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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 24, issue C, 2016

Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods pp. 1-11 Downloads
Asma Mobarek, Yaz Muradoglu, Sabur Mollah and Ai Jun Hou
The resurgence of cultural borders during the financial crisis: The changing geography of Eurozone cross-border depositing pp. 12-26 Downloads
Harald Sander, Stefanie Kleimeier and Sylvia Heuchemer
Inflation volatility effects on the allocation of bank loans pp. 27-39 Downloads
Mustafa Caglayan and Bing Xu
Who needs credit and who gets credit? Evidence from the surveys of small business finances pp. 40-60 Downloads
Rebel Cole and Tatyana Sokolyk
Non-linearities in financial bubbles: Theory and Bayesian evidence from S&P500 pp. 61-70 Downloads
Panayotis Michaelides, Mike Tsionas and Konstantinos Konstantakis
What is the systemic risk exposure of financial institutions? pp. 71-87 Downloads
John Sedunov
Accounting accruals, heterogeneous investor beliefs, and stock returns pp. 88-103 Downloads
Emma Y. Peng, An Yan and Meng Yan
Foreign bank presence and business regulations pp. 104-116 Downloads
Georgios Kouretas and Chris Tsoumas
Credit rating agency downgrades and the Eurozone sovereign debt crises pp. 117-131 Downloads
Christopher Baum, Dorothea Schäfer and Andreas Stephan
Financial openness, risk and bank efficiency: Cross-country evidence pp. 132-148 Downloads
Yun Luo, Sailesh Tanna and Glauco De Vita
Debt and austerity: Post-crisis lessons from Ireland pp. 149-157 Downloads
Patrick Honohan
Will TLAC regulations fix the G-SIB too-big-to-fail problem? pp. 158-169 Downloads
Paul Kupiec

Volume 23, issue C, 2016

Social trust and foreign ownership: Evidence from qualified foreign institutional investors in China pp. 1-14 Downloads
Dawei Jin, Haizhi Wang, Peng Wang and Desheng Yin
Does Basel compliance matter for bank performance? pp. 15-32 Downloads
Rym Ayadi, Sami Ben Naceur, Barbara Casu and Barry Quinn
Does banking system transparency enhance bank competition? Cross-country evidence pp. 33-50 Downloads
Irina Andrievskaya and Maria Semenova
Fragmentation and heterogeneity in the euro-area corporate bond market: Back to normal? pp. 51-61 Downloads
Andrea Zaghini
A comprehensive approach to measuring the relation between systemic risk exposure and sovereign debt pp. 62-78 Downloads
Michael S. Pagano and John Sedunov
Model risk of risk models pp. 79-91 Downloads
Jon Danielsson, Kevin R. James, Marcela Valenzuela and Ilknur Zer

Volume 22, issue C, 2016

The good, the bad and the impaired: A credit risk model of the Irish mortgage market pp. 1-9 Downloads
Robert Kelly and O’Malley, Terence
Regime-dependent determinants of Euro area sovereign CDS spreads pp. 10-21 Downloads
Hans Blommestein, Sylvester Eijffinger and Zongxin Qian
TARP announcement, bank health, and borrowers’ credit risk pp. 22-32 Downloads
Wei-Ling Song and Cihan Uzmanoglu
CDS pricing and accounting disclosures: Evidence from U.S. bank holding corporations around the recent financial crisis pp. 33-44 Downloads
Kiridaran Kanagaretnam, Gaiyan Zhang and Sanjian Bill Zhang
Central bank transparency and financial stability pp. 45-56 Downloads
Roman Horvath and Dan Vaško
Business models and bank performance: A long-term perspective pp. 57-75 Downloads
Frederik Mergaerts and Rudi Vander Vennet
Does monitoring by the media improve the performance of government banks? pp. 76-87 Downloads
Po-Hsin Ho, Hung-Kun Chen, Chih-Yung Lin and Che-Wei Chi
Internet finance development and banking market discipline: Evidence from China pp. 88-100 Downloads
Xiaohui Hou, Zhixian Gao and Qing Wang
Banking stability, competition, and economic volatility pp. 101-120 Downloads
Ana I. Fernández, Francisco González and Nuria Suárez
Bankers’ stock options, risk-taking and the financial crisis pp. 121-128 Downloads
Marizah Minhat and Mazni Abdullah
The effects of margin changes on commodity futures markets pp. 129-152 Downloads
Charoula Daskalaki and George Skiadopoulos

