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 (). Access Statistics for this journal.
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Volume 66, issue C, 2023
- Bank competition and credit risk: The case of Peru

- Jorge Pozo and Youel Rojas
- Unobserved components model estimates of credit cycles: Tests and predictions

- Andrew Hessler
- Do labor mobility restrictions affect debt maturity?

- Mong Shan Ee, He Huang and Mingying Cheng
- Bank safety-oriented culture and lending decisions

- Ning Tang, Amina Kamar, Chih-Yung Lin and Chien-Lin Lu
- Lender individualism and monitoring: Evidence from syndicated loans

- Theodora Bermpei, Degl’Innocenti, Marta, Antonios Nikolaos Kalyvas and Si Zhou
- Effects and Conduct of Macroprudential Policy in China

- Soyoung Kim, Seri Shim and Hongyi Chen
- Climate change and financial systemic risk: Evidence from US banks and insurers

- Domenico Curcio, Igor Gianfrancesco and Davide Vioto
Volume 65, issue C, 2023
- Forecasting Stock Market Crashes via Machine Learning

- Hubert Dichtl, Wolfgang Drobetz and Tizian Otto
- The impact of Bank of Japan’s exchange-traded fund purchases

- Takahiro Hattori and Jiro Yoshida
- What is mine is yours: Sovereign risk transmission during the European debt crisis

- Matthew Greenwood-Nimmo, Viet Hoang Nguyen and Yongcheol Shin
- Financial contracting as behavior towards risk: The corporate finance of business cycles 8/3/22

- Robert E. Krainer
- Macroprudential policy in central banks: Integrated or separate? Survey among academics and central bankers

- Simona Malovana, Martin Hodula, Zuzana Gric and Josef Bajzik
- Sovereign portfolio composition and bank risk: The case of European banks

- Selva Bahar Baziki, María J. Nieto and Rima Turk-Ariss
- Monetary policy spillover to small open economies: Is the transmission different under low interest rates?

- Jin Cao, Valeriya Dinger, Tomás Gómez, Zuzana Gric, Martin Hodula, Alejandro Jara, Ragnar Juelsrud, Karolis Liaudinskas, Simona Malovana and Yaz Terajima
- The impact of short selling on dividend smoothing

- Bill B. Francis, Gilna Samuel and Qiang Wu
- Portfolio diversification during the COVID-19 pandemic: Do vaccinations matter?

- Son Duy Pham, Thao Thac Thanh Nguyen, Hung Xuan Do and Xuan Vinh Vo
Volume 64, issue C, 2023
- National culture and bank liquidity creation

- Narjess Boubakri, Zhongyu Cao, Sadok El Ghoul, Omrane Guedhami and Xinming Li
- Addressing Spillovers from Prolonged U.S. Monetary Policy Easing

- Stephen G. Cecchetti, Machiko Narita, Umang Rawat and Ratna Sahay
- Systemic risk and CO2 emissions in the U.S

- Angelos Kanas, Philip Molyneux and Panagiotis Zervopoulos
- What’s in a name? Leaders’ names, compensation, and firm performance

- Sue H. Moon, Mingming Zhou and Yun Zhu
- Small business lending and the bank-branch network

- Ivan Petkov
- A Bayesian approach for more reliable tail risk forecasts

- Dan Li, Adam Clements and Christopher Drovandi
- Investor information and bank instability during the European debt crisis

- Silvia Iorgova and Chase P. Ross
- Deposit insurance and market discipline

- Juan C. Quintero-V
- Regulatory oversight and bank risk

- Dimitris K. Chronopoulos, John Wilson and Muhammed H. Yilmaz
- Does headquarters location matter in corporate tax avoidance?

- Mahmud Hossain and Santanu Mitra
Volume 63, issue C, 2022
- Financial risks, monetary policy in the QE era, and regulation

- Georgios Kouretas, Athanasios Papadopoulos and George Tavlas
- Milton Friedman on bailouts

- Hugh Rockoff
- An investigation into feedback and spatial relationships between banks’ share prices and sovereign bond spreads during the euro crisis

- Heather Gibson, Stephen Hall, Pavlos Petroulas and George Tavlas
- Banking deregulation, macroeconomic dynamics and monetary policy

- Claudia Buch, Sandra Eickmeier and Esteban Prieto
- U.S. banks’ IPOs and political money contributions

- Maria-Eleni Agoraki, Dimitrios Gounopoulos and Georgios Kouretas
- Monetary policy and portfolio rebalancing: Evidence from European equity mutual funds

- Jean-Yves Gnabo and Joey Soudant
- Regulation, financial crises, and liberalization traps

- Francesco Marchionne, Beniamino Pisicoli and Michele Fratianni
- Climate change financial risks: Implications for asset pricing and interest rates

- Christos Karydas and Anastasios Xepapadeas
- Euro area banking and monetary policy shocks in the QE era

- Alain Kabundi and Francisco Nadal De Simone
- The eurozone: What is to be done to maintain macro and financial stability?

- A. Patrick Minford, Zhirong Ou, Michael Wickens and Zheyi Zhu
- Macroeconomic stability or financial stability: How are capital controls used? Insights from a new database

- Mitali Das and Hailey Ordal
- Easy cleanups or forbearing improvements: The effect of CEO tenure on successor’s performance

- Gonul Colak and Eva Liljeblom
- Is cloud computing the digital solution to the future of banking?

- Maoyong Cheng, Yang Qu, Chunxia Jiang and Chenchen Zhao
- Firm-level political risk and distance-to-default

- Md Shahidul Islam, Md Samsul Alam, Shehub Bin Hasan and Sabur Mollah
- Mutual fund tournaments and fund Active Share

- C. Wei Li, Ashish Tiwari and Lin Tong
- Bank credit risk and macro-prudential policies: Role of counter-cyclical capital buffer

- Nadia Benbouzid, Abhishek Kumar, Sushanta K. Mallick, Ricardo Sousa and Aleksandar Stojanovic
- Political spending, related voluntary disclosure, and the cost of public debt

- Khadija S. Almaghrabi and Ioannis Tsalavoutas
Volume 62, issue C, 2022
- Liquidity and bank capital structure

- Ajay Patel, Nonna Sorokina and John Thornton
- Low-carbon city initiatives and analyst behaviour: A quasi-natural experiment

- June Cao, Wenwen Li and Alona Bilokha
- Do banks fuel climate change?

- Alessio Reghezza, Yener Altunbas, David Marques-Ibanez, Rodriguez d’Acri, Costanza and Martina Spaggiari
- Institutional mandates for macroeconomic and financial stability

- Pierre-Richard Agénor and Alessandro Flamini
- Distrust or speculation? The socioeconomic drivers of U.S. cryptocurrency investments

- Raphael Auer and David Tercero-Lucas
- Bank capital and economic activity

- Paul-Olivier Klein and Rima Turk-Ariss
- Surety bonds and moral hazard in banking

- Gerald Dwyer, Augusto Hasman and Margarita Samartín
- Bank capital shortfall in the euro area

- Eric Jondeau and Jean-Guillaume Sahuc
- Stock repurchasing and corporate social responsibility

- Anand Jha, Manoj Kulchania and Min-Jeong Kwon
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