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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 (). 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 166, issue C, 2024
- On the cash-flow and control rights of contingent capital

- Chris Mitchell
- Corporate bankruptcy and banking deregulation: The effect of financial leverage

- Lara Cathcart, Alfonso Dufour, Ludovico Rossi and Simone Varotto
- Corporate noncompliance: Do corporate violations affect bank loan contracting?

- Huu Nhan Duong, Mariem Khalifa, Ali Sheikhbahaei and Mohammed Aminu Sualihu
- Climate risk and payout flexibility around the world

- Yuyuan Chang, Wen He and Lin Mi
- Corrigendum to “Complexity and the default risk of mortgage-backed securities” [Journal of Banking and Finance 155 (2023) 106993]

- Monica Billio, Alfonso Dufour, Samuele Segato and Simone Varotto
- Gender difference in overconfidence and household financial literacy

- Edward R. Lawrence, Thanh D. Nguyen and Benedikt Wick
- Sustainable investing in times of crisis: Evidence from bond holdings and the COVID-19 pandemic

- Serena Fatica and Roberto Panzica
- Fifty shades of QE revisited

- Martin Weale and Tomasz Wieladek
- Nonlinearities and a pecking order in cross-border investment

- Sara B. Holland, Sergei Sarkissian, Michael J. Schill and Francis E. Warnock
- Belief dispersion in the Chinese stock market and fund flows

- Yue Fang, Deming Luo and Zhongwei Yao
- The impact of managerial myopia on cybersecurity: Evidence from data breaches

- Wen Chen, Xing Li, Haibin Wu and Liandong Zhang
- Bank ownership around the world

- Ugo Panizza
- The effect of labor mobility on corporate investment and performance over the business cycle

- Bai, John (Jianqiu), Ashleigh Eldemire and Matthew Serfling
Volume 165, issue C, 2024
- Preopening auctions and price discovery in initial public offerings

- Keerat Bhurjee and Vishwanatha Saragur Ramanna
- Interaction effects in the cross-section of country and industry returns

- Zaghum Umar, Adam Zaremba, Mehmet Umutlu and Aleksander Mercik
- Does ownership concentration affect corporate bond volatility? Evidence from bond mutual funds

- Jingzhi Huang, Yan Wang and Ying Wang
- Operational loss recoveries and the macroeconomic environment: Evidence from the U.S. banking sector

- W. Scott Frame, Nika Lazaryan, Ping McLemore and Atanas Mihov
- Do analysts disseminate anomaly information in China?

- Fang Qiao
- Exchange market share, market makers, and murky behavior: The impact of no-fee trading on cryptocurrency market quality

- Luca Galati
- Crisis rescue via direct purchase: Evidence from China

- Lu Li, Chunbo Liu, Yongxin Xu, Xiaoyan Zhang and Gaoping Zheng
- The impact of cultural distance on fund transfers in the internal capital market

- John Zhang, Yang Wang and Qingjie Du
- How free is free? Retail trading costs with zero commissions

- Samuel W. Adams, Connor Kasten and Eric K. Kelley
Volume 164, issue C, 2024
- Lease-adjusted productivity measurement

- Weiwei Hu, Kai Li and Yiming Xu
- CEO International Background and Cross-Border M&As

- Busra Agcayazi, Ann Marie Hibbert and Thibaut G. Morillon
- Interpretable machine learning for creditor recovery rates

- Abdolreza Nazemi and Frank J. Fabozzi
- How cheap talk in climate disclosures relates to climate initiatives, corporate emissions, and reputation risk

- Julia Anna Bingler, Mathias Kraus, Markus Leippold and Nicolas Webersinke
- Timing sentiment with style: Evidence from mutual funds

- Yao Zheng, Eric Osmer and Dingding Zu
- Does the CARD Act affect price responsiveness? Evidence from credit card solicitations

- Yiwei Dou, Geng Li and Joshua Ronen
- Left behind: Partisan identity, stock market participation, and wealth inequality

- Da Ke
- Crowding of international mutual funds

- Tanja Artiga Gonzalez, Teodor Dyakov, Justus Inhoffen and Evert Wipplinger
- Personal income tax and corporate innovation: The key role of inventors’ financial incentives

- Guanchun Liu, Hangjuan Liu, Yuanyuan Liu, Jinyu Yang and Yanren Zhang
- Inventor CEOs and financing of innovation: Evidence from IPOs

- Ibrahim Bostan and G. Mujtaba Mian
- Torn between two debt types? The role of managerial ability in a firmʼs choice between bank loans and public debt

- Muhammad Kabir, Dewan Rahman and Taher Jamil
- Local peer influence on dividend payout decisions

- Joshua Cave and Sandra Lancheros
- Competition, coinsurance and moral hazard in banking

- Augusto Hasman and Margarita Samartín
- Racial disparities in debt collection

- Jessica LaVoice and Domonkos F. Vamossy
- The role of Japanese corporate governance features in explaining rating differences between global and Japanese rating agencies

- Yasuhiro Arikawa, Soku Byoun, Seung Hun Han, Michael S. Pagano and Yoon S. Shin
- Economic activity and the bank credit channel

- Horacio Sapriza and Judit Temesvary
- The acquisition motive of newly credit rated firms

- Magnus Blomkvist, Karl Felixson, Eva Liljeblom, Hitesh Vyas and Anup Basnet
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
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