case of TLTROs and Italy (2023) (0)
- Reevaluating the risk minimization utility of Islamic stocks and bonds (Sukuk) in international financial markets (2022) (0)
- An analysis of the determinants of shareholder value creation in European banking (2006) (0)
- Banking in Germany (1996) (0)
- Herding behaviour heterogeneity under economic and political risks: Evidence from GCC (2022) (0)
- Corrigendum to “A canary in a Coalmine! religious agency and its impact on the performance of Islamic banks” [J. Int. Financial Mark. Inst. Money 78 (2022) 101559] (2023) (0)
- The Money Merry-go-round (2016) (0)
- Europe and the Eurozone (2016) (0)
- Cla 24 ) BBSWP / 13 / 011 DEALING WITH CROSS-FIRM HETEROGENEITY IN BANK EFFICIENCY ESTIMATES : SOME EVIDENCE FROM LATIN AMERICA ( Bold , Clarendon 12 , capitals ) (2013) (0)
- Do trust and country governance affect credit growth in GCC countries? (2022) (0)
- Bank Performance Measures and Shareholder Value (2006) (0)
- Economic Performance of Arabian Countries during the 1990s (2005) (0)
- Working Papers in Responsible Banking & Finance Noninterest Income Activities and Bank Lending (2015) (0)
- riSk in euroPean banking (2010) (0)
- A new measure for gauging the riskiness of European Banks’ sovereign bond portfolios (2020) (0)
- Banking Studies That Use the Non-Parametric Approach to Study Productive Efficiency (2010) (0)
- European Policy on Financial Exclusion and Bank Strategies (2005) (0)
- Open banking – the invisible reform that will shake up UK financial services (2018) (0)
- Bangor Business School Working Paper ( C 24 ) BBSWP / 11 / 011 ‘ Too Systemically Important to Fail ’ in Banking By (2011) (0)
- Money Markets and International Banking (1990) (0)
- Nature, Consequences and Policy Reactions: An Overview (2005) (0)
- Banking in Europe (2019) (0)
- The U.K. Banking Crisis (2010) (0)
- Rationale for a Special Issue of the Journal of Banking and Finance `Developments in European Banking' (2005) (0)
- The Central Bank and Bank Regulation (1990) (0)
- Working Papers in Responsible Banking & Finance Islamic Banking and Finance : Recent Empirical Literature and Directions for Future Research (2015) (0)
- An Overview of Arabian Economies (2005) (0)
- Efficiency and Shareholder Value in Banking (2005) (0)
- How Banks Create Shareholder Value (2006) (0)
- Finance and Development in Muslim Economies (2017) (0)
- Economic Objectives of Banks (2006) (0)
- Banking in the European Community and the Role of Large Banks Up to 1992 (1990) (0)
- Size and efficiency in the european banking industry (2007) (0)
- Recent Trends and Developments in Banking (1990) (0)
- Shareholder Value: a Literature Review (2006) (0)
- Directory of European banking and financial associations (1990) (0)
- Islamic banking and finance (2014) (0)
- New issues in financial markets and istitutions (2010) (0)
- Banking and Financial Systems in Gulf Cooperation Council (GCC) Countries (2005) (0)
- Household Access to Mortgages in the UK (2016) (0)
- Current Developments and Prospects for Arab Banks (2005) (0)
- Banking and Financial Systems in Non-Gulf Arab Countries (2005) (0)
- Some Areas for Further Research in Islamic Banking and Finance (2005) (0)
- SERIES WP 0 7 / 09 Emerging Themes in Banking : Recent Literature and Directions for Future Research (2009) (0)
- Determinants of Shareholder Value in European Banking and Shareholder Value Efficiency (2006) (0)
- Measuring Shareholder Value Drivers in Banking (2006) (0)
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