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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 3, issue 4, 2007

Financial sector structure and financial crisis burden pp. 295-323 Downloads
George Mavrotas and Dmitri Vinogradov
Pre-positioning for effective resolution of bank failures pp. 324-341 Downloads
Ian Harrison, Steve Anderson and James Twaddle
Loss coverage and stress testing mortgage portfolios: A non-parametric approach pp. 342-367 Downloads
Adolfo Rodriguez and Carlos Trucharte
Evergreening in banking pp. 368-393 Downloads
J.-P. Niinimaki

Volume 3, issue 3, 2007

Financial distress and resolution: Introduction to the focused issue pp. 195-197 Downloads
Kose John
When are preferred shares preferred? Theory and empirical evidence pp. 198-237 Downloads
S. Abraham Ravid, Itzhak Venezia, Aharon Ofer, Vicente Pons and Shlomith Zuta
Debtor-in-possession financing and the resolution of uncertainty in Chapter 11 reorganizations pp. 238-260 Downloads
Upinder S. Dhillon, Thomas Noe and Gabriel Ramirez
Who survives? A cross-country comparison pp. 261-278 Downloads
Sandeep Dahiya and Leora Klapper
An examination of multiple plans in Chapter 11 reorganizations pp. 279-293 Downloads
Maria Carapeto

Volume 3, issue 2, 2007

A market-based framework for bankruptcy prediction pp. 85-131 Downloads
Alexander S. Reisz and Claudia Perlich
Slippery slopes of stress: Ordered failure events in German banking pp. 132-148 Downloads
Thomas Kick and Michael Koetter
The mixed blessing of IMF intervention: Signalling versus liquidity support pp. 149-174 Downloads
Sanne Zwart
Effects of exchange rate depreciation on commercial bank failures in Indonesia pp. 175-193 Downloads
Sahminan Sahminan

Volume 3, issue 1, 2007

Debt restructurings, holdouts, and exit consents pp. 1-17 Downloads
Kenneth Daniels and Gabriel Ramirez
Aggregate liquidity shortages, idiosyncratic liquidity smoothing and banking regulation pp. 18-32 Downloads
Wolf Wagner
Phoenix rising: Legal reforms and changes in valuations in Finland during the economic crisis pp. 33-58 Downloads
Timo Korkeamaki, Yrjö Koskinen and Tuomas Takalo
Are twin currency and debt crises special? pp. 59-84 Downloads
Christian Bauer, Bernhard Herz and Volker Karb

Volume 2, issue 4, 2007

Obituary pp. 311-(null) Downloads
Gerard Caprio, Iftekhar Hasan, William C. Hunter and George G. Kaufman
Deposit interest rates, asset risk and bank failure in Croatia pp. 312-336 Downloads
Evan Kraft and Tomislav Galac
Financial stability reviews: A first empirical analysis pp. 337-355 Downloads
Sander Oosterloo, Jakob de Haan and Richard Jong-A-Pin
Banking deregulation and credit risk: Evidence from the EU pp. 356-390 Downloads
Xiaofen Chen
Comovements in the equity prices of large complex financial institutions pp. 391-411 Downloads
Christian Hawkesby, Ian Marsh and Ibrahim Stevens

Volume 2, issue 3, 2006

Foreign banks in emerging market crises: Evidence from Malaysia pp. 217-242 Downloads
Enrica Detragiache and Poonam Gupta
Measuring financial stress in a developed country: An application to Canada pp. 243-265 Downloads
Mark Illing and Ying Liu
Problem bank loans, conflicts of interest, and institutions pp. 266-285 Downloads
Janice Boucher Breuer
Market discipline in international banking regulation: Keeping the playing field level pp. 286-310 Downloads
Adrian Pop

Volume 2, issue 2, 2006

A comparative analysis of macro stress-testing methodologies with application to Finland pp. 113-151 Downloads
Marco Sorge and Kimmo Virolainen
Defining and achieving financial stability pp. 152-172 Downloads
William Allen and Geoffrey Wood
Credit risk transfer and financial sector stability pp. 173-193 Downloads
Wolf Wagner and Ian Marsh
Costs of financial instability, household-sector balance sheets and consumption pp. 194-216 Downloads
Ray Barrell, E Davis and Olga Pomerantz

