EconPapers    
Economics at your fingertips  
 

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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 64, issue C, 2023

National culture and bank liquidity creation Downloads
Narjess Boubakri, Zhongyu Cao, Sadok El Ghoul, Omrane Guedhami and Xinming Li
Addressing Spillovers from Prolonged U.S. Monetary Policy Easing Downloads
Stephen G. Cecchetti, Machiko Narita, Umang Rawat and Ratna Sahay
Systemic risk and CO2 emissions in the U.S Downloads
Angelos Kanas, Philip Molyneux and Panagiotis Zervopoulos
What’s in a name? Leaders’ names, compensation, and firm performance Downloads
Sue H. Moon, Mingming Zhou and Yun Zhu
Small business lending and the bank-branch network Downloads
Ivan Petkov
A Bayesian approach for more reliable tail risk forecasts Downloads
Dan Li, Adam Clements and Christopher Drovandi
Investor information and bank instability during the European debt crisis Downloads
Silvia Iorgova and Chase P. Ross
Deposit insurance and market discipline Downloads
Juan C. Quintero-V
Regulatory oversight and bank risk Downloads
Dimitris K. Chronopoulos, John Wilson and Muhammed H. Yilmaz
Does headquarters location matter in corporate tax avoidance? Downloads
Mahmud Hossain and Santanu Mitra

Volume 63, issue C, 2022

Financial risks, monetary policy in the QE era, and regulation Downloads
Georgios Kouretas, Athanasios Papadopoulos and George Tavlas
Milton Friedman on bailouts Downloads
Hugh Rockoff
An investigation into feedback and spatial relationships between banks’ share prices and sovereign bond spreads during the euro crisis Downloads
Heather Gibson, Stephen Hall, Pavlos Petroulas and George Tavlas
Banking deregulation, macroeconomic dynamics and monetary policy Downloads
Claudia Buch, Sandra Eickmeier and Esteban Prieto
U.S. banks’ IPOs and political money contributions Downloads
Maria-Eleni Agoraki, Dimitrios Gounopoulos and Georgios Kouretas
Monetary policy and portfolio rebalancing: Evidence from European equity mutual funds Downloads
Jean-Yves Gnabo and Joey Soudant
Regulation, financial crises, and liberalization traps Downloads
Francesco Marchionne, Beniamino Pisicoli and Michele Fratianni
Climate change financial risks: Implications for asset pricing and interest rates Downloads
Christos Karydas and Anastasios Xepapadeas
Euro area banking and monetary policy shocks in the QE era Downloads
Alain Kabundi and Francisco Nadal De Simone
The eurozone: What is to be done to maintain macro and financial stability? Downloads
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 Downloads
Mitali Das and Hailey Ordal
Easy cleanups or forbearing improvements: The effect of CEO tenure on successor’s performance Downloads
Gonul Colak and Eva Liljeblom
Is cloud computing the digital solution to the future of banking? Downloads
Maoyong Cheng, Yang Qu, Chunxia Jiang and Chenchen Zhao
Firm-level political risk and distance-to-default Downloads
Md Shahidul Islam, Md Samsul Alam, Shehub Bin Hasan and Sabur Mollah
Mutual fund tournaments and fund Active Share Downloads
C. Wei Li, Ashish Tiwari and Lin Tong
Bank credit risk and macro-prudential policies: Role of counter-cyclical capital buffer Downloads
Nadia Benbouzid, Abhishek Kumar, Sushanta K. Mallick, Ricardo Sousa and Aleksandar Stojanovic
Political spending, related voluntary disclosure, and the cost of public debt Downloads
Khadija S. Almaghrabi and Ioannis Tsalavoutas

Volume 62, issue C, 2022

Liquidity and bank capital structure Downloads
Ajay Patel, Nonna Sorokina and John Thornton
Low-carbon city initiatives and analyst behaviour: A quasi-natural experiment Downloads
June Cao, Wenwen Li and Alona Bilokha
Do banks fuel climate change? Downloads
Alessio Reghezza, Yener Altunbas, David Marques-Ibanez, Rodriguez d’Acri, Costanza and Martina Spaggiari
Institutional mandates for macroeconomic and financial stability Downloads
Pierre-Richard Agénor and Alessandro Flamini
Distrust or speculation? The socioeconomic drivers of U.S. cryptocurrency investments Downloads
Raphael Auer and David Tercero-Lucas
Bank capital and economic activity Downloads
Paul-Olivier Klein and Rima Turk-Ariss
Surety bonds and moral hazard in banking Downloads
Gerald Dwyer, Augusto Hasman and Margarita Samartín
Bank capital shortfall in the euro area Downloads
Eric Jondeau and Jean-Guillaume Sahuc
Stock repurchasing and corporate social responsibility Downloads
Anand Jha, Manoj Kulchania and Min-Jeong Kwon

