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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 59, issue C, 2022

Political uncertainty and analysts’ forecasts: International evidence Downloads
Narjess Boubakri, Lobna Bouslimi and Rui Zhong
The power of sentiment: Irrational beliefs of households and consumer loan dynamics Downloads
Zuzana Gric, Dominika Ehrenbergerova and Martin Hodula
Bank loans during the 2008 quantitative easing Downloads
Hsuan-Chi Chen, Robin K. Chou, Chih-Yung Lin and Chien-Lin Lu

Volume 58, issue C, 2022

Common ownership and bank stability: Evidence from the U.S. banking industry Downloads
Haerang Park and Byungmin Oh
Cross country linkages and transmission of sovereign risk: Evidence from China’s credit default swaps Downloads
Wenlong Zhang, Gaiyan Zhang and Jean Helwege
Early warning systems using dynamic factor models: An application to Asian economies Downloads
Chi Truong, Jeffrey Sheen, Stefan Trück and James Villafuerte
Does lending relationship help or alleviate the transmission of liquidity shocks? Evidence from a liquidity crunch in China Downloads
Yiyi Bai, Tri Vi Dang, Qing He and Liping Lu
The pass-through of bank capital requirements to corporate lending spreads Downloads
Robert Bichsel, Luisa Lambertini, Abhik Mukherjee and Dan Wunderli
The positive side of bank wealth management products: Evidence from bank lending rate Downloads
Zhanhao Wang, Hong Zhao and Lingxiang Li
Double leverage cycle, interest rate, and financial crisis Downloads
F. Albert Wang
Credit policy and its heterogeneous effects on green innovations Downloads
Ying Wang and Mingsheng Li
Risk shifting and regulatory arbitrage: Evidence from operational risk Downloads
Brian Clark and Alireza Ebrahim
Risk spillovers and interconnectedness between systemically important institutions Downloads
Alin Marius Andrieş, Steven Ongena, Nicu Sprincean and Radu Tunaru
When bad news is good news: Geopolitical risk and the cross-section of emerging market stock returns Downloads
Adam Zaremba, Nusret Cakici, Ender Demir and Huaigang Long
Supervisory shocks to banks' credit standards and their macroeconomic impact Downloads
Francesco Lucidi and Willi Semmler
Macroprudential policies and bank competition: International bank-level evidence Downloads
Francisco González
The implications of dependence, tail dependence, and bounds’ measures for counterparty credit risk pricing Downloads
Juan Arismendi-Zambrano, Vladimir Belitsky, Vinicius Amorim Sobreiro and Herbert Kimura
Implications of public corruption for local firms: Evidence from corporate debt maturity Downloads
M. Kabir Hassan, Md. Sydul Karim and Steven E. Kozlowski

Volume 57, issue C, 2021

The impact of political uncertainty on institutional ownership Downloads
Bill B. Francis, Iftekhar Hasan and Yun Zhu
The impact of G-SIB identification on bank lending: Evidence from syndicated loans Downloads
Markus Behn and Alexander Schramm
Economic uncertainty and corruption: Evidence from public and private firms Downloads
Mansoor Afzali, Gönül Ҫolak and Mengchuan Fu
High liquidity creation and bank failures Downloads
Zuzana Fungáčová, Rima Turk Ariss and Laurent Weill
Banking research in the time of COVID-19 Downloads
Allen N. Berger and Asli Demirguc-Kunt
Debt structure instability using machine learning Downloads
Qianru Qi and Jing Wang
Low-carbon city initiatives and firm risk: A quasi-natural experiment in China Downloads
Jingchang Huang, June Cao, Tahseen Hasan and Jing Zhao
Affiliated bankers on board and firm environmental management: U.S. evidence Downloads
Hong Zhao, Dawei Jin, Hui Li and Haizhi Wang

Volume 56, issue C, 2021

Liquidity risk and bank performance during financial crises Downloads
Wei-Da Chen, Yehning Chen and Shu-Chun Huang
Economic uncertainty and bank stability: Conventional vs. Islamic banking Downloads
Mehmet Bilgin, Gamze Ozturk Danisman, Ender Demir and Amine Tarazi
Doing good in periods of high uncertainty: Economic policy uncertainty, corporate social responsibility, and analyst forecast error Downloads
Salim Chahine, Mai Daher and Samer Saade
Connected banks and economic policy uncertainty Downloads
Hua Cheng, Kishore Gawande, Steven Ongena and Shusen Qi
Uncertainty of uncertainty and firm cash holdings Downloads
John W. Goodell, Abhinav Goyal and Andrew Urquhart
Economic policy uncertainty and earnings management: Evidence from Japan Downloads
Hyonok Kim and Yukihiro Yasuda
Economic policy uncertainty and cross-border mergers and acquisitions Downloads
Krishna Paudyal, Chandra Thapa, Santosh Koirala and Sulaiman Aldhawyan
International coordination of macroprudential policies with capital flows and financial asymmetries Downloads
William Chen and Gregory Phelan
Banking globalization, local lending, and labor market effects: Micro-level evidence from Brazil Downloads
Felix Noth and Matias Ossandon Busch
The risk implications of the business loan activity in credit unions Downloads
Javier Gomez-Biscarri, Germán López-Espinosa and Andrés Mesa-Toro
Money, privacy, anonymity: What do experiments tell us? Downloads
Emanuele Borgonovo, Stefano Caselli, Alessandra Cillo, Donato Masciandaro and Giovanni Rabitti
Am I riskier if I rescue my banks? Beyond the effects of bailouts Downloads
Pedro Cuadros-Solas, Carlos Salvador and Nuria Suárez
Professional norms and risk-taking of bank employees: Do expectations of peers’ risk preferences matter? Downloads
Jiafu An, Mengfei Jiang and Jiaman Xu