Volume 2, issue 1, 2006

Volume 1: Recap and goals pp. iii-iv Downloads
Iftekhar Hasan, W. Curt Hunter and George G. Kaufman
Contagion in international bond markets during the Russian and the LTCM crises pp. 1-27 Downloads
Mardi Dungey, Renee Fry-McKibbin, Brenda Gonzalez-Hermosillo and Vance Martin
Assessing central bank credibility during the ERM crises: Comparing option and spot market-based forecasts pp. 28-54 Downloads
Markus Haas, Stefan Mittnik and Bruce Mizrach
Derivatives and systemic risk: Netting, collateral, and closeout pp. 55-70 Downloads
Robert R. Bliss and George G. Kaufman
Managerial incentives, derivatives and stability pp. 71-94 Downloads
Kose John and Teresa A. John
Monetary policy and financial stability: What role for the futures market? pp. 95-112 Downloads
Edward Driffill, Zeno Rotondi, Paolo Savona and Cristiano Zazzara

Volume 1, issue 4, 2005

Imperfect financial contracting and macroeconomic stability pp. 451-465 Downloads
Thomas Steinberger
How accounting and auditing systems can counteract risk-shifting of safety-nets in banking: Some international evidence pp. 466-500 Downloads
Ana I. Fernandez and Francisco Gonzalez
The new Capital Accord and banks' lending decisions pp. 501-521 Downloads
Fabrizio Fabi, Sebastiano Laviola and Paolo Marullo Reedtz
Highwaymen or heroes: Should hedge funds be regulated?: A survey pp. 522-543 Downloads
Jon Danielsson, Ashley Taylor and Jean-Pierre Zigrand

Volume 1, issue 3, 2005

Introduction to the journal of financial stability issue on regulation and financial stability pp. 275-278 Downloads
Gerald Dwyer
Bank runs, welfare and policy implications pp. 279-307 Downloads
Haibin Zhu
Exploring interactions between real activity and the financial stance pp. 308-341 Downloads
Tor Jacobson, Jesper Lindé and Kasper Roszbach
Bank stability and transparency pp. 342-354 Downloads
Erlend W. Nier
Do credit rating agencies add to the dynamics of emerging market crises? pp. 355-385 Downloads
Roman Kräussl
Resolving large financial intermediaries: Banks versus housing enterprises pp. 386-425 Downloads
Larry Wall, Robert Eisenbeis and W Frame
Comment on "Bank runs, welfare and policy implications" by Haibin Zhu pp. 426-432 Downloads
Margarita Samartin
Comment on "Exploring interactions between real activity and the financial stance" by Tor Jacobson, Jesper Linde, and Kasper Roszbach pp. 433-434 Downloads
Charles Evans
Comment on "Banking stability and transparency" by Erlend Nier pp. 435-437 Downloads
Gerald Dwyer
Comment on "Do credit rating agencies add to the dynamics of emerging market crises?" by Roman Kraussl pp. 438-446 Downloads
S. Nuri Erbas
Comment on "Resolving large financial intermediaries: Banks versus housing enterprises" by Eisenbeis et al pp. 447-450 Downloads
Susan Wachter

Volume 1, issue 2, 2004

The subordinated debt alternative to Basel II pp. 137-155 Downloads
Richard J. Herring
Europe's single market for financial services: views by the European Shadow Financial Regulatory Committee pp. 157-198 Downloads
Harald A. Benink and Reinhard Schmidt
Designing financial regulatory policies that work for Latin America: the role of markets and institutions: Views from the Latin American Shadow Financial Regulatory Committee pp. 199-228 Downloads
Pablo Guidotti, Liliana Rojas-Suarez and Roberto Zahler
Financial regulation in Japan: a sixth year review of the Financial Services Agency pp. 229-243 Downloads
Takeo Hoshi and Takatoshi Ito
Comments on "Financial Regulation in Japan: a sixth year review of the Financial Services Agency" by Takeo Hoshi and Takatoshi Ito pp. 245-246 Downloads
Thomas Cargill
Banking regulation: shadow views pp. 247-249 Downloads
Gerard Caprio
Discussion of shadow reports pp. 251-256 Downloads
Edward Kane
Central banks and financial stability: a survey pp. 257-273 Downloads
Sander Oosterloo and Jakob de Haan

Volume 1, issue 1, 2004

A model to analyse financial fragility: applications pp. 1-30 Downloads
Charles A. E. Goodhart, Pojanart Sunirand and Dimitrios Tsomocos
Alternatives to blanket guarantees for containing a systemic crisis pp. 31-63 Downloads
Edward Kane and Daniela Klingebiel
Corporate financial structure and financial stability pp. 65-91 Downloads
E Davis and Mark Stone
Macroeconomic shocks and banking supervision pp. 93-110 Downloads
Jean Rochet
Accounting and prudential regulation: from uncomfortable bedfellows to perfect partners? pp. 111-135 Downloads
Claudio Borio and Kostas Tsatsaronis
Page updated 2025-04-21