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Journal of Economics and Business

1982 - 2020

Current editor(s): Kenneth J. Kopecky

From Elsevier
Bibliographic data for series maintained by Haili He ().

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Volume 78, issue C, 2015

Sovereign Wealth Funds: A literature review pp. 1-13 Downloads
Bader Alhashel
A comparison of Expected Shortfall estimation models pp. 14-47 Downloads
Marcelo Brutti Righi and Paulo Sergio Ceretta
Bargaining power of targets: Takeover defenses and top-tier target advisors pp. 48-78 Downloads
Mine Ertugrul
The impact of credit rating announcements on corporate CDS markets—Are intra-industry effects observable? pp. 79-91 Downloads
Andreas Wengner, Hans-Peter Burghof and Johannes Schneider
Loan loss provisions, accounting constraints, and bank ownership structure pp. 92-117 Downloads
Eliana Balla and Morgan Rose

Volume 77, issue C, 2015

Product market segmentation and output collusion within substitute products pp. 1-15 Downloads
Xu Xu and Kalyn Coatney
An examination of non-government-assisted US commercial bank mergers during the financial crisis pp. 16-41 Downloads
Jessica Kay Dunn, Vincent J. Intintoli and Jamie John McNutt
Do remittances promote economic growth in the Caribbean Community and Common Market? pp. 42-59 Downloads
Sokchea Lim and Walter O. Simmons
Banking system concentration and unemployment in developing countries pp. 60-78 Downloads
Horst Feldmann
Are retail prices of ethanol, gasoline and natural gas in the midwest cointegrated? An asymmetric threshold cointegration analysis pp. 79-93 Downloads
Prosper Senyo Koto
Executive compensation and the corporate spin-off decision pp. 94-117 Downloads
Yi Feng, Debarshi Nandy and Yisong S. Tian

Volume 76, issue C, 2014

Implicit guarantees, business models and banks’ risk-taking through the crisis: Global and European perspectives pp. 10-38 Downloads
Prabha, Apanard (Penny) and Clas Wihlborg
The political economy of the Euro crisis: Cognitive biases, faulty mental models, and time inconsistency pp. 39-54 Downloads
Thomas D. Willett and Nancy Srisorn
Sovereign bond yield spreads and market sentiment and expectations: Empirical evidence from Euro area countries pp. 55-84 Downloads
David Aristei and Duccio Martelli
Securitized banking and the Euro financial crisis: Evidence from the Italian banks risk-taking pp. 85-100 Downloads
Francesca Battaglia, Angela Gallo and Maria Mazzuca
Investment and saving and the euro crisis: A new look at Feldstein–Horioka pp. 101-114 Downloads
Mark A. Johnson and Douglas Lamdin
Transmission of the debt crisis: From EU15 to USA or vice versa? A GVAR approach pp. 115-132 Downloads
Konstantinos Konstantakis and Panayotis Michaelides
Cross-asset contagion in times of stress pp. 133-139 Downloads
Vassilios Papavassiliou

Volume 75, issue C, 2014

The forward looking information content of equity and bond markets for aggregate investments pp. 1-24 Downloads
Marco Gallegati and James B. Ramsey
Fixed investment/fundamental sensitivities under financial constraints pp. 25-59 Downloads
Nihal Bayraktar
Adjustment costs, financial frictions and aggregate investment pp. 60-79 Downloads
Fabrizio Casalin and Enzo Dia
Dynamic effects of financial stress on the U.S. real estate market performance pp. 80-92 Downloads
Vichet Sum
What determines takeover premia: An empirical analysis pp. 93-125 Downloads
Karen Simonyan
Corporate governance reform in Malaysia: Board size, independence and monitoring pp. 126-162 Downloads
Laurent Germain, Nadine Galy and Wanling Lee

