Journal of Financial Management, Markets and Institutions (JFMMI)
2018 - 2026
Current editor(s): Santiago Carbo-Valverde
From World Scientific Publishing Co. Pte. Ltd.
Bibliographic data for series maintained by Tai Tone Lim ().
Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 14, issue 01, 2026
- THE IMPACT OF THE SINGLE SUPERVISORY MECHANISM ON THE READABILITY OF THE EUROPEAN BANKS’ ANNUAL REPORTS pp. 1-34

- Ana Luísa Silva and Carlos Francisco Alves
- TRUST, SOCIAL CAPITAL AND ESG PERFORMANCE: AN EMPIRICAL ANALYSIS ON EUROPEAN BANKS pp. 1-19

- Carlo Bellavite Pellegrini and Andrea Roncella
- EXAMINING THE IMPACT OF SUSTAINABILITY PRACTICES ON THE LIKELIHOOD OF ENVIRONMENTAL PENALTIES: EVIDENCE FROM S&P 500 COMPANIES pp. 1-23

- Daniela Lo Cascio and Mauro Aliano
- CRISIS COMMUNICATION ON LINKEDIN: HOW CEO CONTENTS ON COVID-19 AFFECT SME MARKET OUTCOMES pp. 1-15

- Gennaro de Novellis, Umberto Filotto, Dario Sgrulletti and Gian Paolo Stella
- EDITORIAL NOTE — ISSUE 1/2026: THE SSM TURNS TEN: CHALLENGES AND OPPORTUNITIES FOR THE BANKING SYSTEM pp. 1-6

- Vincenzo Capizzi, Natalia Andries, Steve Billon, Laura Chiaramonte, Saverio Giorgio and Binru Zhao
- THE IMPACT OF THE SINGLE SUPERVISORY MECHANISM ON EUROPEAN BANKS: MICRO EVIDENCE FROM A DECADE OF DATA pp. 1-22

- Tommaso Perniola
Volume 13, issue 02, 2025
- THE INFORMATION POWER OF SOCIAL MEDIA FOR INVESTMENT DECISIONS: AN AI-DRIVEN ANALYSIS OF REDDIT POSTS pp. 1-35

- Paola Bongini, Monica Rossolini, Andrea Maurino and Francesco Osborne
- BANK GREEN TRANSITION OR GREENWASHING? HOW TRULY GREEN ARE THE PROJECTS FINANCED BY GREEN BONDS ISSUED BY EUROPEAN BANKS? pp. 1-29

- Nicholas Apergis, Giuseppina Chesini and Thomas Poufinas
- INSURANCE AGAINST NATURAL CATASTROPHE RISKS: PARTNERSHIP CLIMATE-WISE PRODUCT pp. 1-23

- Giampiero Maci and Iryna Nyenno
- WHEN WORDS BACKFIRE: TONE MANAGEMENT AND CRASH RISK IN BANKING pp. 1-26

- Antonio Meles, Luigi Raffaele Pellegrino and Federico Giovanni Rega
- BANK HOLDING COMPANIES’ EARNINGS MANAGEMENT LEADING UP TO REGULATORY CHANGES AFTER THE 2007–2009 GLOBAL FINANCIAL CRISIS pp. 1-28

- Qiuhong Zhao and Donald R. Deis
- EDITORIAL NOTE — ISSUE 2/2025 pp. 1-4

- Vincenzo Capizzi
Volume 13, issue 01, 2025
- RELEVANT TOPICS IN THE FINANCIAL WELL-BEING LITERATURE pp. 1-23

- Monica Rosciano and Maria Grazia Starita
- BEYOND TRADITIONAL METRICS: ESG AND FINANCIAL PERFORMANCE IN INNOVATION-DRIVEN SECTORS pp. 1-23

- Annalisa Ferrari, Federico Cini and Rosella Castellano
- THE IMPACT OF GENDER DIVERSITY ON M&A PROCESS RESULTS pp. 1-28

- Erica Andreassi, Gimede Gigante and Emiliano Sironi
- EDITORIAL NOTE — ISSUE 1/2025 pp. 1-3

- Vincenzo Capizzi
- ENHANCING CUSTOMERS’ ESG INVESTMENTS: KEY FACTORS SHAPING FINANCIAL ADVISORS’ RECOMMENDATIONS pp. 1-34

