Journal of Banking & Finance
1977 - 2025
Current editor(s): Ike Mathur From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 163, issue C, 2024
- The Impact of Risk Retention on Moral Hazard in the Securitization Market

- Martin Hibbeln and Werner Osterkamp
- How do regulatory costs affect mergers and acquisitions decisions and outcomes?

- Baris Ince
- How does corporate culture affect IPO price formation?

- Douglas Cumming, Gerrit Köchling, Daniel Neukirchen and Peter N. Posch
- Disclosure rules, controlling shareholders, and trading activity in the new issues market

- Taufique Samdani
- CFO social capital, liquidity management, and the market value of cash✰

- Christopher W. Anderson, M. Babajide Wintoki and Yaoyi Xi
- Game in another town: Geography of stock watchlists and firm valuation

- Dayong Dong, Danling Jiang, Keke Wu and Hongquan Zhu
- Bank affiliation and timing ability of mutual funds: Evidence from China

- Xiaoxiao Wang and Xueyong Zhang
- Sustainable finance literacy and the determinants of sustainable investing

- Massimo Filippini, Markus Leippold and Tobias Wekhof
- Leveraging intellectual property: The value of harmonized enforcement regimes

- Andrej Gill and David Heller
- Financial literacy and mortgage stress

- Mingzhi Hu, Zhenguo Lin and Yingchun Liu
- Lender effects on gains from mergers and acquisitions

- Nadia Massoud, Keke Song and Nam Tran
- The beneficial effect of common ownership: Evidence from bank liquidity creation

- Joye Khoo, Chen Zheng and Shams Pathan
- Of fogs and bogs: Does litigation risk make financial reports less readable?

- Mark Humphery-Jenner, Yun Liu, Vikram Nanda, Sabatino Silveri and Minxing Sun
- Limit-hitting exciting effects: Modeling jump dependencies in stock markets adhering to daily price-limit rules

- Jian Chen and Shuyuan Qi
- Bank regulation and supervision: A symbiotic relationship

- Isha Agarwal and Tirupam Goel
- The effect of institutional herding on stock prices: The differentiating role of credit ratings

- Xu Guo, Chen Gu, Allan A. Zebedee and Li-ting Chiu
- Supplier–customer cultural similarity and supplier performance

- Guolei Ding, Jin Lei, Yunxiao Liu and Zhen Wang
- When shareholders cross-hold lenders’ equity: The effects on the costs of bank loans

- Jing Wang and Liying Wang
- Curse and blessing: The effect of the dividend ban on euro area bank valuations and syndicated lending

- Emiel Sanders, Mathieu Simoens and Rudi Vander Vennet
- Interest rates across the world: Global, regional, and idiosyncratic factors

- Jay Shambaugh and Hang Zhou
- Demand for financial advice: Evidence from a randomized choice experiment

- Boudewijn de Bruin, Olha Cherednychenko, Niels Hermes, Marc Kramer and Marco Meyer
- Mortgage lending through a fintech web platform. The roles of competition, diversification, and automation

- Christoph Basten and Steven Ongena
- Does policy uncertainty travel across borders? Evidence from MNC subsidiary investment decisions

- Xi Zhou, Min Xiao, Huiying Wu and Jiaxing You
Volume 162, issue C, 2024
- Are all female directors equal? Incentives and effectiveness of female independent directors

- Zhiyan Cao, Arun Upadhyay and Hongchao Zeng
- Mutual fund flows and government bond returns

- Menachem Abudy, Daniel Nathan and Avi Wohl
- Private mortgage securitization and adverse selection—New evidence from expected loan losses

- Abdullah Yavas and Shuang Zhu
- The myth of tightening credit rating standards in the market for corporate debt

- Karolina Krystyniak and Viktoriya Staneva
- GMM weighting matrices in cross-sectional asset pricing tests

- Nora Laurinaityte, Christoph Meinerding, Christian Schlag and Julian Thimme
- The performance of marketplace lenders

- Roman Kräussl, Zsofia Kräussl, Joshua Pollet and Kalle Rinne
- When gambling for resurrection is too risky

- Divya Kirti
- The green corporate bond issuance premium

- John Caramichael and Andreas C. Rapp
- Discount rates and cash flows: A local projection approach

- Matthijs Lof and Henri Nyberg
- Pay transparency and entrepreneurship

- Longfei Shang and Walid Saffar
- Corporate social performance: Does management quality matter?

