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Journal of Banking & Finance

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Total result: 266 articles

Page 1 of 4 Next page of results

Global financial services and a global single currency.
January 01, 2007

Corporate valuation around the world: the effects of governance, growt...
January 01, 2007

Financial contagion and the role of the central bank.
January 01, 2007

Firm value, illiquidity risk and liquidity insurance.
January 01, 2007

The liquidity of bank assets and banking stability.
January 01, 2007

A note on the importance of overnight information in risk management m...
January 01, 2007

Does market size structure affect competition? The case of small busin...
January 01, 2007

Stock exchange governance initiatives: Evidence from the Italian STARs...
January 01, 2007

Modelling the economic value of credit rating systems.
January 01, 2007

Hedge fund portfolio construction: a comparison of static and dynamic ...
January 01, 2007

Bank ownership and performance. Does politics matter?
January 01, 2007

Time-varying risk aversion and asset prices.
January 01, 2007

M&As performance in the European financial industry.
December 01, 2006

Fiscal adjustment in EU countries: a balance sheet approach.
December 01, 2006

The role of foreign currency debt in financial crises: 1880-1913 versu...
December 01, 2006

Decomposing the effects of financial liberalization: crises vs. growth...
December 01, 2006

Pricing growth-indexed bonds.
December 01, 2006

Real exchange rates in small open OECD and transition economies: compa...
December 01, 2006

Monetary and financial stability: here to stay?
December 01, 2006

Financial stability: a worthy goal, but how feasible?
December 01, 2006

Market discipline and deposit insurance reform in Japan.
December 01, 2006

The impact of mean reversion of bank profitability on post-merger perf...
December 01, 2006

A note on the Wang and Wang measure of the quality of the compass rose...
December 01, 2006

Earnings management at rights issues thresholds - evidence from China.
December 01, 2006

Market structure and competitive conditions in the Arab GCC banking sy...
December 01, 2006

Economic growth and the stability and efficiency of the financial sect...
December 01, 2006

Extreme spectral risk measures: an application to futures clearinghous...
December 01, 2006

A framework for assessing financial stability?
December 01, 2006

On the estimation and comparison of short-rate models using the genera...
November 01, 2006

Portfolio selection with a drawdown constraint.
November 01, 2006

Estimation of rating class transition probabilities with incomplete da...
November 01, 2006

Business environment and the incorporation decision.
November 01, 2006

Quantitative models for operational risk: extremes, dependence and agg...
October 01, 2006

On time-scaling of risk and the square-root-of-time rule.
October 01, 2006

Investor monitoring and differences in mutual fund performance.
October 01, 2006

The market value impact of operational loss events for US banks and in...
October 01, 2006

International transmission of inflation among G-7 countries:a data-det...
October 01, 2006

A note on the non-convexity problem in some shopping-time and human-ca...
October 01, 2006

Diversification benefits and persistence of US-based global bond funds...
October 01, 2006

The strategic use of corporate venture financing for securing demand.
October 01, 2006

Bank loan supply and monetary policy transmission in Germany: an asses...
October 01, 2006

Why firm access to the bond market differs over the business cycle: a ...
October 01, 2006

Credit channel, trade credit channel, and inventory investment: eviden...
October 01, 2006

Effects of large shareholding on information asymmetry and stock liqui...
October 01, 2006

Should banks own equity stakes in their borrowers? A contractual solut...
October 01, 2006

Macroeconomic announcements and asymmetric volatility in bond returns.
October 01, 2006

The history and performance of concept stocks.
September 01, 2006

Institutional ownership changes and returns around analysts' earnings ...
September 01, 2006

Competition on the Nasdaq and the growth of electronic communication n...
September 01, 2006

The dark side of diversification: the case of US financial holding com...
August 01, 2006

A credit risk model for large dimensional portfolios with application ...
August 01, 2006

Capital regulation, heterogeneous monitoring costs, and aggregate loan...
August 01, 2006

On the short-term predictability of exchange rates: a BVAR time-varyin...
August 01, 2006

Confidence intervals for probabilities of default.
August 01, 2006

Candlestick technical trading strategies: can they create value for in...
August 01, 2006

Valuation ratios and price deviations from fundamentals.
August 01, 2006

Portfolio implications of systemic crises.
August 01, 2006

A new measure of cross-sectional risk and its empirical implications f...
August 01, 2006

The forward bias in the ECU: Peso risks vs. fads and fashions.
August 01, 2006

Dynamics of realized volatilities and correlations: an empirical study...
July 01, 2006

Time-varying risk premia and the cross section of stock returns.
July 01, 2006

Dynamic depositor discipline in US banks.
July 01, 2006

Efficiency of the Polish banking industry: foreign versus domestic ban...
July 01, 2006

System identification in noisy data environments: an application to si...
July 01, 2006

The contribution of market makers to liquidity and efficiency of optio...
July 01, 2006

Sovereign credit ratings: guilty beyond reasonable doubt?
July 01, 2006

Switching costs and adverse selection in the market for credit cards: ...
June 01, 2006

Alternative measures of the Federal Reserve Banks' cost of equity capi...
June 01, 2006

How to fend off shoulder surfing.
June 01, 2006

Economies of scale and technological development in securities deposit...
June 01, 2006

Benefits from a changing payment technology in European banking.
June 01, 2006

The effect of heterogeneous risk on the early adoption of Internet ban...
June 01, 2006

The IMF in a world of private capital markets.
May 01, 2006

Bank concentration, competition, and crises: first results.
May 01, 2006

Are labour markets in the new member states sufficiently flexible for ...
May 01, 2006

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