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 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
Volume 160, issue C, 2024
- Risk-taking incentives and risk-talking outcomes

- Dev Mishra
- The information content of stress test announcements

- Luca Guerrieri and Michele Modugno
- Shadow loans and regulatory arbitrage: Evidence from China

- Xiaoxi Liu and Ilhyock Shim
- Competition, peer firm effects, and cash composition

- Nam Le and Megan Ramsey
- Conservatism and representativeness heuristic in peer reviews: Evidence from the finance literature 1946–2020

- Kee H. Chung and Choonsik Lee
Volume 159, issue C, 2024
- Relationship banking and firms’ earnings quality – Does it matter whether banks are creditors or owners?

- Jochen Bigus and Marina Weicker
- Salience theory and cryptocurrency returns

- Charlie X. Cai and Ran Zhao
- Back to the funding ratio! Addressing the duration puzzle and retirement income risk of defined contribution pension plans

- Daniel Mantilla-Garcia, Lionel Martellini, Manuel E. Garcia-Huitrón and Miguel Martinez-Carrasco
- Fifty shades of QE: Robust evidence

- Brian Fabo, Martina Jančoková, Elisabeth Kempf and Lubos Pastor
- Equity in capital raising? Empirical evidence from structured private placements

- Hue Hwa Au Yong, Christine Brown, Ho, Choy Yeing (Chloe) and Chander Shekhar
- Award-winning CEOs and corporate innovation

- Mia Hang Pham, Yulia Merkoulova and Chris Veld
- Market discipline and policy loans

- Chia-Chun Chiang and Greg Niehaus
- Good finance, bad finance, and resource misallocation: Evidence from China

- Jiapin Deng and Qiao Liu
- Credit default swaps and corporate ESG performance

- Ran Zhao and Lu Zhu
Volume 158, issue C, 2024
- Capital regulation induced reaching for systematic yield: Financial instability through fire sales

- Martijn A. Boermans and Bram van der Kroft
- Trading ahead of treasury auctions

- Jean-David Sigaux
- Central bank policies and financial markets: Lessons from the euro crisis

- Ashoka Mody and Milan Nedeljkovic
- Marginals versus copulas: Which account for more model risk in multivariate risk forecasting?

- Simon Fritzsch, Maike Timphus and Gregor Weiß
- The value of growth: Changes in profitability and future stock returns

- Bryan Lim, Juan Sotes-Paladino, George Jiaguo Wang and Yaqiong Yao
- Frictions in scaling up central bank balance sheet policies: How Eurosystem asset purchases impact the repo market

- Tomás Carrera de Souza and Tom Hudepohl
- The demise of branch banking – Technology, consolidation, bank fragility

- Jan Keil and Steven Ongena
- The effect of bank recapitalization policy on credit allocation, investment, and productivity: Evidence from a banking crisis in Japan

- Hiroyuki Kasahara, Yasuyuki Sawada and Michio Suzuki
- Modeling your stress away

- Friederike Niepmann and Viktors Stebunovs
- Government guarantees and bank liquidity creation around the world

- Allen N. Berger, Xinming Li, Herman Saheruddin and Daxuan Zhao
- Impact of risk oversight functions on bank risk: Evidence from the Dodd-Frank Act

- Lakshmi Balasubramanyan, Naveen D. Daniel, Joseph G Haubrich and Lalitha Naveen
- How effectively do green bonds help the environment?

- Mona Elbannan and Gunter Löffler
- Stock market liberalization and corporate investment revisited: Evidence from China

- Zhisheng Li, Chun Liu, Xiaoran Ni and Jiaren Pang
- Corrigendum to “Decreasing returns to scale and skill in hedge funds” [Journal of Banking & Finance Volume 156 (2023) 107009]

- Yun Ling, Stephen Satchell and Juan Yao
Volume 157, issue C, 2023
- Politically influenced bank lending

- Yifan Zhou
- When school ties meet geography: Education-province bias in mutual fund portfolios

- Quanxi Liang, Qi Jin, Meiting Lu and Yaowen Shan
- The case for CASE: Estimating heterogeneous systemic effects

- Zaichao Du, Juan Carlos Escanciano and Guangwei Zhu
- Do foreign institutions avoid investing in poorly CSR-performing firms?

- Nadia Ben Yahia, Amna Chalwati, Dorra Hmaied, Abdul Mohi Khizer and Samir Trabelsi
- Venture capital directors and corporate debt structure: An empirical analysis of newly listed companies

- Viet Dang, Ahmet Karpuz and Abdulkadir Mohamed
- Do stock-level experienced returns influence security selection?

- Constantinos Antoniou and Shema Mitali
- The dark side of bank taxes

- Marcin Borsuk, Oskar Kowalewski and Jianping Qi
- Market-based private equity returns

- Theodosis L. Kallenos and George Nishiotis
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