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Journal of Economics and Business

1982 - 2025

Current editor(s): Emanuele Bajo and Moritz Ritter

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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2019, volume 104, articles C

Sinning by omission: Insider trading and ethical behavior pp. - Downloads
Nicolas-Guillaume Martineau and Xavier de Vanssay
The volatility of mutual fund performance pp. - Downloads
Miles Livingston, Ping Yao and Lei Zhou
Sacrificing corporate investment for stock repurchases: Are family firms different? pp. - Downloads
Shane A. VanDalsem
Regulation & oligopoly in banking: The role of banking cost structure pp. - Downloads
Eleni Dalla and Erotokritos Varelas

2019, volume 103, articles C

Foreign direct investment and domestic investment: Do oil sectors matter? Evidence from oil-exporting Gulf Cooperation Council economies pp. 1-12 Downloads
Mohamed Elheddad
Do political institutions improve the diminishing effect of financial deepening on growth? Evidence from developing countries pp. 13-24 Downloads
Kevin Williams
Trade aid, institutional quality, and trade pp. 25-37 Downloads
Admasu Maruta
Do fiscal communication and clarity of fiscal announcements affect public debt uncertainty? Evidence from Brazil pp. 38-60 Downloads
Gabriel Montes, Rodolfo Nicolay and Tatiana Acar
Have capital market anomalies worldwide attenuated in the recent era of high liquidity and trading activity? pp. 61-79 Downloads
Benjamin R. Auer and Horst Rottmann

2019, volume 102, articles C

Learning expectations using multi-period forecasts pp. 1-25 Downloads
Demetris Koursaros
Foreign penetration, competition, and financial freedom: Evidence from the banking industries in emerging markets pp. 26-38 Downloads
Jihui Chen and Lili Zhu
Surprises of corporate governance and Russian firms debt pp. 39-56 Downloads
Tamara V. Teplova and Tatiana Sokolova
Systemic financial risk and macroeconomic activity in China pp. 57-63 Downloads
Qing He, Junyi Liu, Jingyun Gan and Zongxin Qian

2019, volume 101, articles C

Debt retirement at IPO and firm growth pp. 1-16 Downloads
Pengda Fan
Environmental inefficiency and bond credit rating pp. 17-37 Downloads
Brian Chabowski, Wen-Chyuan Chiang, Kailing Deng and Li Sun
Access to land and permits: Firm-level evidence of impediments to development in transition countries pp. 38-57 Downloads
John Anderson
Managerial risk taking incentives, corporate social responsibility and firm risk pp. 58-72 Downloads
Atreya Chakraborty, Lucia Silva Gao and Shahbaz Sheikh
Fama-French, CAPM, and implied cost of equity pp. 73-85 Downloads
Dev Mishra and O’Brien, Thomas J.

2018, volume 100, articles C

Fintech and regtech: Impact on regulators and banks pp. 7-25 Downloads
Ioannis Anagnostopoulos
Integrating the ‘Troublemakers’: A taxonomy for cooperation between banks and fintechs pp. 26-42 Downloads
Benedict J. Drasch, André Schweizer and Nils Urbach
Do fintech lenders penetrate areas that are underserved by traditional banks? pp. 43-54 Downloads
Julapa Jagtiani and Catharine Lemieux
Some financial regulatory implications of artificial intelligence pp. 55-63 Downloads
Larry Wall
Why do businesses go crypto? An empirical analysis of initial coin offerings pp. 64-75 Downloads
Saman Adhami, Giancarlo Giudici and Stefano Martinazzi
Financial stability and monetary policy issues associated with digital currencies pp. 76-78 Downloads
Bill Nelson

2018, volume 99, articles C

A preferred habitat for liquidity in term repos: Before, during and after the financial crisis pp. 1-14 Downloads
Ahmed Baig and Drew B. Winters
Breaking up isn’t hard to do: Interest on reserves and monetary policy pp. 15-27 Downloads
Donald Dutkowsky and David VanHoose
Corruption, economic development, and auto loan delinquency: Evidence from China pp. 28-38 Downloads
Huiqiong Duan, Thomas Snyder and Weici Yuan
Do bank CEOs really increase risk in vega? Evidence from a dynamic panel GMM specification pp. 39-53 Downloads
Rakesh Bharati and Jingyi Jia