Volume 55, issue C, 2021

Exchange rate shocks in multicurrency interbank markets Downloads
Pierre Siklos and Martin Stefan
Internationalization, foreign complexity and systemic risk: Evidence from European banks Downloads
Yassine Bakkar and Annick Pamen Nyola
How are network centrality metrics related to interest rates in the Mexican secured and unsecured interbank markets? Downloads
Isela-Elizabeth Téllez-León, Serafín Martínez-Jaramillo, Luis O. L. Escobar-Farfán and Ronald Hochreiter
How organizational and geographic complexity influence performance: Evidence from European banks Downloads
Annick Pamen Nyola, Alain Sauviat, Amine Tarazi and Gamze Ozturk Danisman
Did the Basel Process of capital regulation enhance the resiliency of European banks? Downloads
Thomas Gehrig and Maria Chiara Iannino
Two decades of contagion effect on stock markets: Which events are more contagious? Downloads
Małgorzata Iwanicz-Drozdowska, Karol Rogowicz, Łukasz Kurowski and Paweł Smaga
Is bailout insurance and tail risk priced in bank equities? Downloads
Luca Del Viva, Eero Kasanen, Anthony Saunders and Lenos Trigeorgis

Volume 54, issue C, 2021

New insights into bank asset securitization: The impact of religiosity Downloads
Omneya Abdelsalam, Marwa Elnahass, Jonathan Batten and Sabur Mollah
Why do banks target ROE? Downloads
George G. Pennacchi and Joao Santos
Bank ownership and capital buffers: How internal control is affected by external governance Downloads
Philipp Klein, Christoph Maidl and Corinna Woyand
M&As and political uncertainty: Evidence from the 2016 US presidential election Downloads
Salim Chahine, Wassim Dbouk and Moataz El-Helaly
Pricing climate-related risks in the bond market Downloads
Elettra Agliardi and Rossella Agliardi
What greenium matters in the stock market? The role of greenhouse gas emissions and environmental disclosures Downloads
Lucia Alessi, Elisa Ossola and Roberto Panzica
Climate risk and financial stability in the network of banks and investment funds Downloads
Alan Roncoroni, Stefano Battiston, Luis O.L. Escobar-Farfán and Serafin Martinez-Jaramillo
How can green differentiated capital requirements affect climate risks? A dynamic macrofinancial analysis Downloads
Yannis Dafermos and Maria Nikolaidi
Climate sentiments, transition risk, and financial stability in a stock-flow consistent model Downloads
Nepomuk Dunz, Asjad Naqvi and Irene Monasterolo
The pricing of green bonds: Are financial institutions special? Downloads
Serena Fatica, Roberto Panzica and Michela Rancan
High water, no marks? Biased lending after extreme weather Downloads
Nicola Garbarino and Benjamin Guin
Three green financial policies to address climate risks Downloads
Francesco Lamperti, Valentina Bosetti, Andrea Roventini, Massimo Tavoni and Tania Treibich
Commodity prices co-movements and financial stability: A multidimensional visibility nexus with climate conditions Downloads
Andrea Flori, Fabio Pammolli and Alessandro Spelta
Climate risks and weather derivatives: A copula-based pricing model Downloads
Giacomo Maria Bressan and Silvia Romagnoli
Measuring the systemic importance of banks Downloads
Georgios Moratis and Plutarchos Sakellaris
Debt holder monitoring and implicit guarantees: Did the BRRD improve market discipline? Downloads
Jannic Alexander Cutura
A survival analysis of public guaranteed loans: Does financial intermediary matter? Downloads
Stefano Caselli, Guido Corbetta, Doriana Cucinelli and Monica Rossolini
When central banks buy corporate bonds: Target selection and impact of the European Corporate Sector Purchase Program Downloads
Rients Galema and Stefano Lugo
The going-public decision and firm risk Downloads
Antonio Meles, Dario Salerno, Gabriele Sampagnaro and Mengchuan Fu
From banking integration to housing market integration - Evidence from the comovement of U.S. Metropolitan House Prices Downloads
Chi-Young Choi and J. Andrew Hansz
Ownership and bank efficiency in Africa: True fixed effects stochastic frontier analysis Downloads
Samuel Mutarindwa, Ibrahim Siraj and Andreas Stephan
ESG investing: A chance to reduce systemic risk Downloads
Roy Cerqueti, Rocco Ciciretti, Ambrogio Dalò and Marco Nicolosi
Customer concentration and corporate risk-taking Downloads
Yue Cao, Yizhe Dong, Diandian Ma and Li Sun
Page updated 2025-07-11