EconPapers    
Economics at your fingertips  
 

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 6, issue 3, 1982

Introduction pp. 319-321 Downloads
Paolo Baffi
International banking: Current issues in perspective pp. 323-348 Downloads
Alexander K. Swoboda
Discussion pp. 349-387 Downloads
F. Bignardi
Recent trends in international banking pp. 389-399 Downloads
Antonio Monti
Discussion pp. 401-428 Downloads
G. Aubanel
The problem of confidence in domestic and international banking systems pp. 429-435 Downloads
John G. Heimann
Nature of interaction between market structures and forces and institutional systems pp. 437-441 Downloads
Peter E. Leslie
Summary and conclusions pp. 471-478 Downloads
David T. Llewellyn
Closing remarks pp. 479-479 Downloads
Paolo Baffi

Volume 6, issue 2, 1982

Implied tax rates and the valuation of discount bonds pp. 145-159 Downloads
James C. Van Horne
The pricing of risky assets on the Belgian stock market pp. 161-178 Downloads
Gabriel A. Hawawini and Pierre A. Michel
The NOW account experiment and the demand for money pp. 179-193 Downloads
Joanna H. Frodin and Richard Startz
Correspondent balances, services, and the money supply pp. 195-213 Downloads
David R. Meinster and Alan K. Severn
Money illusion, distribution effects and the household and business demands for money pp. 215-231 Downloads
George M. Katsimbris and Stephen Miller
Pricing, operating efficiency, and profitability among large commercial banks pp. 233-254 Downloads
Myron L. Kwast and John T. Rose
Comparing bank concentration across countries pp. 255-262 Downloads
Patrick Honohan and R. P. Kinsella
Generalized separation of the portfolio decision process under uncertain inflation and asset pricing implications pp. 263-275 Downloads
Lemma W. Senbet
The pricing of the prime rate pp. 277-296 Downloads
Michael A. Goldberg
Alternative approaches to the theory of the banking firm: A note pp. 297-304 Downloads
Herwig Langohr
Principles of corporate finance: Richard Brealey and Stewart Myers, (Mcgraw-Hill Book Company, New York, 1981) pp. xxii + 794 pp. 305-307 Downloads
James A. Miles
Investments: Analysis and Management: Jack Clark Francis, Third Edition, (McGraw-Hill Book Company, New York, 1980), pp. xviii+779 pp. 308-309 Downloads
James V. Jordan
Risk and capital adequacy in commercial banks: Sherman J. Maisel, ed., (The University of Chicago Press, Chicago, IL, 1981) pp. 436, $42.00 pp. 309-312 Downloads
Joseph Sinkey

Volume 6, issue 1, Supplement, 1988

Insurance, risk aversion and demand for insurance pp. 1-125 Downloads
George G. Szpiro
Relative risk aversion around the world: Further results pp. 127-128 Downloads
George G. Szpiro and Jean-Francois Outreville
Risk aversion in securities markets pp. 129-192 Downloads
Yoram Landskroner
Tying life insurance and savings decisions: A multiperiod expected utility approach pp. 193-229 Downloads
Itzhak Venezia
Insurance premium allocation and loss prevention in a large firm: A principal agent analysis pp. 231-245 Downloads
Laurent L. Jacque and Charles S. Tapiero
Reinsurance contracts: A utility approach vs. insurance capacity considerations pp. 247-269 Downloads
Y. Eden and Y. Kahane

Volume 6, issue 1, 1982

Foreword pp. 1-7 Downloads
Stuart I. Greenbaum
Innovation in monetary policy: Challenge and response pp. 9-28 Downloads
Jurg Niehans
Comments `Innovation in monetary policy: Challenge and response' by Jurg Niehans pp. 29-31 Downloads
John Karreken
Comments `Innovations in monetary policy: Challenge and response' by Jurg Niehans pp. 33-35 Downloads
Henry Wallich
The extension of futures trading to the financial sector pp. 37-47 Downloads
Hendrik S. Houthakker
Comments `The extension of futures trading to the financial sector' by Hendrik S. Houthakker pp. 49-50 Downloads
Dwight M. Jaffee
Comments `The extension of futures trading to the financial sector' by Hendrik S. Houthakker pp. 51-53 Downloads
Leonard Mirman
Toward a theory of bank loan commitments pp. 55-83 Downloads
Anjan Thakor
Comments `Toward a theory of bank loan commitments' by Anjan Thakor pp. 85-88 Downloads
Yair E. Orgler
Innovations and the portfolios of weekly reporting banks pp. 89-112 Downloads
Donald D. Hester
Comments `Innovations and the portfolios of weekly reporting banks' by D.D. Hester pp. 113-115 Downloads
Sherman J. Maisel
An analysis of the economic justification for consolidation in a secondary security market pp. 117-136 Downloads
Kalman J. Cohen, Steven F. Maier, Robert A. Schwartz and David K. Whitcomb
Comments `An analysis of the economic justificiation for consolidation in a secondary security market' by Kalman J. Cohen et al pp. 137-140 Downloads
Hans R. Stoll

