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Reint Gropp

Global rank #4774 94%

Institution: Leibniz-Institut für Wirtschaftsforschung Halle (IWH)

Primary Field: Finance (weighted toward more recent publications)

Homepage: http://www.iwh-halle.de/asp/Person.asp?rgp&lang=e

First Publication: 1997

Most Recent: 2024

RePEc ID: pgr26 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.01: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total
Last 5 Years 0.00 0.00 0.40 0.00 0.65
Last 10 Years 0.00 1.17 3.75 0.00 6.35
All Time 0.67 1.84 14.81 0.00 21.43

Publication Statistics

Raw Publications 22
Coauthorship-Adjusted Count 17.91

Publications (22)

Year Article Journal Tier Authors
2024 Supranational Rules, National Discretion: Increasing Versus Inflating Regulatory Bank Capital? Journal of Financial and Quantitative Analysis B 5
2022 The cleansing effect of banking crises Economic Inquiry C 4
2020 Banks' Funding Stress, Lending Supply, and Consumption Expenditure Journal of Money, Credit, and Banking B 3
2020 Financial Incentives and Loan Officer Behavior: Multitasking and Allocation of Effort under an Incomplete Contract Journal of Financial and Quantitative Analysis B 4
2020 Public bank guarantees and allocative efficiency Journal of Monetary Economics A 3
2019 Deleveraging and Consumer Credit Supply in the Wake of the 2008-09 Financial Crisis International Journal of Central Banking B 3
2019 Banks Response to Higher Capital Requirements: Evidence from a Quasi-Natural Experiment The Review of Financial Studies A 4
2018 Hidden gems and borrowers with dirty little secrets: Investment in soft information, borrower self-selection and competition Journal of Banking & Finance B 2
2016 The effect of personal bankruptcy exemptions on investment in home equity Journal of Financial Intermediation B 4
2014 Spillover Effects among Financial Institutions: A State-Dependent Sensitivity Value-at-Risk Approach Journal of Financial and Quantitative Analysis B 3
2014 The Impact of Public Guarantees on Bank Risk-Taking: Evidence from a Natural Experiment Review of Finance B 3
2014 Discussion of Correa, Lee, Sapriza, and Suarez Journal of Money, Credit, and Banking B 1
2013 Payment Defaults and Interfirm Liquidity Provision* Review of Finance B 2
2012 Stale Information, Shocks, and Volatility Journal of Money, Credit, and Banking B 2
2011 Competition, Risk-shifting, and Public Bail-out Policies The Review of Financial Studies A 3
2010 The Determinants of Bank Capital Structure Review of Finance B 2
2009 Cross-Border Bank Contagion in Europe International Journal of Central Banking B 3
2009 Banking Integration, Bank Stability, and Regulation - Introduction to a Special Issue of the International Journal of Central Banking International Journal of Central Banking B 2
2004 Measurement of contagion in banks' equity prices Journal of International Money and Finance B 2
2004 Deposit Insurance, Moral Hazard and Market Monitoring Review of Finance B 2
2002 Bank concentration and retail interest rates Journal of Banking & Finance B 2
1997 Personal Bankruptcy and Credit Supply and Demand Quarterly Journal of Economics S 3