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 22, issue 12, 1998
- Determinants of interest rate swap spreads pp. 1507-1532

- Larry Lang, Robert H. Litzenberger and Andy Luchuan Liu
- The capital gain lock-in effect with short sales constraints pp. 1533-1558

- Peter Klein
- Tick size, the compass rose and market nanostructure pp. 1559-1569

- George G. Szpiro
- When can you immunize a bond portfolio? pp. 1571-1595

- Alejandro Balbas and Alfredo Ibanez
- Investigating efficiency in betting markets: Evidence from the Greek 6/49 Lotto pp. 1597-1615

- George Papachristou and Dimitri Karamanis
Volume 22, issue 10-11, 1998
- The importance and subtlety of credit rating migration pp. 1231-1247

- Edward Altman
- Credit spreads in the market for highly leveraged transaction loans pp. 1249-1282

- Lazarus A. Angbazo, Jianping Mei and Anthony Saunders
- Is relationship lending special? Evidence from credit-file data in Germany pp. 1283-1316

- Ralf Elsas and Jan Krahnen
- Lending relationships in Germany - Empirical evidence from survey data pp. 1317-1353

- Dietmar Harhoff and Timm Korting
- Bank behavior based on internal credit ratings of borrowers pp. 1355-1383

- Achim Machauer and Martin Weber
- Bank control, takeovers and corporate governance in Germany pp. 1385-1403

- Julian Franks and Colin Mayer
- Detecting the risk of company failure at the Banque de France pp. 1405-1419

- Mireille Bardos
- Genetic algorithms applications in the analysis of insolvency risk pp. 1421-1439

- Franco Varetto
- Multiple banking relationships and the fragility of corporate borrowers pp. 1441-1456

- A. Foglia, S. Laviola and P. Marullo Reedtz
- A discrete Markov chain model for valuing loan portfolios. The case of Mexican loan sales pp. 1457-1480

- Gabriela F. del Angel, Javier Marquez Diez-Canedo and Estela Patino Gorbea
Volume 22, issue 9, 1998
- Corporate groups, dual-class shares and the value of voting rights pp. 1117-1137

- Giovanna Nicodano
- State-contingent regulatory mechanisms and fairly priced deposit insurance pp. 1139-1156

- Sabitha Nagarajan and C. W. Sealey
- Capital markets, financial intermediaries, and liquidity supply pp. 1157-1180

- Paolo Fulghieri and Riccardo Rovelli
- A note on the impact of options on stock return volatility1 pp. 1181-1191

- Nicolas P. B. Bollen
- Reports of beta's death are premature: Evidence from the UK pp. 1207-1229

- A. D. Clare, Richard Priestley and S. H. Thomas
Volume 22, issue 6-8, 1998
- The economics of small business finance: The roles of private equity and debt markets in the financial growth cycle pp. 613-673

- Allen Berger and Gregory Udell
- Venture capital contracting under asymmetric information pp. 675-699

- Jeffrey J. Trester
- Comment on Trester pp. 700-701

- Anjan Thakor
- Venture capital financing, moral hazard, and learning pp. 703-735

- Dirk Bergemann and Ulrich Hege
- Comment on Bergemann and Hege pp. 736-740

- Josh Lerner
- Who benefits from secondary market price stabilization of IOPs? pp. 741-767

- Lawrence M. Benveniste, Sina M. Erdal and William J. Wilhelm
- Comment on Benveniste, Erdal and Wilhelm, Jr pp. 768-772

- Mark Flannery
- "Angel" financing and public policy: An overview pp. 773-783

- Josh Lerner
- Angel investors and the market for angel investments pp. 785-792

- Stephen Prowse
- The angel capital electronic network (ACE-Net)1 pp. 793-797

- Zoltan Acs and Fred A. Tarpley
- Bank consolidation and small business lending: It's not just bank size that matters pp. 799-819

- Joe Peek and Eric Rosengren
- Small business lending and the changing structure of the banking industry1 pp. 821-845

- Philip E. Strahan and James P. Weston
- Comment on Peek and Rosengrew and Strahan and Westow pp. 846-849

- Richard Rosen
- De novo banks and lending to small businesses: An empirical analysis pp. 851-867

- Lawrence G. Goldberg and Lawrence White
- Comment on Goldberg and White pp. 868-872

- Robert DeYoung
- On the profitability and cost of relationship lending pp. 873-897

- Mitchell Berlin and Loretta Mester
- Do bank internal capital markets promote lending? pp. 899-918

- Joel F. Houston and Christopher James
- Comment on Berlin and Mester, and Houston and James pp. 919-923

- Marco Pagano
- Availability and cost of credit for small businesses: Customer relationships and credit cooperatives pp. 925-954

- Paolo Angelini, R. Di Salvo and Giovanni Ferri
- Comment on Angelini, Di Salvo and Ferri pp. 955-957

