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Ralph De Haas

Institution: KU Leuven

Primary Field: Finance (weighted toward more recent publications)

First Publication: 2006

Most Recent: 2025

RePEc ID: pde69 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.02: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total Percentile
Last 5 Years 0.00 8.07 2.93 0.00 11.00 96%
Last 10 Years 0.00 14.46 5.11 0.00 19.58 97%
All Time 4.04 18.30 10.33 0.00 32.66 96%

Publication Statistics

Raw Publications 28
Coauthorship-Adjusted Count 20.50

Publications (28)

Year Article Journal Tier Authors
2025 State ownership and corporate leverage around the world Journal of Corporate Finance B 3
2025 Global banking and macroeconomic stability. Liquidity, control, and monitoring Journal of International Economics A 4
2025 Reprint of: Global banking and macroeconomic stability. Liquidity, control, and monitoring Journal of International Economics A 4
2025 A Reply to Listo, Saberian and Thivierge (2023) Economic Journal A 2
2025 Correction to: ‘Finance and Green Growth’ Economic Journal A 2
2025 Managerial and Financial Barriers to the Green Transition Management Science B 4
2024 Move a little closer? Information sharing and the spatial clustering of bank branches Review of Finance B 5
2023 Discriminatory Lending: Evidence from Bankers in the Lab American Economic Journal: Applied Economics A 2
2023 Finance and Green Growth Economic Journal A 2
2023 Close competitors? Bilateral bank competition and spatial variation in firms’ access to credit Journal of Economic Geography B 3
2021 Information Sharing in a Competitive Microcredit Market Journal of Money, Credit, and Banking B 3
2020 Do laws shape attitudes? Evidence from same-sex relationship recognition policies in Europe European Economic Review B 4
2020 The Limits of Lending? Banks and Technology Adoption across Russia The Review of Financial Studies A 2
2020 The Impact of Information Sharing on the Use of Collateral versus Guarantees World Bank Economic Review B 2
2019 Microcredit Contracts, Risk Diversification and Loan Take-Up Journal of the European Economic Association A 3
2019 Mining matters: Natural resource extraction and firm-level constraints Journal of International Economics A 2
2018 When arm's length is too far: Relationship banking over the credit cycle Journal of Financial Economics A 4
2018 Regional inflation persistence: evidence from Italy Review of Finance B 3
2015 The Impacts of Microfinance: Evidence from Joint-Liability Lending in Mongolia American Economic Journal: Applied Economics A 5
2015 The Impacts of Microcredit: Evidence from Bosnia and Herzegovina American Economic Journal: Applied Economics A 4
2015 Taming the herd? Foreign banks, the Vienna Initiative and crisis transmission Journal of Financial Intermediation B 4
2014 Multinational Banks and the Global Financial Crisis: Weathering the Perfect Storm? Journal of Money, Credit, and Banking B 2
2013 Running for the Exit? International Bank Lending During a Financial Crisis The Review of Financial Studies A 2
2012 Addressing private sector currency mismatches in emerging Europe Economic Policy B 2
2012 International Shock Transmission after the Lehman Brothers Collapse: Evidence from Syndicated Lending American Economic Review S 2
2010 What determines the composition of banks' loan portfolios? Evidence from transition countries Journal of Banking & Finance B 3
2010 Internal capital markets and lending by multinational bank subsidiaries Journal of Financial Intermediation B 2
2006 Foreign banks and credit stability in Central and Eastern Europe. A panel data analysis Journal of Banking & Finance B 2