2018, volume 98, articles C

Systematic risk factors and bank failures pp. 1-18 Downloads
Junjie Sun, Deming Wu and Xinlei Zhao
An event study analysis of too-big-to-fail after the Dodd-Frank act: Who is too big to fail? pp. 19-31 Downloads
Kyle D. Allen, Ken B. Cyree, Matthew D. Whitledge and Drew B. Winters
Who carried more credibility?: An analysis of the market responses to news from the Japanese government, the Japanese central bank and international credit rating agencies pp. 32-39 Downloads
Wenti Du
Corporate social responsibility, product market competition, and firm value pp. 40-55 Downloads
Shahbaz Sheikh

2018, volume 97, articles C

Family firm heterogeneity and CEO compensation in Continental Europe pp. 1-18 Downloads
Roberto Barontini and Stefano Bozzi
CEOs’ power and perks: Evidence from Chinese banks pp. 19-27 Downloads
Hsiu-I Ting and Po-Kai Huang
Interest on reserves and Federal Reserve unwinding pp. 28-38 Downloads
Donald Dutkowsky and David VanHoose
Does proximity to the frontier facilitate FDI-spawned spillovers on innovation and productivity? pp. 39-49 Downloads
Qayoom Khachoo, Ruchi Sharma and Madan Dhanora

2018, volume 96, articles C

External cost of leverage adjustment: Evidence from defined benefit pension plans pp. 1-14 Downloads
Tae-Nyun Kim and Kihun Kim
Banking competition, banking stability, and economic growth: Are feedback effects at work? pp. 15-41 Downloads
Manju Jayakumar, Rudra P. Pradhan, Saurav Dash, Rana P. Maradana and Kunal Gaurav
Institutions: Key variable for economic development in Latin America pp. 42-58 Downloads
Andre Vianna and Andre Mollick
Financial development, remittances, and poverty reduction: Empirical evidence from a macroeconomic viewpoint pp. 59-68 Downloads
Takeshi Inoue
The impact of the Volcker rule on targeted banks, systemic risk, liquidity, and financial reporting quality pp. 69-89 Downloads
Fayez A. Elayan, Rafet Aktas, Kareen Brown and Parunchana Pacharn

2018, volume 95, articles C

Cross-border vs. domestic acquisitions: Evidence from India pp. 3-25 Downloads
N.K. Chidambaran, Dipali Krishnakumar and Madhvi Sethi
Basel III: Effects of capital and liquidity regulations on European bank lending pp. 26-46 Downloads
Caroline Roulet
Informed and uninformed investors in Iran: Evidence from the Tehran Stock Exchange pp. 47-58 Downloads
Abolhassan Jalilvand, Mojtaba Rostami Noroozabad and Jeannette Switzer
The impact of M&A strategies on the operating performance and investments of European IPO firms pp. 59-74 Downloads
Giancarlo Giudici and Matteo Bonaventura
The effect of the European Markets in Financial Instruments Directive on affiliated analysts’ earnings forecast optimism pp. 75-86 Downloads
Jörg Prokop and Benno Kammann
Cross-border arbitrage and acquirers’ returns in the Eurozone crisis pp. 87-102 Downloads
Julie Ayton and Rekha Rao-Nicholson
The impact of accounting laws and standards on bank risks: Evidence from transition countries pp. 103-118 Downloads
Yiwei Fang, James Fornaro, Lingxiang Li and Yun Zhu
Incentive compensation, accounting discretion and bank capital pp. 119-140 Downloads
Timothy W. Koch, Daniel Waggoner and Larry Wall
Does it pay to get connected? An examination of bank alliance network and bond spread pp. 141-163 Downloads
Iftekhar Hasan, Céline Meslier, Amine Tarazi and Mingming Zhou
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