Caren Yinxia Nielsen

Copenhagen Business School - Center for Corporate Governance

Solbjerg Plads 3

Frederiksberg C, DK - 2000

Denmark

http://https://sites.google.com/site/carensprofhome/

Knut Wicksell Centre for Financial Studies--Lund University

Box 7082

Lund, S220 07

Sweden

SCHOLARLY PAPERS

4

DOWNLOADS

613

TOTAL CITATIONS

6

Scholarly Papers (4)

1.

The Effect of Stricter Capital Regulation on Banks' Risk-Taking: Theory and Evidence

Number of pages: 44 Posted: 16 Oct 2015 Last Revised: 19 Oct 2018
Frederik Lundtofte and Caren Yinxia Nielsen
Aalborg University Business School and Copenhagen Business School - Center for Corporate Governance
Downloads 190 (318,195)
Citation 2

Abstract:

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Banks; asset risk; credit risk; portfolio choice; risk-based capital regulation

2.

Hidden in the Factors? The Effect of Credit Risk on the Cross-Section of Equity Returns

(S-WoPEc) Scandinavian Working Papers in Economics No 2011-38
Number of pages: 23 Posted: 05 Nov 2011 Last Revised: 15 Oct 2015
Caren Yinxia Nielsen
Copenhagen Business School - Center for Corporate Governance
Downloads 185 (325,875)
Citation 1

Abstract:

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sset pricing; Equity returns; Size effect; Value effect; Credit risk effect; Credit default swap

3.

TARP and Market Discipline: Evidence on the Moral Hazard Effects of Bank Recapitalizations

Number of pages: 52 Posted: 16 Oct 2015
Jens Forssbæck and Caren Yinxia Nielsen
Lund University - Department of Economics and Copenhagen Business School - Center for Corporate Governance
Downloads 143 (405,833)
Citation 3

Abstract:

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bank bailouts, moral hazard, distress risk, capital injections, TARP, CPP, market discipline, nancial crisis

4.

Targeting Return on Equity: Banks' Controlling Ownership and Risk

Number of pages: 39 Posted: 04 Nov 2018 Last Revised: 03 Aug 2020
Caren Yinxia Nielsen and Lars Christian Ohnemus
Copenhagen Business School - Center for Corporate Governance and Copenhagen Business School
Downloads 95 (553,353)

Abstract:

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Banks; targeting return on equity; agency theory; controlling ownership; default risk; regulatory capital