Mike Mariathasan

KU Leuven- Faculty of Economics & Business

Naamsestraat 69

Leuven, B-3000

Belgium

SCHOLARLY PAPERS

14

DOWNLOADS

3,426

SSRN CITATIONS

98

CROSSREF CITATIONS

59

Scholarly Papers (14)

1.

How Banks Respond to Negative Interest Rates: Evidence from the Swiss Exemption Threshold

CESifo Working Paper Series No. 6901
Number of pages: 62 Posted: 19 Apr 2018
Christoph Basten and Mike Mariathasan
University of Zurich and KU Leuven- Faculty of Economics & Business
Downloads 1,199 (32,778)
Citation 51

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monetary policy transmission, negative interest rates, bank profitability, risk-taking, bank lending, Basel III

Bailouts and Moral Hazard: How Implicit Government Guarantees Affect Financial Stability

Number of pages: 38 Posted: 19 Aug 2014 Last Revised: 12 Dec 2014
Mike Mariathasan, Ouarda Merrouche and Charlotte Werger
KU Leuven- Faculty of Economics & Business, Bank of England and European University Institute
Downloads 495 (105,058)
Citation 11

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banking, moral hazard, government guarantees, bailout

Bailouts and Moral Hazard: How Implicit Government Guarantees Affect Financial Stability

CEPR Discussion Paper No. DP10311
Number of pages: 40 Posted: 23 Jan 2015
Mike Mariathasan, Ouarda Merrouche and Charlotte Werger
KU Leuven- Faculty of Economics & Business, European University Institute and European University Institute
Downloads 1 (1,159,322)
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bailout, banking, government guarantees, moral hazard

3.

Interest Rate Pass-Through and Bank Risk-Taking under Negative-Rate Policies with Tiered Remuneration of Central Bank Reserves

Swiss Finance Institute Research Paper No. 20-98
Number of pages: 53 Posted: 02 Dec 2020
Christoph Basten and Mike Mariathasan
University of Zurich and KU Leuven- Faculty of Economics & Business
Downloads 388 (141,481)
Citation 1

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negative interest rate policy, tiered remuneration, interest rate pass-through, credit risk, interest rate risk

GSIB Status and Corporate Lending: An International Analysis

Number of pages: 76 Posted: 29 Jul 2020
Hans Degryse, Mike Mariathasan and Thi Hien Tang
KU Leuven - Faculty of Business and Economics (FEB), KU Leuven- Faculty of Economics & Business and KU Leuven, Department Accounting, Finance and Insurance
Downloads 250 (223,286)
Citation 1

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GSIB, supervision, regulation, real effects

GSIB Status and Corporate Lending: An International Analysis

CEPR Discussion Paper No. DP15564
Number of pages: 70 Posted: 23 Dec 2020
Hans Degryse, Mike Mariathasan and Thi Hien Tang
KU Leuven - Faculty of Business and Economics (FEB), KU Leuven- Faculty of Economics & Business and KU Leuven, Department Accounting, Finance and Insurance
Downloads 1 (1,159,322)
Citation 5
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5.

Attention Allocation and Counter-Cyclical Credit Quality

Number of pages: 39 Posted: 15 Mar 2017 Last Revised: 09 Dec 2022
Mike Mariathasan and Sergey Zhuk
KU Leuven- Faculty of Economics & Business and affiliation not provided to SSRN
Downloads 207 (268,555)
Citation 2

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credit cycle, lending standards, loan officers, attention allocation, capacity constraints, financial accelerators

6.

Unintended Consequences of the Global Derivatives Market Reform

Swiss Finance Institute Research Paper No. 20-02
Number of pages: 65 Posted: 14 Jan 2020 Last Revised: 06 Nov 2023
Université Lyon 1 - Ecole Normale Supérieure (ENS) de Lyon, KU Leuven- Faculty of Economics & Business, University of Lausanne and University of Zurich - Department Finance
Downloads 205 (273,384)
Citation 1

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Bank regulation, Regulatory arbitrage, OTC Markets, Derivatives, Crossborder financial institutions, Financial risk.

