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Journal of Financial Stability

2004 - 2025

Current editor(s): I. Hasan, W. C. Hunter and G. G. Kaufman

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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Volume 32, issue C, 2017

Monetary policy and macroprudential policy: Rivals or teammates? pp. 1-16 Downloads
Simona Malovana and Jan Frait
Style investing and firm innovation pp. 17-29 Downloads
Koray Sayili, Gokhan Yilmaz, Douglas Dyer and A. Melih Küllü
Dating systemic financial stress episodes in the EU countries pp. 30-56 Downloads
Thibaut Duprey, Benjamin Klaus and Tuomas Peltonen
Bank political connections and performance in China pp. 57-69 Downloads
Chi-Hsiou Hung, Yuxiang Jiang, Frank Hong Liu, Hong Tu and Senyu Wang
Systemic risk: A new trade-off for monetary policy? pp. 70-85 Downloads
Stefan Laséen, Andrea Pescatori and Jarkko Turunen
Stress tests and asset quality reviews of banks: A policy announcement tool pp. 86-98 Downloads
Valter Lazzari, Luigi Vena and Andrea Venegoni
Social capital and bank stability pp. 99-114 Downloads
Justin Yiqiang Jin, Kiridaran Kanagaretnam, Gerald J. Lobo and Robert Mathieu
Did the financial crisis affect the market valuation of large systemic U.S. banks? pp. 115-123 Downloads
Georgios Bertsatos, Plutarchos Sakellaris and Mike Tsionas
The macroeconomic relevance of bank and nonbank credit: An exploration of U.S. data pp. 124-141 Downloads
Alexander Herman, Deniz Igan and Juan Solé

Volume 31, issue C, 2017

Optimal equity infusions in interbank networks pp. 1-17 Downloads
Hamed Amini, Andreea Minca and Agnès Sulem
Political systems and the financial soundness of Islamic banks pp. 18-44 Downloads
Mohammad Bitar, M. Kabir Hassan and Thomas Walker
Does foreign bank penetration affect the risk of domestic banks? Evidence from emerging economies pp. 45-61 Downloads
Ji Wu, Minghua Chen, Bang Jeon and Rui Wang
Firm size, ownership structure, and systematic liquidity risk: The case of an emerging market pp. 62-80 Downloads
Ahmet Sensoy
The stock market effects of a securities transaction tax: Quasi-experimental evidence from Italy pp. 81-92 Downloads
Giuseppe Cappelletti, Giovanni Guazzarotti and Pietro Tommasino
On the exposure of insurance companies to sovereign risk—Portfolio investments and market forces pp. 93-106 Downloads
Robert Düll, Felix König and Jana Ohls
Economic stability under alternative banking systems: Theory and policy pp. 107-118 Downloads
Robert E. Krainer
Litigation and mutual-fund runs pp. 119-135 Downloads
Meijun Qian and Başak Tanyeri
Is there a gender effect on the cost of bank financing? pp. 136-153 Downloads
Danilo V. Mascia and Stefania P.S. Rossi
The evolution of the Federal Reserve’s Term Auction Facility and FDIC-insured bank utilization pp. 154-166 Downloads
Kyle D. Allen, Scott Hein and Matthew D. Whitledge
The effects of macroprudential policies on house prices: Evidence from an event study using Korean real transaction data pp. 167-185 Downloads
Hosung Jung and Jieun Lee

Volume 30, issue C, 2017

Investor protection and institutional investors’ incentive for information production pp. 1-15 Downloads
Sagi Akron and Taufique Samdani
What slice of the pie? The corporate bond market boom in emerging economies pp. 16-35 Downloads
Diana Ayala, Milan Nedeljkovic and Christian Saborowski
Why do banks choose to finance with equity? pp. 36-52 Downloads
Nonna Y. Sorokina, John Thornton and Ajay Patel
Political uncertainty and a firm's credit risk: Evidence from the international CDS market pp. 53-66 Downloads
Jinyu Liu and Rui Zhong
What is the net effect of financial liberalization on bank productivity? A decomposition analysis of bank total factor productivity growth pp. 67-78 Downloads
Sailesh Tanna, Yun Luo and Glauco De Vita
Peer bank behavior, economic policy uncertainty, and leverage decision of financial institutions pp. 79-91 Downloads
Chien-Chiang Lee, Chi-Chuan Lee, Jhih-Hong Zeng and Yu-Ling Hsu
Basel III capital buffer requirements and credit union prudential regulation: Canadian evidence pp. 92-110 Downloads
Helyoth Hessou and Van Son Lai
Does easing monetary policy increase financial instability? pp. 111-125 Downloads
Ambrogio Cesa-Bianchi and Alessandro Rebucci
Does prudential regulation contribute to effective measurement and management of interest rate risk? Evidence from Italian banks pp. 126-138 Downloads
Rosaria Cerrone, Rosa Cocozza, Domenico Curcio and Igor Gianfrancesco
Bank liquidity creation, monetary policy, and financial crises pp. 139-155 Downloads
Allen N. Berger and Christa H.S. Bouwman
The asymmetric relationship between returns and implied volatility: Evidence from global stock markets pp. 156-174 Downloads
Stelios Bekiros, Mouna Jlassi, Kamel Naoui and Gazi Uddin
The nexus of macroprudential supervision, monetary policy, and financial stability pp. 177-180 Downloads
Loretta Mester
What do a bank’s legal expenses reveal about its internal controls and operational risk? pp. 181-191 Downloads
James E. McNulty and Aigbe Akhigbe
Debt-overhang banking crises: Detecting and preventing systemic risk pp. 192-208 Downloads
Filippo Occhino
Assessing targeted macroprudential financial regulation: The case of the 2006 commercial real estate guidance for banks pp. 209-228 Downloads
William F. Bassett and W. Blake Marsh
Capital and resolution policies: The US interbank market pp. 229-239 Downloads
Agostino Capponi, John M. Dooley, Mikhail Oet and Stephen J. Ong

