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Journal of Banking & Finance

1977 - 2025

Current editor(s): Ike Mathur

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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Volume 87, issue C, 2018

Alternative corporate governance: Domestic media coverage of mergers and acquisitions in China pp. 1-25 Downloads
Paul Borochin and Wei Hua Cu
Hidden gems and borrowers with dirty little secrets: Investment in soft information, borrower self-selection and competition pp. 26-39 Downloads
Reint Gropp and Andre Guettler
Measuring banks’ market power in the presence of economies of scale: A scale-corrected Lerner index pp. 40-48 Downloads
Laura Spierdijka and Michalis Zaourasa
Jumps, cojumps, and efficiency in the spot foreign exchange market pp. 49-67 Downloads
Louis R. Piccotti
Local corporate social responsibility, media coverage, and shareholder value pp. 68-86 Downloads
Seong K. Byun and Jong-Min Oh
Distance to compliance portfolios: An integrated shortfall measure for basel III pp. 87-101 Downloads
Christian Schmaltz, Thomas Heidorn and Ingo Torchiani
Social capital and the cost of equity pp. 102-117 Downloads
Atul Gupta, Kartik Raman and Chenguang Shang
Bid-to-cover and yield changes around public debt auctions in the euro area pp. 118-134 Downloads
Roel Beetsma, Massimo Giuliodori, Jesper Hanson and Frank de Jong
Q-theory, mispricing, and profitability premium: Evidence from China pp. 135-149 Downloads
Fuwei Jiang, Xinlin Qi and Guohao Tang
Export market exit and financial health in crises periods pp. 150-163 Downloads
Holger Görg and Marina-Eliza Spaliara
Bank funding costs in a rising interest rate environment pp. 164-186 Downloads
Jeffrey R. Gerlach, Nada Mora and Pinar Uysal
Can lenders discern managerial ability from luck? Evidence from bank loan contracts pp. 187-201 Downloads
Dien Giau Bui, Yan-Shing Chen, Iftekhar Hasan and Chih-Yung Lin
Corporate litigation and debt pp. 202-215 Downloads
Matteo P. Arena
Are Chinese credit ratings relevant? A study of the Chinese bond market and credit rating industry pp. 216-232 Downloads
Miles Livingston, Winnie P.H. Poon and Lei Zhou
Forex trading and the WMR Fix pp. 233-247 Downloads
Martin D.D. Evans
An examination of the relation between strategic interaction among industry firms and firm performance pp. 248-263 Downloads
Tumennasan Bayar, Marcia Millon Cornett, Otgontsetseg Erhemjamts, Ty Leverty and Hassan Tehranian
The dawn of an ‘age of deposits’ in the United States pp. 264-281 Downloads
Matthew Jaremski and Peter Rousseau
Regional banking instability and FOMC voting pp. 282-292 Downloads
Stefan Eichler, Tom Lähner and Felix Noth
Timing of banks’ loan loss provisioning during the crisis pp. 293-303 Downloads
Leo de Haan and Maarten van Oordt
Gender, risk tolerance, and false consensus in asset allocation recommendations pp. 304-317 Downloads
Nicolas P.B. Bollen and Steven Posavac
Cash flows and credit cycles pp. 318-332 Downloads
Nicolás Figueroa and Oksana Leukhina
Legal framework quality and success of (different types of) venture capital investments pp. 333-350 Downloads
Tereza Tykvova
The peer performance ratios of hedge funds pp. 351-368 Downloads
David Ardia and Kris Boudt
Detecting money market bubbles pp. 369-379 Downloads
Jan Baldeaux, Katja Ignatieva and Eckhard Platen
Sex and credit: Do gender interactions matter for credit market outcomes? pp. 380-396 Downloads
Thorsten Beck, Patrick Behr and Andreas Madestam
All’s well that ends well? On the importance of how returns are achieved pp. 397-410 Downloads
Daniel Grosshans and Stefan Zeisberger
Non-interest income and bank lending pp. 411-426 Downloads
Pejman Abedifar, Philip Molyneux and Amine Tarazi
The impact of more frequent portfolio disclosure on mutual fund performance pp. 427-445 Downloads
Sitikantha Parida and Terence Teo
Fraud recovery and the quality of country governance pp. 446-461 Downloads
Filippo Curti and Atanas Mihov