Optimal Bank Capitalization in Crowded Markets

Number of pages: 52 Posted: 02 Oct 2015 Last Revised: 11 Dec 2017
Christoph Bertsch and Mike Mariathasan
Sveriges Riksbank - Research Division and KU Leuven- Faculty of Economics & Business
Downloads 77 (575,093)

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Bank capital, recapitalization, macroprudential regulation, incomplete markets, financial market segmentation, constrained inefficiency

Optimal Bank Leverage and Recapitalization in Crowded Markets

Number of pages: 62 Posted: 19 May 2016 Last Revised: 23 Dec 2020
Christoph Bertsch and Mike Mariathasan
Sveriges Riksbank - Research Division and KU Leuven- Faculty of Economics & Business
Downloads 71 (603,007)

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bank capital, recapitalization, macroprudential regulation, incomplete markets, financial market segmentation, constrained inefficiency

8.

The Real Effects of Banks' Corporate Credit Supply: A Literature Review

Number of pages: 92 Posted: 15 Oct 2019 Last Revised: 13 Dec 2020
Universitat Pompeu Fabra - Department of Economics and Business, KU Leuven- Faculty of Economics & Business, Ghent University - Faculty of Economics and Business Administration and KU Leuven - Faculty of Economics & Business
Downloads 146 (363,754)
Citation 2

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Credit supply; Corporate credit; Bank health; Real effects

9.

Firing Costs and Productivity: Evidence from a Natural Experiment

Number of pages: 98 Posted: 13 Dec 2022 Last Revised: 09 Sep 2023
Andrea Caggese, Ozan Güler, Mike Mariathasan and Klaas Mulier
Universitat Pompeu Fabra - Department of Economics and Business (DEB), Universitat Pompeu Fabra - Department of Economics and Business, KU Leuven- Faculty of Economics & Business and Ghent University - Faculty of Economics and Business Administration
Downloads 140 (375,952)

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firing costs, employment protection, productivity, misallocation

10.

Sharing the Burden Equally? Intra-Group Effects of Bank Capital Requirements

Number of pages: 49 Posted: 17 Jul 2023
Hans Degryse, Mike Mariathasan and Carola Theunisz
KU Leuven - Faculty of Business and Economics (FEB), KU Leuven- Faculty of Economics & Business and Frankfurt School of Finance and Management
Downloads 124 (413,033)

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capital requirements, credit supply, international shock transmission

11.

GSIB Status and Corporate Lending

Number of pages: 68 Posted: 23 Dec 2022
Hans Degryse, Mike Mariathasan and Thi Hien Tang
KU Leuven - Faculty of Business and Economics (FEB), KU Leuven- Faculty of Economics & Business and KU Leuven, Department Accounting, Finance and Insurance
Downloads 70 (598,940)

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GSIB, supervision, regulation, real effects

12.

Strategic Risk-Modelling by Banks: Evidence from Inside the Black Box

Number of pages: 52 Posted: 20 Dec 2023 Last Revised: 01 Apr 2024
Mike Mariathasan, Ouarda Merrouche and Elizaveta Sizova
KU Leuven- Faculty of Economics & Business, University of Lausanne and Norwegian School of Economics (NHH)
Downloads 42 (764,776)

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Financial Intermediaries, Capital Regulation, Value-at-Risk, Market Risk, Strategic Modelling

13.

The Manipulation of Basel Risk-Weights

CEPR Discussion Paper No. DP9494
Number of pages: 45 Posted: 30 May 2013
Mike Mariathasan and Ouarda Merrouche
KU Leuven- Faculty of Economics & Business and European University Institute
Downloads 10 (1,040,274)
Citation 20
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Basel II, capital regulation, internal ratings-based approach

14.

Unintended Consequences of the Global Derivatives Market Reform

CEPR Discussion Paper No. DP14802
Number of pages: 40 Posted: 28 May 2020
Université Paris Ouest - Nanterre, La Défense - EconomiX, KU Leuven- Faculty of Economics & Business, University of Lausanne and University of Zurich - Department Finance
Downloads 0 (1,120,022)
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Bank Regulation, Cross-border financial institutions, Derivatives, Financial risk, OTC markets, regulatory arbitrage