Volume 29, issue C, 2017

Credit risk interconnectedness: What does the market really know? pp. 1-12 Downloads
Puriya Abbassi, Christian Brownlees, Christina Hans and Natalia Podlich
Political institutions and bank risk-taking behavior pp. 13-35 Downloads
Badar Nadeem Ashraf
National culture and bank performance: Evidence from the recent financial crisis pp. 36-56 Downloads
Narjess Boubakri, Ali Mirzaei and Anis Samet
Institutional investment horizon, the information environment, and firm credit risk pp. 57-71 Downloads
Lorne Switzer and Jun Wang
Time varying contagion in EMU government bond spreads pp. 72-91 Downloads
Christian Leschinski and Philip Bertram
Macroprudential policy: A review pp. 92-105 Downloads
Mahdi Ebrahimi Kahou and Alfred Lehar
Managing price and financial stability objectives in inflation targeting economies in Asia and the Pacific pp. 106-116 Downloads
Soyoung Kim and Aaron Mehrotra

Volume 28, issue C, 2017

Is it obligor or instrument that explains recovery rate: Evidence from US corporate bond pp. 1-15 Downloads
Xiao Yao, Jonathan Crook and Galina Andreeva
Predicting sovereign debt crises: An Early Warning System approach pp. 16-28 Downloads
Mary Dawood, Nicholas Horsewood and Frank Strobel
Does bank supervision impact bank loan growth? pp. 29-48 Downloads
Paul Kupiec, Yan Lee and Claire Rosenfeld
Hedge fund return, volatility asymmetry, and systemic effects: A higher-moment factor-EGARCH model pp. 49-65 Downloads
Elyas Elyasiani and Iqbal Mansur
Competition, efficiency and soundness in European life insurance markets pp. 66-78 Downloads
J. David Cummins, María Rubio-Misas and Dev Vencappa
Credit derivatives and stock return synchronicity pp. 79-90 Downloads
Xuelian Bai, Nan Hu, Ling Liu and Lu Zhu
An analysis of the literature on systemic financial risk: A survey pp. 91-114 Downloads
Walmir Silva, Herbert Kimura and Vinicius Amorim Sobreiro
The attenuation effect of social media: Evidence from acquisitions by large firms pp. 115-124 Downloads
Mohamad Mazboudi and Samer Khalil
Monetary policy and financial stability in the long run: A simple game-theoretic approach pp. 125-142 Downloads
Jin Cao and Lorán Chollete
Cyclically adjusted provisions and financial stability pp. 143-162 Downloads
Pierre-Richard Agénor and Luiz Awazu Pereira da Silva
Does regulatory forbearance matter for bank stability? Evidence from creditors’ perspective pp. 163-180 Downloads
M. Mostak Ahamed and Sushanta Mallick
Comparative assessment of macroprudential policies pp. 183-202 Downloads
Valentina Bruno, Ilhyock Shim and Hyun Song Shin
The use and effectiveness of macroprudential policies: New evidence pp. 203-224 Downloads
Eugenio Cerutti, Stijn Claessens and Luc Laeven
Securitization and economic activity: The credit composition channel pp. 225-239 Downloads
Ata Bertay, Di Gong and Wolf Wagner
Leading indicators of financial stress: New evidence pp. 240-257 Downloads
Bořek Vašíček, Diana Zigraiova, Marco Hoeberichts, Robert Vermeulen, Katerina Smidkova and Jakob de Haan
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