Volume 86, issue C, 2018

The impact of conventional and unconventional monetary policy on expectations and sentiment pp. 1-20 Downloads
Emilios Galariotis, Panagiota Makrichoriti and Spyros Spyrou
Evaluating VPIN as a trigger for single-stock circuit breakers pp. 21-36 Downloads
David Abad, Magdalena Massot and Roberto Pascual
China's “Mercantilist” Government Subsidies, the Cost of Debt and Firm Performance pp. 37-52 Downloads
Chu Yeong Lim, Jiwei Wang and Zeng, Cheng (Colin)
Capturing the value premium – global evidence from a fair value-based investment strategy pp. 53-69 Downloads
René-Ojas Woltering, Christian Weis, Felix Schindler and Steffen Sebastian
Interest rate risk management and the mix of fixed and floating rate debt pp. 70-86 Downloads
Jaideep Oberoi
Creditor control and product-market competition pp. 87-100 Downloads
Matthew T. Billett, Burcu Esmer and Miaomiao Yu
Innovation externalities and the customer/supplier link pp. 101-112 Downloads
Keming Li
Interest rate derivatives use in banking: Market pricing implications of cash flow hedges pp. 113-126 Downloads
Aigbe Akhigbe, Stephen Makar, Li Wang and Ann Marie Whyte
Monetary policy uncertainty and the market reaction to macroeconomic news pp. 127-142 Downloads
Alexander Kurov and Raluca Stan
The skewness of commodity futures returns pp. 143-158 Downloads
Adrian Fernandez-Perez, Bart Frijns, Ana-Maria Fuertes and Joelle Miffre
Measuring firm size in empirical corporate finance pp. 159-176 Downloads
Chongyu Dang, (Frank) Li, Zhichuan and Chen Yang
To what extent did the economic stimulus package influence bank lending and corporate investment decisions? Evidence from China pp. 177-193 Downloads
Qigui Liu, Xiaofei Pan and Gary Gang Tian
The mechanics of commercial banking liberalization and growth pp. 194-203 Downloads
Alessandra Dal Colle
Capital markets’ assessment of the economic impact of the Dodd–Frank Act on systemically important financial firms pp. 204-223 Downloads
Yu Gao, Scott Liao and Xue Wang
In search for managerial skills beyond common performance measures pp. 224-239 Downloads
Fan Chen, Meifen Qian, Ping-Wen Sun and Bin Yu
Limits of arbitrage and idiosyncratic volatility: Evidence from China stock market pp. 240-258 Downloads
Ming Gu, Wenjin Kang and Bu Xu

Volume 85, issue C, 2017

How do banks adjust to changing input prices? A dynamic analysis of U.S. commercial banks before and after the crisis pp. 1-14 Downloads
Laura Spierdijk, Sherrill Shaffer and Tim Considine
Shortability and asset pricing model: Evidence from the Hong Kong stock market pp. 15-29 Downloads
Min Bai, Xiao-Ming Li and Yafeng Qin
The case for herding is stronger than you think pp. 30-40 Downloads
Martin T. Bohl, Nicole Branger and Mark Trede
Do bond credit ratings lead to excess comovement? pp. 41-55 Downloads
Louis Raffestin
Interest margins and bank regulation in Central America and the Caribbean pp. 56-68 Downloads
Anthony Birchwood, Michael Brei and Dorian M. Noel
Human vs. high-frequency traders, penny jumping, and tick size pp. 69-82 Downloads
Soheil Mahmoodzadeh and Ramazan Gencay
Trading restrictions and firm dividends: The share lockup expiration experience in China pp. 83-98 Downloads
Hongyan Fang, Zhihui Song, John R. Nofsinger and Yuyue Wang
The impact of sovereign rating changes on the activity of European banks pp. 99-112 Downloads
Danilo Drago and Raffaele Gallo
Investor protection, taxation and dividend policy: Long-run evidence, 1838–2012 pp. 113-131 Downloads
Leentje Moortgat, Jan Annaert and Marc Deloof
The effect of payday lending restrictions on liquor sales pp. 132-145 Downloads
Harold E. Cuffe and Christopher Gibbs
Absorptive capacity, technology spillovers, and the cross-section of stock returns pp. 146-164 Downloads
Jong-Min Oh
Page updated 2025-03-29