Journal of Financial Intermediation
1990 - 2025
Current editor(s): Elu von Thadden From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 51, issue C, 2022
- Interbank connections, contagion and bank distress in the Great Depression✰

- Charles W. Calomiris, Matthew Jaremski and David Wheelock
- Villains or scapegoats? The role of subprime borrowers in driving the U.S. housing boom

- James N. Conklin, W Frame, Kristopher Gerardi and Haoyang Liu
- A leverage-based measure of financial stability

- Tobias Adrian, Karol Borowiecki and Alexander Tepper
- Explicit deposit insurance design: International effects on bank lending during the global financial crisis✰

- Iftekhar Hasan, Liuling Liu, Anthony Saunders and Gaiyan Zhang
- Countercyclical prudential buffers and bank risk-taking

- Manuel Illueca, Lars Norden, Joseph Pacelli and Gregory F. Udell
- Consumption response to temporary price shock: Evidence from Singapore's annual sale event

- Sumit Agarwal, Kang Mo Koo and Wenlan Qian
- Private equity and Covid-19

- Paul Gompers, Steven N. Kaplan and Vladimir Mukharlyamov
- What lies beneath—Negative interest rates and bank lending

- Tan Schelling and Pascal Towbin
- Bailing out conflicted sovereigns

- Charles W. Calomiris and Theofanis Tsoulouhas
- The riskiness of credit allocation and financial stability

- Luis Brandão-Marques, Qianying Chen, Claudio Raddatz, Jérôme Vandenbussche and Peichu Xie
Volume 50, issue C, 2022
- Fintech in the time of COVID−19: Technological adoption during crises

- Jonathan Fu and Mrinal Mishra
- The company you keep: Investment adviser clientele and mutual fund performance✰

- William Beggs
- Venture Capital Coordination in Syndicates, Corporate Monitoring, and Firm Performance

- Jun-Koo Kang, Yingxiang Li and Seungjoon Oh
- The Costs and Benefits of Performance Fees in Mutual Funds

- Henri Servaes and Kari Sigurdsson
- Institutional Shareholders and Bank Capital

- Alexandre Garel, Arthur Petit-Romec and Rudi Vander Vennet
- Bank use of sovereign CDS in the Eurozone crisis: Hedging and risk incentives

- Viral Acharya, Yalin Gündüz and Timothy C. Johnson
Volume 49, issue C, 2022
- The spread of deposit insurance and the global rise in bank asset risk since the 1970s

- Charles W. Calomiris and Sophia Chen
- Economic policy uncertainty and bank liquidity hoarding

- Allen N. Berger, Omrane Guedhami, Hugh Hoikwang Kim and Xinming Li
- Real liquidity and banking

- Zehao Liu and Ping He
- Information disclosure and the feedback effect in capital markets

- Spyros Terovitis
- Who Values Economist Forecasts? Evidence From Trading in Treasury Markets

- Robert James, Elvis Jarnecic and Henry Leung
- Banking integration and growth: Role of banks' previous industry exposure

- Neslihan Karakaya, Tomasz Michalski and Evren Örs
Volume 48, issue C, 2021
- The agency of CoCos: Why contingent convertible bonds are not for everyone

- Roman Goncharenko, Steven Ongena and Asad Rauf
- Capital requirements and mortgage pricing: Evidence from Basel II

- Matteo Benetton, Peter Eckley, Nicola Garbarino, Liam Kirwin and Georgia Latsi
- Liquidity from two lending facilities

- Sriya Anbil and Angela Vossmeyer
- Securitization and optimal foreclosure

- John Chi-Fong Kuong and Jing Zeng
- Portfolio rebalancing and the transmission of large-scale asset purchase programs: Evidence from the Euro area

- Ugo Albertazzi, Bo Becker and Miguel Boucinha
- Liquidity and price pressure in the corporate bond market: evidence from mega-bonds

- Jean Helwege and Liying Wang
- The real effects of relationship lending✰

- Ryan Banerjee, Leonardo Gambacorta and Enrico Sette
- Large banks and small firm lending

- Vitaly M. Bord, Victoria Ivashina and Ryan D. Taliaferro
- Credit default swaps and corporate bond trading

- Robert Czech
- COVID-19, policy interventions and credit: The Brazilian experience

- Lars Norden, Daniel Mesquita and Weichao Wang
Volume 47, issue C, 2021
- The flight from maturity

- Gary Gorton, Andrew Metrick and Lei Xie
- Watering a lemon tree: Heterogeneous risk taking and monetary policy transmission

- Dong Beom Choi, Thomas Eisenbach and Tanju Yorulmazer
- Corporate Inversions and Governance

- Felipe Cortes, Armando Gomes and Radhakrishnan Gopalan
- Management insulation and bank failures

- Daniel Ferreira, David Kershaw, Tom Kirchmaier and Edmund Schuster
- Surviving the perfect storm: The role of the lender of last resort☆

- Nuno Alves, Diana Bonfim and Carla Soares
- Two shades of opacity: Hidden orders and dark trading

- Hans Degryse, Nikolaos Karagiannis, Geoffrey Tombeur and Gunther Wuyts
- The external effects of bank executive pay: Liquidity creation and systemic risk

- Robert DeYoung and Minjie Huang
- The wolves of Wall Street? Managerial attributes and bank risk

- Jens Hagendorff, Anthony Saunders, Sascha Steffen and Francesco Vallascas
Volume 46, issue C, 2021
- Capital inflows, equity issuance activity, and corporate investment

- Charles W. Calomiris, Mauricio Larrain and Sergio Schmukler
- Transparency as a remedy for agency problems in securitization? The case of ECB’s loan-level reporting initiative

- Philipp Klein, Carina Mössinger and Andreas Pfingsten
- The impacts of stricter merger legislation on bank mergers and acquisitions: Too-Big-To-Fail and competition

- Elena Carletti, Steven Ongena, Jan-Peter Siedlarek and Giancarlo Spagnolo
- The Effects of Liquidity Regulation on Bank Demand in Monetary Policy Operations

- Marcelo Rezende, Mary-Frances Styczynski and Cindy M. Vojtech
- Active loan trading

- Frank J. Fabozzi, Sven Klingler, Pia Mølgaard and Mads Stenbo Nielsen
- Sources of Liquidity and Liquidity Shortages

- Charles Kahn and Wolf Wagner
- Should bank capital regulation be risk sensitive?

- Toni Ahnert, James Chapman and Carolyn Wilkins
- Underpricing in the euro area bond market: New evidence from post-crisis regulation and quantitative easing

- Tobias Rischen and Erik Theissen
- Optimal macroprudential policy and rational bubbles

- Xavier Freixas and David Perez-Reyna
Volume 45, issue C, 2021
- Politics, credit allocation and bank capital requirements

- Anjan Thakor
- Bank capital requirements, loan guarantees and firm performance

- Sergio Mayordomo, Antonio Moreno, Steven Ongena and Maria Rodriguez-Moreno
- The economics of PIPEs

- Jongha Lim, Michael Schwert and Michael Weisbach
- Capital structure under collusion

- Daniel Ferrés, Gaizka Ormazabal, Paul Povel and Giorgo Sertsios
- Do banks appraise internal capital markets during credit shocks? Evidence from the Greek crisis

- Panagiotis Avramidis, Ioannis Asimakopoulos, Dimitrios Malliaropulos and Nickolaos G. Travlos
- Foreign banks and trade

- Stijn Claessens and Neeltje Van Horen
- Financial integration and credit democratization: Linking banking deregulation to economic growth

- Elizabeth A. Berger, Alexander Butler, Edwin Hu and Morad Zekhnini
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