@incollection{, 9871E516BDBB37DBE1EFF940732D1334 , author={{Mai Thi PhuongThuy}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}20416 } @book{b0, , title={{}} , author={{ **statistically }} 1 } @book{b1, , title={{**statistically significant at 5%; *statistically significant at 10% Source: Calculation results by STATA 12}} } @incollection{b2, , title={{Excessive bank risk taking and monetary policy}} , author={{ IAgur } and { MDemertzis }} , journal={{European Central Bank Working Paper Series}} , year={2012. 1457} } @incollection{b3, , title={{Simple banking: Profitability and the yield curve}} , author={{ PAlessandri } and { BDNelson }} , journal={{Journal of Money, Credit and Banking}} 47 , year={2015} } @incollection{b4, , title={{Capital regulation, risktaking and monetary policy: A missing link in the transmission mechanism}} , author={{ CBorio } and { HZhu }} , journal={{Journal of Financial Stability}} 8 , year={2012} } @incollection{b5, , title={{Capital regulation, risktaking and monetary policy: A missing link in the transmission mechanism}} , author={{ CBorio } and { HZhu }} , journal={{Journal of Financial Stability}} 8 , year={2012} } @incollection{b6, , title={{Capital regulation, risktaking and monetary policy: A missing link in the transmission mechanism}} , author={{ CBorio } and { HZhu }} , journal={{Journal of Financial Stability}} 8 , year={2012} } @incollection{b7, , title={{Bank market power and monetary policy transmission}} , author={{ SNBrissimis } and { MDDelis } and { MIosifidi }} , journal={{International Journal of Central Banking}} 10 , year={2014} } @book{b8, , title={{Monetary policy and bank risk taking. IMF Staff Position Note}} , author={{ GDe Nicolò } and { GDell' Ariccia } and { LLaeven } and { FValencia }} SPN/10/09 , year={2010} } @incollection{b9, , title={{Interest rates and bank risk-taking}} , author={{ MDDelis } and { GKouretas }} , journal={{Journal of Banking and Finance}} 35 , year={2011} } @incollection{b10, , title={{Real interest rates, leverage, and bank risk-taking}} , author={{ GDell'ariccia } and { LLaeven } and { RMarquez }} , journal={{Journal of Economic Theory}} 149 , year={2014} } @incollection{b11, , title={{Lending booms and lending standards}} , author={{ GDell'ariccia } and { RMarquez }} , journal={{Journal of Finance}} 61 , year={2009} } @incollection{b12, , title={{Bank activity and funding strategies: The impact on risk and returns}} , author={{ ADemirgüç-Kunt } and { HHuizinga }} , journal={{Journal of Financial Economics}} 98 , year={2010} } @incollection{b13, , title={{Two targets, two instruments: Monetary and exchange rate policies in emerging market economies}} , author={{ ARGhosh } and { JDOstry } and { MChamon }} , journal={{Journal of International Money and Finance}} 60 , year={2016} } @incollection{b14, , title={{Creditor rights, information sharing, and bank risk taking}} , author={{ JFHouston } and { CLin } and { PLin } and { YMa }} , journal={{Journal of Financial Economics}} 96 , year={2010} } @incollection{b15, , title={{Hazardous times for monetary policy: What do twenty-three million bank loans say about the effects of monetary policy on credit risk-taking?}} , author={{ GJiménez } and { SOngena } and { JLPeydró } and { JSaurina }} , journal={{Econometrica}} 82 , year={2014} } @incollection{b16, , title={{The impact of monetary policy on bank balance sheets}} , author={{ AKKashyap } and { JCStein }} , journal={{Carnegie-Rochester Conference Series on Public Policy}} 42 , year={1995} } @incollection{b17, , title={{Bank governance, regulation and risk taking}} , author={{ LLaeven } and { RLevine } and { LLaeven } and { FValencia }} , journal={{Journal of Financial Economics}} 93 , year={2009. 2013} , note={IMF Economic Review} } @book{b18, , title={{Bank failures and bank insolvency law in economies in transition}} , author={{ RosaLastra } and { &Mariá } and { Schiffman } and { NHenry }} , year={1999} , publisher={Kluwer Law International} , address={The Hague; London} } @book{b19, , title={{Monetary policy and bank risk-taking: Evidence from emerging economies; Emerging Markets Review}} , author={{ MinghuaChen } and { JiWu B } and { RuiBang } and { Wang }} , year={2017. June} 31 } @book{b20, , title={{The Determinants of Bank Liquidity}} , editor={Mohamed Aymen Ben Moussa} , year={2015} , publisher={Case of Tunisia} } @incollection{b21, , title={{}} , journal={{International Journal of Economics and Financial Issues}} 5 1 , year={2015} } @book{b22, , title={{Monetary policy and bank risk-taking: Evidence from the corporate loan market}} , author={{ TPaligorova } and { JCSantos }} , year={2012} Federal Reserve Bank of New York Working Paper }