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 145, issue C, 2022
- Testing Factor Models in the Cross-Section

- Fabian Hollstein and Marcel Prokopczuk
- Social capital, finance, and consumption: Evidence from a representative sample of Chinese households

- Robert Cull, Li Gan, Nan Gao and Lixin Xu
- Does the deposit channel of monetary policy work in a high-interest rate environment?

- Alex Nery Caetité, Almir Ferreira de Sousa, José Roberto Ferreira Savoia, Wadico Waldir Bucchi and Fabio Gallo Garcia
- A theory of firm opacity and corporate social responsibility

- Linqing You and Zhuoqiong Chen
- CEO inside debt and mutual fund investment decisions

- Arash Dayani
- Capital account liberalization, financial dependence and technological innovation: Cross-country evidence

- Xun Wang
- Uncertainty, investment spikes, and corporate leverage adjustments

- Hyun Joong Im, Robert Faff and Chang Yong Ha
- Bond liquidity and investment

- Laura Casares Field, Anahit Mkrtchyan and Yuan Wang
- Impact of sovereign credit ratings on systemic risk and the moderating role of regulatory reforms: An international investigation

- Irfan Ullah Sahibzada, Muhammad Suhail Rizwan and Anum Qureshi
- Financial liberalization and house prices: Evidence from China

- Yining Shi
- Market discipline and regulatory arbitrage: Evidence from ABCP liquidity guarantors

- Jiakai Chen
- Measuring commodity market quality

- Tobias Lauter and Marcel Prokopczuk
- Does media coverage affect credit rating change decisions?

- H. Kent Baker, Shantanu Dutta, Samir Saadi and Ligang Zhong
- FinTech adoption and financial inclusion: Evidence from household consumption in China

- Tong Yang and Xun Zhang
- Expected and Unexpected Jumps in the Overnight Rate: Consistent Management of the Libor Transition

- Alex Backwell and Joshua Hayes
- Option-based intermediary leverage

- Thomas Gruenthaler, Friedrich Lorenz and Paul Meyerhof
Volume 144, issue C, 2022
- Product market competition, venture capital, and the success of entrepreneurial firms

- Douglas Cumming, Giang Nguyen and My Nguyen
- Firm-level investor sentiment and corporate announcement returns

- Nader Mahmoudi, Paul Docherty and Adrian Melia
- Changes in the global investor base and the stability of portfolio flows to emerging markets

- Luis Brandao-Marques, R. Gaston Gelos, Hibiki Ichiue and Hiroko Oura
- Loaded for bear: Bitcoin private wallets, exchange reserves and prices

- Lai T. Hoang and Dirk G. Baur
- Mutual fund flows and seasonalities in stock returns

- Moritz Wagner, John Byong-Tek Lee and Dimitris Margaritis
- How do stronger creditor rights impact corporate acquisition activity and quality?

- Megan Rainville, Emre Unlu and Juan Julie Wu
- Do retail traders destabilize financial markets? An investigation surrounding the COVID-19 pandemic

- Ahmed S. Baig, Benjamin Blau, Hassan A. Butt and Awaid Yasin
- Outside ownership in the hedge fund industry

- Kevin A. Mullally
- What are reference rates for?

- Divya Kirti
- Why do firms issue callable convertible bonds? A critique of the “backdoor equity financing” theory

- Radu Burlacu and Sonia Jimenez-Garcès
Volume 143, issue C, 2022
- The gradient allocation principle based on the higher moment risk measure

- Fabio Gómez, Qihe Tang and Zhiwei Tong
- Signal strength adjustment behavior: Evidence from share repurchases

- Koji Ota, David Lau and Hironori Kawase
- Analysts’ reliance on industry-level versus firm-specific information: Implications for information production

- Hae Mi Choi and Swasti Gupta-Mukherjee
- Global weather-based trading strategies

- Ming Dong and Andréanne Tremblay
- Contagion and tail risk in complex financial networks

- Kumushoy Abduraimova
- Fair advice

- Kristoffer W. Eriksen, Sebastian Fest, Ola Kvaløy and Oege Dijk
- What you don’t know won’t hurt you: Market monitoring and bank supervisors’ preference for private information

- Ferdinand Elfers and Jeroen Koenraadt
- Do internal capital markets in business groups mitigate firms' financial constraints?

- Luiz Ricardo Kabbach-de-Castro, Guilherme Kirch and Rafael Matta
- The evolution of bidder gains and acquisition discounts in M&A

- Yun Meng and Ninon Sutton
- Do investors value shareholder perks? Evidence from Japan

- Wei Huang, S. Ghon Rhee, Katsushi Suzuki and Taeko Yasutake
- Optimal information production of mutual funds: Evidence from China

- Yeguang Chi, Jingbin He, Fei Wu and Bijiao Yin
- Trust and monitoring

- Simon Lesmeister, Peter Limbach and Marc Goergen
- Housing property rights, collateral, and entrepreneurship: Evidence from China

- Gang-Zhi Fan, Han Li, Jiangyi Li and Jian Zhang
- Countercyclical credit policies and banking concentration: Evidence from Brazil

- Paulo Capeleti, Marcio Garcia and Fabio Miessi Sanches
- COVID-19, lockdowns, and the municipal bond market

- Nhu Tran and Cihan Uzmanoglu
- Firm life cycle, expectation errors and future stock returns

- Theodosia Konstantinidi
- Return decomposition over the business cycle

- Tolga Cenesizoglu
- Pandemic payment patterns

- Nicole Jonker, Carin van der Cruijsen, Michiel Bijlsma and Wilko Bolt
- Benefits of local banking in local economic development: Disparities between micro firms and other SMEs

- Céline Meslier, Pierre-Nicolas Rehault, Alain Sauviat and Dian Yuan
- The Shift from Active to Passive and its Effect on Intraday Stock Dynamics

- Giuliano De Rossi and Michael Steliaros
- Capital requirements, mortgage rates and house prices

- Sven Damen and Stef Schildermans
- Profitability, asset investment, and aggregate stock returns

- Timothy K. Chue and Jin Karen Xu
- Fund performance and social responsibility: New evidence using social active share and social tracking error

- Sadok El Ghoul and Aymen Karoui
- Impact of Price Path on Disposition Bias

- Avijit Bansal and Joshy Jacob
- Protection of trade secrets and value of cash holdings: Evidence from a natural experiment

- Rajib Chowdhury and John A. Doukas
- Operational Risk is More Systemic than You Think: Evidence from U.S. Bank Holding Companies

- Allen N. Berger, Filippo Curti, Atanas Mihov and John Sedunov
- When It Rains It Drains: Psychological Distress and Household Net Worth

- Adnan Balloch, Christian Engels and Dennis Philip
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