Volume 61, issue C, 2022

Systemic risk measures and regulatory challenges Downloads
Scott Ellis, Satish Sharma and Janusz Brzeszczynski
COVID-19 as a stress test: Assessing the bank regulatory framework Downloads
Elizabeth Duncan, Akos Horvath, Diana Iercosan, Bert Loudis, Alice Maddrey, Francis Martinez, Timothy Mooney, Ben Ranish, Ke Wang, Missaka Warusawitharana and Carlo Wix
Bank interconnectedness and financial stability: The role of bank capital Downloads
Yehning Chen
Release of a liquidity regulation: What do we learn for credit and house prices? Downloads
Pierluigi Bologna, Wanda Cornacchia and Maddalena Galardo
Blessing or curse? Government funding of deposit insurance and corporate lending Downloads
Manthos D. Delis, Maria Iosifidi and Panagiotis Papadopoulos
Financial intermediation and the supply of liquidity Downloads
Jonathan Kreamer
A perfect storm in the financial market Downloads
Chune Young Chung, Seok-Kyun Hur and Kainan Wang
CEO overconfidence and IRS attention Downloads
Theophilus Lartey, Moshfique Uddin, Albert Danso and Geoffrey Wood
Hierarchical contagions in the interdependent financial network Downloads
William Barnett, Xue Wang, Hai-Chuan Xu and Wei-Xing Zhou
Leaving the darkness: The emergence of shadow banks Downloads
Augusto Hasman and Margarita Samartín
It takes more than two to tango: Multiple bank lending, asset commonality and risk Downloads
Konstantin Kosenko and Noam Michelson

Volume 60, issue C, 2022

Bank bailouts and economic growth: Evidence from cross-country, cross-industry data Downloads
Valeriya Dinger, Lisardo Erman and Daniel te Kaat
Central bank digital currency: A review and some macro-financial implications Downloads
Hongyi Chen and Pierre Siklos
Economists in the 2008 financial crisis: Slow to see, fast to act Downloads
Daniel Levy, Tamir Mayer and Alon Raviv
How investor demands for safety influence bank capital and liquidity trade-offs Downloads
Wayne Passmore and Judit Temesvary
The drivers of cyber risk Downloads
Iñaki Aldasoro, Leonardo Gambacorta, Paolo Giudici and Thomas Leach
Media, reputational risk, and bank loan contracting Downloads
Leonardo Becchetti and Stefano Manfredonia
Skin-in-the-game in ABS transactions: A critical review of policy options Downloads
Jan-Pieter Krahnen and Christian Wilde
Regulating rating agencies: A conservative behavioural change Downloads
Laurence Jones, Rasha Alsakka, Owain ap Gwilym and Noemi Mantovan
Digital currencies in financial networks Downloads
Olli Castrén, Ilja Kristian Kavonius and Michela Rancan
De facto power in a transition economy: The case of China Downloads
Xian Sun, Ellen Jin Jiang, Phillip Phan and Hua Zhang
Community bank liquidity: Natural disasters as a natural experiment Downloads
Kyle D. Allen, Matthew D. Whitledge and Drew B. Winters
Deposit insurance and credit union lending Downloads
Linh H. Nguyen, John Wilson, Tuan Q. Le, Hiep N. Luu, Tram-Anh Nguyen and Vinh X. Vo
Financial stress transmission between the U.S. and the Euro Area Downloads
Buket Kırcı Altınkeski, Emrah Çevik, Sel Dibooglu and Ali Kutan
Risk premia, asset price bubbles, and monetary policy Downloads
Robert Jarrow and Sujan Lamichhane
Sovereign risk spillovers: A network approach Downloads
Chau Le, David Dickinson and Anh Le
Growth-at-risk and macroprudential policy design Downloads
Javier Suarez
A note on regulatory responses to COVID-19 pandemic: Balancing banks’ solvency and contribution to recovery Downloads
Mohammad Bitar and Amine Tarazi
An integrated macroprudential stress test of bank liquidity and solvency Downloads
Mohamed Bakoush, Enrico Gerding, Tapas Mishra and Simon Wolfe
Corporate debt and unconventional monetary policy: The risk-taking channel with bond and loan contracts Downloads
Sumiko Takaoka and Koji Takahashi
Default risk premium and asset prices Downloads
Raffaele Corvino and Gianluca Fusai
CAFR 1999–2021, the past two decades and a look ahead Downloads
C.S. Agnes Cheng, Gang Hu and Danlei Bonnie Yu
The contribution of (shadow) banks and real estate to systemic risk in China Downloads
Carlo Bellavite Pellegrini, Peter Cincinelli, Michele Meoli and Giovanni Urga
The impact of gender diversity on shareholder wealth: Evidence from European bank M&A Downloads
Ioannis Tampakoudis, Michail Nerantzidis, Gabriel Eweje and Stergios Leventis
Page updated 2025-07-11