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Deniz Anginer

Associate Professor, Finance

Burnaby

Room: WMC 3335

Phone: 778.782.5835

Email: deniz_anginer@sfu.ca

Selected Publications

articles and reports

Anginer, D., Liu, J., Schipani, C. A., & Seyhun, H. N. (2020). Should the CEO Pay Ratio be Regulated? Journal of Corporation Law, 45(2), 471-514. http://proxy.lib.sfu.ca/login?url=https://search.ebscohost.com/login.aspx?direct=true&db=bth&AN=142732210&site=bsi-live&scope=site

Anginer, D., Demirguc-Kunt, A., & Mare, D. S. (2020). Bank Regulation and Risk in Europe and Central Asia Since the Global Financial Crisis. Risk Governance and Control: Financial Markets and Institutions, 10(1), 75-93. http://doi.org/10.22495/rgcv10i1p6

Anginer, D., Demirguc-Kunt, A., & Mare, D. S. (2020). Bank Capital and Risk in Europe and Central Asia Ten Years after the Crisis. The World Bank Group. https://papers.ssrn.com/sol3/papers.cfm?abstract_id=3528889

Anginer, D., & Bertay, A. C. (2019). Deposit insurance design and institutional environment. CESifo DICE Report, 17(1), 3-8.

Anginer, D., Demirguc-Kunt, A., Huizinga, H., & Ma, K. (2018). Corporate governance of banks and financial stability. Journal of Financial Economics, 130(2), 327-346. http://doi.org/10.1016/j.jfineco.2018.06.011

Anginer, D., Demirgüç-Kunt, A., & Mare, D. S. (2018). Bank capital, institutional environment and systemic stability. Journal of Financial Stability, 37, 97-106. http://doi.org/10.1016/j.jfs.2018.06.001

Anginer, D., & Yildizhan, Ç. (2018). Is there a distress risk anomaly? Pricing of systematic default risk in the cross-section of equity returns. Review of Finance, 22(2), 633-660. http://doi.org/10.1093/rof/rfx044

Anginer, D., Cerutti, E., & Martínez Pería, M. S. (2017). Foreign bank subsidiaries’ default risk during the global crisis: What factors help insulate affiliates from their parents? Journal of Financial Intermediation, 29, 19-31. http://doi.org/10.1016/j.jfi.2016.05.004

Anginer, D., Demirguc-Kunt, A., Huizinga, H., & Ma, K. (2016). Corporate governance and bank capitalization strategies. Journal of Financial Intermediation, 26, 1-27. http://doi.org/10.1016/j.jfi.2015.12.002

Anginer, D., & Warburton, A. J. (2014). The Chrysler effect: The impact of government intervention on borrowing costs. Journal of Banking and Finance, 40(1), 62-79. http://doi.org/10.1016/j.jbankfin.2013.11.006

Anginer, D., de la Torre, A., & Ize, A. (2014). Risk-bearing by the state: When is it good public policy? Journal of Financial Stability, 10(1), 76-86. http://doi.org/10.1016/j.jfs.2013.03.006

Anginer, D., Demirguc-Kunt, A., & Zhu, M. (2014). How does competition affect bank systemic risk? Journal of Financial Intermediation, 23(1), 1-26. http://doi.org/10.1016/j.jfi.2013.11.001

Anginer, D., Demirguc-Kunt, A., & Zhu, M. (2014). How does deposit insurance affect bank risk? Evidence from the recent crisis. Journal of Banking and Finance, 48, 312-321. http://doi.org/10.1016/j.jbankfin.2013.09.013

Anginer, D., & Demirguc-Kunt, A. (2014). Has the global banking system become more fragile over time? Journal of Financial Stability, 13, 202-213. http://doi.org/10.1016/j.jfs.2014.02.003

books chapters and monographs

Anginer, D., & Demirguc-Kunt, A. (2019). Bank Runs and Moral Hazard: A review of Deposit Insurance. In Berger, A. N., Molyneux, P., & Wilson, J. O. S. (Eds.), The Oxford Handbook of Banking (3rd edition). Oxford University Press. https://www.oxfordhandbooks.com/view/10.1093/oxfordhb/9780198824633.001.0001/oxfordhb-9780198824633-e-22

Anginer, D., Cerutti, E., & Peria, M. S. M. (2016). The transmission of bank default risk during the global financial crisis. The Future of Large, Internationally Active Banks (pp. 237-258). World Scientific Publishing. http://doi.org/10.1142/9789813141391_0016

Anginer, D., Demirgüç-Kunt, A., Demirguc-Kunt, A., Huizinga, H., & Ma, K. (2016). Corporate governance and bank risk taking. The Future of Large, Internationally Active Banks (pp. 349-370). World Scientific Publishing. http://doi.org/10.1142/9789813141391_0021

Anginer, D., Colville, A., Di Maro, V., Kanz, M., Legovini, A., Piza, C., & Zwager, A. (2014). Understanding and improving household investment behavior in Brazil A stock market simulator as a learning-by-doing financial literacy tool. Enhancing financial capability and behavior in low- and middle-income countries (pp. 105-138). The World Bank Group. http://documents.worldbank.org/curated/en/870211468159324306/Enhancing-financial-capability-and-behavior-in-low-and-middle-income-countries

Anginer, D., de la Torre, A., & Ize, A. (2013). Revisiting the Case or Public Guarantees: A Frictions-Based Approach. Emerging issues in financial development : lessons from Latin America (pp. 317-348). The World Bank Group. http://documents.worldbank.org/curated/en/869791468017360153/Emerging-issues-in-financial-development-lessons-from-Latin-America