- Paola Bongini, Doriana Cucinelli and Monica Rossolini
- DOES CORRUPTION-RELATED DISCLOSURE TRIGGER MARKET DISCIPLINE? EVIDENCE FROM THE BANKING SECTOR OF THE GIPSI COUNTRIES pp. 1-41

- Pablo de Andrã‰s, Salvatore Polizzi, Enzo Scannella and Nuria Suã Rez
Volume 12, issue 02, 2024
- ON THE RELATIONSHIP BETWEEN FINANCIAL AND SUSTAINABLE VARIABLES: INSIGHTS FROM GRAPHICAL GAUSSIAN MODEL pp. 1-25

- Carmine Da Fermo, Paola Musile Tanzi, Marco Nicolosi and Elena Stanghellini
- PUBLIC CREDIT GUARANTEES AND BANKING SYSTEM: THE ITALIAN CASE DURING COVID-19 EMERGENCY pp. 1-25

- Alberto Banfi, Alberto Marchesi and Francesca Pampurini
- MONEY ATTITUDES, BUDGETING AND HABITS pp. 1-18

- Adrian Furnham and FENTON-O’CREEVY Mark
- RISK-BASED CONTRIBUTION IN DEPOSIT GUARANTEE SCHEMES: A ROBUST PRINCIPAL COMPONENT ANALYSIS IN KEY RISK FACTORS’ WEIGHTING STEP pp. 1-34

- Saverio Giorgio, Pina Murãˆ, Cosimo Paccione and Lucilla Bittucci
- EDITORIAL NOTE — ISSUE 2/2024 pp. 1-3

- Vincenzo Capizzi
- A TURNING POINT FOR BANKING: UNRAVELING THE CHANGING LANDSCAPE OF BANKING ACTIVITY IN EUROPE SINCE THE COVID-19 PANDEMIC pp. 1-38

- Andrea Bellucci and Gianluca Gucciardi
Volume 12, issue 01, 2024
- THE EFFECT OF MERGERS AND ACQUISITIONS ON BANK RISK-TAKING pp. 1-29

- Lu Wang
- THE IMPACT OF SFAS166/167 ON BANK LIQUIDITY AND LENDING pp. 1-29

- Qiuhong Zhao and Dana A. Forgione
- THE EFFICIENCY OF THE NETWORK ORGANIZATIONAL STRUCTURE OF COOPERATIVE BANKS pp. 1-26

- Andrea Viola
- EDITORIAL NOTE — ISSUE 1/2024 pp. 1-4

- Vincenzo Capizzi
- DOES BREXIT MATTER FOR FIRMS’ INNOVATION? pp. 1-17

- Flavio Pichler and Stefano Piserã€
- FINANCIAL INNOVATION: THE IMPACT OF BLOCKCHAIN TECHNOLOGIES ON FINANCIAL INTERMEDIARIES pp. 1-21

- Nicola Del Sarto, Lorenzo Gai and Federica Ielasi
Volume 11, issue 02, 2023
- SUSTAINABILITY REPORTING: EVIDENCE FROM GLOBAL SYSTEMICALLY IMPORTANT BANKS (G-SIBs) pp. 1-21

- Graziana Galeone, Simona Ranaldo, Matilda Shini and Grazia Dicuonzo
- GREEN FINANCE: PAST, PRESENT AND FUTURE STUDIES pp. 1-19

- Matteo Palmaccio, Graziana Galeone, Matilda Shini and Francesco Campobasso
- ANALYZING BANKS’ PERFORMANCE DURING THE RECENT BREAKDOWNS. WHAT WERE THE MAIN DRIVERS? pp. 1-16

- Vincenzo Pacelli, Francesca Pampurini and Anna Grazia Quaranta
- EDITORIAL NOTE — CLIMATE RISK AND SUSTAINABILITY: EMERGING IMPACTS AND FUTURE PERSPECTIVES FOR FINANCIAL INTERMEDIARIES pp. 1-12

- Vincenzo Capizzi, Stefano Dell’Atti and Pasquale di Biase
- RISK MAPPING AS A FORM OF BANKING IMMUNITY RESPONSE TO COVID-19 PANDEMIC pp. 1-22