- Heng An, Vigdis Boasson, Lijun Lei and Qun Wu
- Debt-stabilizing properties of GDP-linked securities: A macro-finance perspective

- Sarah Mouabbi, Jean-Paul Renne and Jean-Guillaume Sahuc
- The cost of corporate social irresponsibility for acquirers

- Reagan D'Souza, Ho, Choy Yeing (Chloe) and Joey W. Yang
- Mutual fund pollution experience and environmental voting

- Pouyan Foroughi, Alan Marcus and Vinh Nguyen
- Leverage constraints and investors' choice of underlyings

- Matthias Pelster
- Market distortions with collusion of agents

- Zhenguo Lin, Yingchun Liu and Jia Xie
- Central bank liquidity facilities and market making

- David Cimon and Adrian Walton
- Corporate social responsibility and the executive-employee pay disparity

- Ranjan D'Mello, Sungjoung Kwon and Francesca Toscano
- Portfolio pumping and dumping among Chinese mutual fund companies

- Christine Jiang and Xianzhen Wang
- Do large registered investment funds undermine shareholder activism? Evidence from hedge fund proposals

- Gilberto Loureiro and Cesar Mendonça
- When Prospect Theory Meets Mean-Reverting Asset Returns: A Behavioral Dynamic Trading Model

- Jianjun Gao, Duan Li, Jinyan Xie, Yiwen Yang and Jing Yao
Volume 161, issue C, 2024
- Loan officer specialization and credit defaults

- Michael Goedde-Menke and Peter-Hendrik Ingermann
- When emergency medicine becomes a staple diet: Evidence from Indian banking crisis

- Nithin Mannil, Naman Nishesh and Prasanna Tantri
- Market timing in open market bond repurchases

- Nadav Steinberg and Avi Wohl
- Task-oriented speech and information processing

- Vineet Bhagwat, Sara E. Shirley and Jeffrey R. Stark
- The tax shield increases the interest rate

- Marcel Fischer and Bjarne Astrup Jensen
- Geopolitical risk and currency returns

- Xi Liu and Xueyong Zhang
- The good, the bad, and the not-so-ugly of credit booms?: capital allocation and financial constraints

- Matías Braun, Francisco Marcet and Claudio Raddatz
- CEO overconfidence and the choice of debt issuance

- Li Ge, Taher Jamil and Jin Yu
- Information environment and participation of foreign banks in U.S. syndicated loan market

- Ann Ling-Ching Chan, Yi-Ting Hsieh, Edward Lee and Meng-Lan Yueh
- US political corruption and quarterly conference calls

- Lamia Chourou, Ashrafee T. Hossain and Anand Jha
- Bargaining power and trade credit: The heterogeneous effect of credit contractions

- Wenya Wang, Qiyu Xu and Ei Yang
- FinTech penetration, charter value, and bank risk-taking

- Xiaoran Jia
- Cash holdings in pension funds

- Sidita Hasa and Carolina Salva
- Reconciling interest rates evidence with theory: Rejecting unit roots when the HD(1) is a competing alternative

- Alessandro Palandri
- Can information provision and preference elicitation promote ESG investments? Evidence from a large, incentivized online experiment

- Marcel Seifert, Florian Spitzer, Simone Haeckl, Alexia Gaudeul, Erich Kirchler, Stefan Palan and Katharina Gangl
- Optimal investor life cycle decisions with time-inconsistent preferences

- Shumin Chen, Dan Luo and Haixiang Yao
- Access to capital and investment composition: Evidence from fracking in North Dakota

- Zack Liu, Avishai Schiff and Nathan Swem
- Multifactor conditional equity premium model: Evidence from China's stock market

- Hang Cheng, Hui Guo and Yongdong Shi
- Corporate culture and M&A deals: Using text from crowdsourced employer reviews to measure cultural differences

- Tobias Hertel, Devrimi Kaya and Doron Reichmann
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