- Anil Kashyap
- The importance of relationships to the availability of credit pp. 959-977

- Rebel Cole
- Comment on Cole pp. 978-981

- John Duca
- The "credit crunch" and the availability of credit to small business pp. 983-1014

- Diana Hancock and James A. Wilcox
- The role of personal wealth in small business finance pp. 1019-1061

- Robert B. Avery, Raphael Bostic and Katherine A. Samolyk
- Comment on Avery, Bostic and Samolyk pp. 1062-1066

- Ronald J. Mann
- "New" data sources for research on small business finance pp. 1067-1076

- John Wolken
- New resources and new ideas: Private equity for small businesses1 pp. 1077-1084

- George W. Fenn and Nellie Liang
- Credit, banks and small business in America pp. 1085-1088

- William C. Dunkelberg
- Venture capital growing pains: Should the market diet? pp. 1089-1104

- Paul Gompers
- The future of entrepreneurial finance pp. 1105-1107

- Harvey Rosen
- The present and future roles of banks in small business finance pp. 1109-1116

- Laurence H. Meyer
Volume 22, issue 5, 1998
- Trading structure and overnight information: A natural experiment from the Tel-Aviv Stock Exchange pp. 489-512

- Tavy Ronen
- US day-of-the-week effects and asymmetric responses to macroeconomic news pp. 513-534

- Eric C. Chang, J. Michael Pinegar and R. Ravichandran
- Sensitivity of the bank stock returns distribution to changes in the level and volatility of interest rate: A GARCH-M model pp. 535-563

- Elyas Elyasiani and Iqbal Mansur
- The performance of de novo commercial banks: A profit efficiency approach pp. 565-587

- Robert DeYoung and Iftekhar Hasan
- Erratum to "Currency risk hedging: Futures vs. forward" [J. Banking and Finance 22 (1) (1998) 61-81]1 pp. 611-612

- Abraham Lioui
Volume 22, issue 4, 1998
- Corporate governance and board effectiveness1 pp. 371-403

- Kose John and Lemma W. Senbet
- Taxes, dividend yields and returns in the UK equity market pp. 405-423

- Gareth Morgan and Stephen Thomas
- Impact of partial control on policies enacted by partial targets pp. 425-445

- Carolyn Spencer, Aigbe Akhigbe and Jeff Madura
- On the wealth and risk effects of commercial bank expansion into securities underwriting: An analysis of Section 20 subsidiaries1 pp. 447-465

- Rahul Bhargava and Donald R. Fraser
- Nontraditional activities and the efficiency of US commercial banks pp. 467-482

- Kevin E. Rogers
- Book Review pp. 483-485

- Unknown
Volume 22, issue 3, 1998
- The arbitrage-free valuation and hedging of demand deposits and credit card loans pp. 249-272

- Robert Jarrow and Donald van Deventer
- The efficiency effects of bank mergers: An overview of case studies of nine mergers pp. 273-291

- Stephen A. Rhoades
- The impact of cash flows and firm size on investment: The international evidence pp. 293-320

- Palani-Rajan Kadapakkam, P. C. Kumar and Leigh A. Riddick
- Hedging bonds subject to credit risk1 pp. 321-345

- Frank S. Skinner
- The inefficiency of Reuters foreign exchange quotes pp. 347-366

- Martin Martens and Paul Kofman
- Book Review pp. 367-369

- Unknown
Volume 22, issue 2, 1998
- Divestments and financial distress in leveraged buyouts pp. 129-159

- John C. Easterwood
- Risk averse bank managers: Exogenous shocks, portfolio reallocations and market spillovers pp. 161-174

- Rowena Pecchenino
- The interstate banking and branching efficiency act of 1994: A wealth event for acquisition targets pp. 175-196

- Kenneth A. Carow and Randall A. Heron
- Factors affecting the performance of foreign-owned banks in Australia: A cross-sectional study pp. 197-219

- Barry Williams
- Measuring cash-futures temporal effects in the UK using partial adjustment factors pp. 221-243

- Michael Theobald and Peter Yallup
- Book Review pp. 245-248

- Unknown
Volume 22, issue 1, 1998
- An analysis of competitive externalities in gross settlement systems pp. 1-18

- Paolo Angelini
- Convertible calls and corporate taxes under asymmetric information pp. 19-40

- Yong O. Kim and Jarl Kallberg
- Investment opportunities and market reaction to capital expenditure decisions pp. 41-60

- Kee H. Chung, Peter Wright and Charlie Charoenwong
- Currency risk hedging: Futures vs. forward pp. 61-81

- Abraham Lioui
- A note on the location choice of multinational banks: The case of Japanese financial institutions pp. 109-120

- Nobuyoshi Yamori
- Book Review pp. 121-124

- Unknown
- Book Review pp. 125-127

- Unknown
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