Volume 73, issue C, 2014

Subordinated debt as instrument of market discipline: Risk sensitivity of sub-debt yield spreads in UK banking pp. 1-21 Downloads
Zhichao Zhang, Wei Song, Xin Sun and Nan Shi
Does relationship matter? The choice of financial advisors pp. 22-47 Downloads
Bill B. Francis, Iftekhar Hasan and Xian Sun
Dynamic correlation structure and security risk pp. 48-64 Downloads
Nadia Vozlyublennaia and Artem Meshcheryakov
The impact of institutional quality on initial public offerings pp. 65-96 Downloads
Don M. Autore, Thomas J. Boulton, Scott B. Smart and Chad J. Zutter
Identifying speculators in the FX market: A microstructure approach pp. 97-119 Downloads
Ben Schreiber

Volume 72, issue C, 2014

Analysis of dividend policy of dual and single class U.S corporations pp. 1-29 Downloads
Ben Amoako-Adu, Vishaal Baulkaran and Brian F. Smith
Antitakeover provisions, managerial entrenchment and firm innovation pp. 30-43 Downloads
Atreya Chakraborty, Zaur Rzakhanov and Shahbaz Sheikh
Role of financial systems in a sticky price model pp. 44-57 Downloads
Daisuke Ida
Bank procyclicality and output: Issues and policies pp. 58-83 Downloads
Panayiotis Athanasoglou, Ioannis Daniilidis and Manthos Delis
Corporate social responsibility and CEO compensation revisited: Do disaggregation, market stress, gender matter? pp. 84-103 Downloads
Saphira A.C. Rekker, Karen L. Benson and Robert Faff

Volume 71, issue C, 2014

Borrower–lender distance and loan default rates: Macro evidence from the Italian local markets pp. 1-21 Downloads
Carlo Milani
The stock market impact of government interventions on financial services industry groups: Evidence from the 2007–2009 crisis pp. 22-44 Downloads
Anita Pennathur, Deborah Smith and Vijaya Subrahmanyam
Interest rate risk and the creation of the Monetary Policy Committee: Evidence from banks’ and life insurance companies’ stocks in the UK pp. 45-67 Downloads
Stephanos Papadamou and Costas Siriopoulos
Portfolio optimization in an upside potential and downside risk framework pp. 68-89 Downloads
Denisa Cumova and David Nawrocki
Inflation risk premium implied by options pp. 90-102 Downloads
Eddy Azoulay, Menachem Brenner, Yoram Landskroner and Roy Stein

Volume 70, issue C, 2013

Globalization of monitoring practices: The case of American influences on the dismissal risk of European CEOs pp. 3-15 Downloads
Lars Oxelheim and Trond Randøy
CEO presence on the compensation committee: a puzzle pp. 16-26 Downloads
Glenn Boyle and Helen Roberts
Does CEO turnover matter in China? Evidence from the stock market pp. 27-42 Downloads
Pierre Pessarossi and Laurent Weill
How does the relationship between multiple large shareholders affect corporate valuations? Evidence from China pp. 43-70 Downloads
Minying Cheng, Bingxuan Lin and Minghai Wei
Director compensation in emerging markets: A case study of Thailand pp. 71-91 Downloads
Amnaj Theeravanich
Corporate governance and company performance across Sub-Saharan African countries pp. 92-110 Downloads
Gibson Munisi and Trond Randøy
Productivity and survival of family firms in Japan pp. 111-125 Downloads
Masayuki Morikawa

Volume 69, issue C, 2013

Risk contagion in the north-western and southern European stock markets pp. 1-34 Downloads
André da Silva de Araújo and Maria Teresa Garcia
Preemptive bidding in takeover auctions with externality pp. 35-44 Downloads
Anna Dodonova
Estimating and testing beta pricing models on industries pp. 45-63 Downloads
Yacine Hammami and Anna Lindahl
Time-series momentum as an intra- and inter-industry effect: Implications for market efficiency pp. 64-85 Downloads
Andrei Shynkevich
Competition, ownership and productivity. A panel analysis of Czech firms pp. 86-100 Downloads
Delia Baghdasaryan and Lisbeth la Cour
Comment on Johnson and Soenen (2004): The US stock market and the international value of the US dollar pp. 101-108 Downloads
Mehmet F. Dicle and John Levendis
Page updated 2020-07-15