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Shaofang Li
Shaofang Li
faculty of Economics, University of Ljubljana
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Year
Characterization of the second-and third-order nonlinear optical susceptibilities of monolayer MoS2 using multiphoton microscopy
RI Woodward, RT Murray, CF Phelan, REP De Oliveira, TH Runcorn, ...
2D Materials 4 (1), 011006, 2016
1922016
Quality of bank capital and bank lending behavior during the global financial crisis
M Košak, S Li, I Lončarski, M Marinč
International review of financial analysis 37, 168-183, 2015
1442015
The use of financial derivatives and risks of U.S. bank holding companies
MM Shaofang Li
International Review of Financial Analysis 35, 46-71, 2014
892014
Biocompatibility and bioactivity of porous polymer-derived Ca-Mg silicate ceramics
L Fiocco, S Li, MM Stevens, E Bernardo, JR Jones
Acta biomaterialia 50, 56-67, 2017
622017
Quality of corporate social responsibility disclosure and cost of equity capital: Lessons from China
S Li, C Liu
Emerging Markets Finance and Trade 54 (11), 2472-2494, 2018
572018
The impact of bank regulation and supervision on competition: Evidence from emerging economies
S Li
Emerging Markets Finance and Trade 55 (10), 2334-2364, 2019
332019
Geopolitical risk and stock market volatility: A global perspective
Y Zhang, J He, M He, S Li
Finance Research Letters 53, 103620, 2023
292023
Banking sector reform, competition, and bank stability: an empirical analysis of transition countries
S Li
Emerging Markets Finance and Trade 55 (13), 3069-3093, 2019
292019
Economies of scale and scope in financial market infrastructures
S Li, M Marinč
Journal of International Financial Markets, Institutions and Money 53, 17-49, 2018
282018
Competition in the clearing and settlement industry
S Li, M Marinč
Journal of International Financial Markets, Institutions and Money 40, 134-162, 2016
142016
Bank competition, regulation, and efficiency: evidence from the Asia-Pacific region
S Li, X Li
Asia-Pacific Journal of Accounting & Economics 29 (3), 715-742, 2022
122022
Quality of bank capital, competition, and risk-taking: Some international evidence
S Li
Emerging Markets Finance and Trade 57 (12), 3455-3488, 2021
82021
Derivatives clearing and systemic risk
S Li, M Marinc
Available at SSRN 2734134, 2018
8*2018
Climate, geopolitical, and energy market risk interconnectedness: Evidence from a new climate risk index
Q Gu, S Li, S Tian, Y Wang
Finance Research Letters 58, 104392, 2023
62023
Measurement and contagion modelling of systemic risk in China's financial sectors: Evidence for functional data analysis and complex network
S Tian, S Li, Q Gu
International Review of Financial Analysis 90, 102913, 2023
42023
Why Do Banks Use Financial Derivatives?
S Li, M Marinč
Working Paper, 2013
42013
Financial Institutions in the Global Financial Crisis
S Li
Springer Books, 2018
32018
The extreme risk connectedness of the global financial system: G7 and BRICS evidence
N Chen, S Li, S Lu
Journal of Multinational Financial Management 69, 100812, 2023
22023
Bank Competition, Regulation, and Efficiency
S Li, S Li
Financial Regulation and Bank Performance, 133-178, 2021
22021
The use of financial derivatives and risks of US bank holding companies
S Li, S Li
Financial Institutions in the Global Financial Crisis: The Role of Financial …, 2018
22018
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