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 69, issue C, 2023
- Optimal capital ratios for banks in the euro area

- Beau Soederhuizen, Gerrit Hugo van Heuvelen, Rob Luginbuhl and Bert van Stiphout-Kramer
- Who consumes the credit union subsidies?

- John Goddard, Donal G. McKillop and John Wilson
- Global lending conditions and international coordination of financial regulation policies

- Enisse Kharroubi
- Gender diversity in leadership: Empirical evidence on firm credit risk

- Iness Aguir, Narjess Boubakri, Miriam Marra and Lu Zhu
- Social capital and dividend policies in US corporations

- Chun Keung Hoi, Yun Ke, Qiang Wu and Hao Zhang
- Financial Stability and Public Confidence in Banks

- Lucy Chernykh, Denis Davydov and Jukka Sihvonen
- Central bank digital currencies and financial stability in a modern monetary system

- David Tercero-Lucas
- Climate risks and financial stability: Evidence from the European financial system

- Miia Chabot and Jean-Louis Bertrand
Volume 68, issue C, 2023
- Interest rate pass-through and bank risk-taking under negative-rate policies with tiered remuneration of central bank reserves

- Christoph Basten and Mike Mariathasan
- How does dividend payout affect corporate social responsibility? A channel analysis

- Zeyu Sun, Xiaohui Li, Jing Xie and C.S. Cheng
- The impact of corruption on SMEs’ access to finance: Evidence using firm-level survey data from developing countries

- Mohammad Amin and Victor Motta
Volume 67, issue C, 2023
- Bank credit, inflation, and default risks over an infinite horizon

- Charles A.E. Goodhart, Dimitrios Tsomocos and Xuan Wang
- CEO power, bank risk-taking and national culture: International evidence

- Eilnaz Kashefi Pour, Moshfique Uddin, Victor Murinde and Shima Amini
- Bank regulations and surges and stops in credit: Panel evidence

- John Thornton and Chrysovalantis Vasilakis
- Does macroprudential policy affect wealth inequality? Evidence from synthetic controls

- André Teixeira
- Bank risk-taking in emerging economies: Empirical evidence and theory

- Jorge Pozo
- Global capital flows and the role of macroprudential policy

- Sudipto Karmakar and Diogo Lima
- Monetary policy uncertainty and corporate cash holdings: Evidence from China

- Haozhe Han and Xingjian Wang
- Reinforcement learning policy recommendation for interbank network stability

- Alessio Brini, Gabriele Tedeschi and Daniele Tantari
- Asset securitization, cross holdings, and systemic risk in banking

- Shuhua Xiao, Shushang Zhu and Ying Wu
- The role of credit lines and multiple lending in financial contagion and systemic events

- Giuseppe Cappelletti and Paolo Emilio Mistrulli
- Credit market development and corporate earnings management: Evidence from banking and branching deregulations

- Yichu Huang, Frank Hong Liu and Buhui Qiu
- Do sovereign-bond issuers learn from peers?

- Salim Chahine and N.K. Chidambaran
- Fiscal support and banks’ loan loss provisions during the COVID-19 crisis

- Hans Degryse and Cédric Huylebroek
- Optimal monetary policy under bounded rationality

- Jonathan Benchimol and Lahcen Bounader
- Promoting financial stability of oil producers: Operational vs. financial hedging

- Yiwei Fang, Sang Baum Kang and You Lu
- How effective are bad bank resolutions? New evidence from Europe

- Michael Brei, Leonardo Gambacorta, Marcella Lucchetta and Bruno Maria Parigi
- Top executive gender, corporate culture, and the value of corporate cash holdings

- Sudip Datta, Trang Doan and Francesca Toscano
- Why are BHCs organized as parent-subsidiaries? How do they grow in value?

- Elisa Luciano and Clas Wihlborg
- Poverty and seeking bank advice: Evidence from a survey experiment

- Manthos Delis, Emilios Galariotis, Maria Iosifidi and Jerome Monne
- Deal! Market reactions to the agreement on the EU Covid-19 recovery fund

- Livia Pancotto, Owain ap Gwilym and Philip Molyneux
- Bank resolution mechanisms revisited: Towards a new era of restructuring

- Aneta Hryckiewicz, Natalia Kryg and Dimitrios Tsomocos
- Hastily announced: Mergers and acquisitions with pledging shareholders

- Xipei Hou, Shen, Yinjie(Victor), Jing Xing and Fuzhao Zhou
- Bank solvency stress tests with fire sales

- Thomas Breuer, Martin Summer and Branko Urošević
- Corporate social responsibility misconduct and formation of board interlocks

- Yujie Wang, Albert Tsang, Yi Xiang and Yao, Daifei (Troy)
- Networks, interconnectedness, and interbank information asymmetry

- Celso Brunetti, Jeffrey Harris and Shawn Mankad
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
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