Volume 5, issue 3, 1981

Risk and capital asset prices pp. 291-315 Downloads
Irwin Friend and Randolph Westerfield
The probability of bankruptcy: A comparison of empirical predictions and theoretical models pp. 317-344 Downloads
James Scott
Opening prices on the New York Stock Exchange pp. 345-355 Downloads
Kenneth Garbade and Chandra P. Sekaran
Price behavior of deep discount bonds pp. 357-361 Downloads
Chi-Cheng Hsia and J. Fred Weston
Standard deviations implied in option prices as predictors of future stock price variability pp. 363-381 Downloads
Stan Beckers
Market reaction to the formation of one-bank holding companies pp. 383-393 Downloads
John D. Martin and Arthur J. Keown
Share values, inflation, and escalating tax rates pp. 395-403 Downloads
Dan Palmon and Uzi Yaari
Taxes, clientele effect of dividend and risk, return linearity pp. 405-424 Downloads
W.K.H. Fung
The forward exchange rate and the prediction of the future spot rate: Empirical evidence pp. 425-437 Downloads
Tamir Agmon and Yakov Amihud
Capital budgeting under conditions of uncertainty pp. 439-445 Downloads
Harold Bierman
The international money market: An assessment of forecasting techniques and market efficiency pp. 443-445 Downloads
Peter N. Umoh
Problem and failed institutions in the commercial Banking Industry pp. 445-448 Downloads
Paul M. Horvitz

Volume 5, issue 2, 1981

The British investor's gains from international portfolio investment pp. 155-165 Downloads
Devinder K. Gandhi, Anthony Saunders, Richard Woodward and Charles Ward
Intermediation and cost determinants of large bank liability composition pp. 167-185 Downloads
David Burras Humphrey
Interest rate parity tests: Switzerland and some major western countries pp. 187-200 Downloads
Pierre-Alexis Cosandier and Bruno R. Lang
Bank acquisition of mortgage firms and stockholders' wealth: An empirical analysis pp. 201-215 Downloads
Itzhak Swary
Forward exchange rates as predictors of future spot rates and the efficiency of the foreign exchange market pp. 217-240 Downloads
Francesco Papadia
Mutual savings bank membership in the FHLBS: Motivations behind recent membership growth pp. 241-259 Downloads
Lawrence G. Goldberg and John T. Rose
On the relation between ownership dispersion and the firm's market value pp. 261-276 Downloads
Giorgio Ragazzi
A note on relative efficiency and risk aversion pp. 277-280 Downloads
Jacob Paroush
Book review pp. 281-283 Downloads
Stephen A. Buser
Financial Theory and Corporate Policy: Thomas E. Copeland and J. Fred Weston (Addison-Wesley Publishing Company, Reading) pp. xvi+618 pp. 284-286 Downloads
Thomas Ho
Portfolio theory, 25 years later: essays in honor of Harry Markowitz: E. J. Elton and M. J. Gruber, eds. (North-Holland, Amsterdam, 1979) 226 pp pp. 286-288 Downloads
Gordon Roberts

Volume 5, issue 1, 1981

Introduction to the special issue pp. 3-4 Downloads
Ingo Walter
The international financial role of U.S. commercial banks: Past and future pp. 5-16 Downloads
Arturo Porzecanski
The determinants of foreign banking activity in the United States pp. 17-32 Downloads
Lawrence G. Goldberg and Anthony Saunders
The multinational bank: A financial MNC? pp. 33-63 Downloads
Jean M. Gray and H. Peter Gray
International bank-industry relations: An empirical assessment pp. 65-76 Downloads
Olivier Pastre
Country risk, portfolio decisions and regulation in international bank lending pp. 77-92 Downloads
Ingo Walter
Uncertain inflation, exchange rates, and bond yields pp. 93-107 Downloads
Richard C. Stapleton and Marti G. Subrahmanyam
Regulating the Euro-markets pp. 109-134 Downloads
George W. McKenzie
Concessionary lending to developing countries pp. 135-147 Downloads
Jo W. Saxe
Page updated 2025-03-29