- Stefania Sylos Labini and Iryna Nyenno
- IN MEMORY OF — ANTONIO DELL’ATTI: THE MAN, THE ACADEMIC, THE PROFESSIONAL pp. 1-2

- Vincenzo Capizzi, Stefano Dell’Atti and Pasquale di Biase
- HOW MUCH IMPACT DO BANKS AND INSURANCE COMPANIES HAVE ON THE ENVIRONMENT? EVIDENCE FROM ITALY pp. 1-27

- D’APOLITO Elisabetta, Pasquale Di Biase and Stefania Sylos Labini
Volume 11, issue 01, 2023
- BIBLIOMETRIC ANALYSIS ON BIG DATA APPLICATIONS IN INSURANCE SECTOR: PAST, PRESENT, AND FUTURE RESEARCH DIRECTIONS pp. 1-43

- Sunita Mall, Tushar Ranjan Panigrahi and Sushma Verma
- CHANGES IN RESEARCH AND DEVELOPMENT DURING FINANCIAL DISTRESS: EMPIRICAL EVIDENCE FROM THE 2007–2008 FINANCIAL CRISIS pp. 1-15

- Jitka Hilliard and Haoran Zhang
- THE IMPACT OF EU TAXONOMY ON CORPORATE INVESTMENTS pp. 1-32

- Caterina Lucarelli, Camilla Mazzoli, Michela Rancan and Sabrina Severini
- EDITORIAL NOTE — ISSUE 1/2023 pp. 1-3

- Vincenzo Capizzi
- ABSOLUTE OR RELATIVE: THE DARK SIDE OF FUND RATING SYSTEMS pp. 1-30

- Emanuele Maria Carluccio, Paolo Antonio Cucurachi and Ugo Pomante
- HOW CORPORATE PENSIONS AFFECT STOCK RETURNS: THE ROLE OF R&D EXPENDITURES pp. 1-30

- M. Kabir Hassan, M. Sydul Karim, Alberto Dreassi and Andrea Paltrinieri
Volume 10, issue 02, 2022
- ACADEMICS IN THE BOARDROOM: THE EFFECT OF A GENDER QUOTA REGULATION pp. 1-14

- Paola de Vincentiis and Noemi Oggero
- EDITORIAL NOTE — ISSUE 2/2022 pp. 1-3

- Vincenzo Capizzi
- DISTRIBUTION CHANNELS AND FINANCIAL ADVERTISING IN THE ITALIAN ASSET MANAGEMENT MARKET pp. 1-22

- Riccardo Ferretti, Emanuela Giacomini and Francesca Pancotto
- PUBLICATION TRENDS AND JOURNAL RANKING: INSIGHTS FROM THE ITALIAN BANKING AND FINANCE RESEARCH COMMUNITY pp. 1-22

- Gabriele Sampagnaro
- DO FIELD PARTNERS ADD VALUE TO CROWDFUNDED MICROFINANCE? AN INDUSTRY APPROACH pp. 1-26

- Roberto Moro-Visconti, Salvador Cruz Rambaud and Joaquã N Lã“pez Pascual
- PERSONAL FINANCIAL MANAGEMENT BEHAVIOR USING DIGITAL PLATFORMS AND ITS DOMAINS pp. 1-26

- Neetu Chhillar and Swaranjeet Arora
Volume 10, issue 01, 2022
- CIRCULAR ECONOMY AND DEFAULT RISK pp. 1-24

- Claudio Zara and Shyaam Ramkumar
- CAN HIGH-TECH INVESTMENTS IMPROVE BANKING EFFICIENCY? pp. 1-19

- Giuliana Borello, Francesca Pampurini and Anna Grazia Quaranta
- SUBJECTIVE VALUATION AND TARGET PRICE ACCURACY pp. 1-31

- Stefano Bonini, Vincenzo Capizzi and Alexander Kerl
- THE IMPACT OF RESERVES PRACTICES ON BANK OPACITY pp. 1-26

- Giuliano Iannotta and Simon Kwan
- CULTURE AND THE PERFORMANCE OF MICROFINANCE INSTITUTIONS pp. 1-30

- Tony Anyangwe, Annabel Vanroose and Ashenafi Fanta
- EDITORIAL NOTE — ISSUE 1/2022 pp. 1-3

- Vincenzo Capizzi