Volume 21, issue C, 2015

Bank loan announcements and borrower stock returns before and during the recent financial crisis pp. 1-12 Downloads
Chunshuo Li and Steven Ongena
The effects of government capital and liquidity support programs on bank lending: Evidence from the syndicated corporate credit market pp. 13-25 Downloads
Deming Wu
Predictability of stock returns of financial companies and the role of investor sentiment: A multi-country analysis pp. 26-45 Downloads
Anjeza Kadilli
Bank consolidation and stability: The Canadian experience, 1867–1935 pp. 46-60 Downloads
Kam Hon Chu
The impact of macroeconomic and financial stress on the U.S. financial sector pp. 61-80 Downloads
William J. Hippler and M. Kabir Hassan
Debt deflation effects of monetary policy pp. 81-94 Downloads
Li Lin, Dimitrios Tsomocos and Alexandros P. Vardoulakis
The determinants of CDS open interest dynamics pp. 95-109 Downloads
Paulo Silva, Carlos Vieira and Isabel Vieira

Volume 20, issue C, 2015

Macroeconomic effects on emerging-markets sovereign credit spreads pp. 1-13 Downloads
Ephraim Clark and Konstantinos Kassimatis
Risk aversion and monetary policy in a global context pp. 14-35 Downloads
Juan M. Nave and Javier Ruiz
The impact of securitization on credit rationing: Empirical evidence pp. 36-50 Downloads
Santiago Carbo-Valverde, Hans Degryse and Francisco Rodríguez-Fernández
Market discipline by bank creditors during the 2008–2010 crisis pp. 51-69 Downloads
Rosalind Bennett, Vivian Hwa and Myron L. Kwast
The multi-layer network nature of systemic risk and its implications for the costs of financial crises pp. 70-81 Downloads
Sebastian Poledna, José Luis Molina-Borboa, Serafín Martínez-Jaramillo, Marco van der Leij and Stefan Thurner
Trust, happiness, and households’ financial decisions pp. 82-92 Downloads
Manthos Delis and Nikolaos Mylonidis
Banking-industry specific and regional economic determinants of non-performing loans: Evidence from US states pp. 93-104 Downloads
Amit Ghosh
Assessing systemic risk using interbank exposures in the global banking system pp. 105-130 Downloads
Masayasu Kanno
How should we measure bank capital adequacy for triggering Prompt Corrective Action? A (simple) proposal pp. 131-143 Downloads
Lucy Chernykh and Rebel Cole
Executives’ professional ties along the supply chain: The impact on partnership sustainability and firm risk pp. 144-154 Downloads
Jiong Sun and Yiwei Fang
Deposit insurance around the world: A comprehensive analysis and database pp. 155-183 Downloads
Asli Demirguc-Kunt, Edward Kane and Luc Laeven
Can the “Single Point of Entry” strategy be used to recapitalize a systemically important failing bank? pp. 184-197 Downloads
Paul Kupiec and Peter Wallison

Volume 19, issue C, 2015

Financial stress spillovers across the banking, securities and foreign exchange markets pp. 1-21 Downloads
George Apostolakis and Athanasios Papadopoulos
How banks respond to Central Bank supervision: Evidence from Brazil pp. 22-30 Downloads
João André C. Marques Pereira and Richard Saito
Bank market power, factor reallocation, and aggregate growth pp. 31-44 Downloads
Robert Inklaar, Michael Koetter and Felix Noth
SME recovery following a financial crisis: Does debt overhang matter? pp. 45-59 Downloads
Martina Lawless, O’Connell, Brian and O’Toole, Conor
Adjusting denominators of capital ratios: Evidence from Japanese banks pp. 60-68 Downloads
Katsutoshi Shimizu
Foreign participation and banking competition: Evidence from the Indonesian banking industry pp. 70-82 Downloads
Tri Mulyaningsih, Anne Daly and Riyana Miranti
Political connections, bank deposits, and formal deposit insurance pp. 83-104 Downloads
Emmanuelle Nys, Amine Tarazi and Irwan Trinugroho
Finance and growth: Time series evidence on causality pp. 105-118 Downloads
Oana Peia and Kasper Roszbach
Do capital requirements affect cost efficiency? Evidence from China pp. 119-127 Downloads
Pierre Pessarossi and Laurent Weill
Testing the global banking glut hypothesis pp. 128-151 Downloads
Maria Teresa Punzi and Karlo Kauko
Page updated 2025-04-21