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 16, issue 4, 2007
- Regulating financial conglomerates pp. 479-514

- Xavier Freixas, Gyongyi Loranth and Alan D. Morrison
- Is cash negative debt? A hedging perspective on corporate financial policies pp. 515-554

- Viral Acharya, Heitor Almeida and Murillo Campello
- Herd behavior in the Japanese loan market: Evidence from bank panel data pp. 555-583

- Hirofumi Uchida and Ryuichi Nakagawa
- Governance and bank valuation pp. 584-617

- Gerard Caprio, Luc Laeven and Ross Levine
Volume 16, issue 3, 2007
- How do legal differences and experience affect financial contracts? pp. 273-311

- Steven Kaplan, Frederic Martel and Per Stromberg
- Optimal capital allocation using RAROC(TM) and EVA(R) pp. 312-342

- Neal M. Stoughton and Josef Zechner
- Why government bonds are sold by auction and corporate bonds by posted-price selling pp. 343-367

- Michel A. Habib and Alexandre Ziegler
- Experience, screening and syndication in venture capital investments pp. 368-398

- Catherine Casamatta and Carole Haritchabalet
- The impact of competition on bank orientation pp. 399-424

- Hans Degryse and Steven Ongena
- Multiple-bank lending: Diversification and free-riding in monitoring pp. 425-451

- Elena Carletti, Vittoria Cerasi and Sonja Daltung
- Evidence of jointness in the terms of relationship lending pp. 452-476

- Ivan E. Brick and Darius Palia
Volume 16, issue 2, 2007
- Corporate liquidity, investment and financial constraints: Implications from a multi-period model pp. 151-174

- Sudipto Dasgupta and Kunal Sengupta
- Prudent man or agency problem? On the performance of insurance mutual funds pp. 175-203

- Xuanjuan Chen, Tong Yao and Tong Yu
- Dealer behavior in the specials market for US Treasury securities pp. 204-228

- Michael Fleming and Kenneth Garbade
- Manager wealth concentration, ownership structure, and risk in commercial banks pp. 229-248

- Richard Sullivan and Kenneth Spong
- Participant reaction and the performance of funds offered by 401(k) plans pp. 249-271

- Edwin J. Elton, Martin J. Gruber and Christopher R. Blake
Volume 16, issue 1, 2007
- Too many to fail--An analysis of time-inconsistency in bank closure policies pp. 1-31

- Viral Acharya and Tanju Yorulmazer
- Financial liberalization and banking crises: The role of capital inflows and lack of transparency pp. 32-63

- Mariassunta Giannetti
- The risk-weights in the New Basel Capital Accord: Lessons from bond spreads based on a simple structural model pp. 64-90

- Andrea Resti and Andrea Sironi
- Raising rival's costs in the securities settlement industry pp. 91-116

- Cornelia Holthausen and Jens Tapking
- Earnings announcements, private information, and strategic informed trading pp. 117-149

- Jin-Wan Cho
Volume 15, issue 4, 2006
- The disciplinary role of debt and equity contracts: Theory and tests pp. 419-443

- Yaniv Grinstein
- An empirical analysis of home equity loan and line performance pp. 444-469

- Sumit Agarwal, Brent Ambrose, Souphala Chomsisengphet and Chunlin Liu
- Trading around macroeconomic announcements: Are all traders created equal? pp. 470-493

- Grigori Erenburg, Alexander Kurov and Dennis J. Lasser
- LEAPS introductions and the value of the underlying stocks pp. 494-510

- Leonard L. Lundstrum and Mark D. Walker
- Costs of broad-based stock option plans pp. 511-534

- Paul Oyer and Scott Schaefer
- Learning from a rival bank and lending boom pp. 535-555

- Yoshiaki Ogura
- Debt contracts and collapse as competition phenomena pp. 556-574

- Hans Gersbach and Harald Uhlig
Volume 15, issue 3, 2006
- Accounting, Transparency and Bank Stability pp. 281-284

- Mark Flannery and Anjan Thakor
- Disclosure, investment and regulation pp. 285-306

- Per Ostberg
- The transparency of the banking system and the efficiency of information-based bank runs pp. 307-331

- Yehning Chen and Iftekhar Hasan
- Market discipline, disclosure and moral hazard in banking pp. 332-361

- Erlend Nier and Ursel Baumann
- An analysis of VaR-based capital requirements pp. 362-394

- Domenico Cuoco and Hong Liu
- Procyclicality in Basel II: Can we treat the disease without killing the patient? pp. 395-417

- Michael Gordy and Bradley Howells
Volume 15, issue 2, 2006
- The corporate purchase of property insurance: Chinese evidence pp. 165-196

- Hong Zou and Mike B. Adams
- How does the financial environment affect the stock market valuation of R&D spending? pp. 197-214

- G. Geoffrey Booth, Juha Junttila, Juha-Pekka Kallunki, Markku Rahiala and Petri Sahlstrom
- Insider transfer trading of banking companies around exchange listing pp. 215-234

- Keng-Hsin Lo, Kehluh Wang and Tsai-Ling Liao
- Bookbuilding with heterogeneous investors pp. 235-253

- Tore Leite
- Explaining the diversity in shareholder lockup agreements pp. 254-280

- Marc Goergen, Luc Renneboog and Arif Khurshed
Volume 15, issue 1, 2006
- Agency conflicts, ownership concentration, and legal shareholder protection pp. 1-31

- Mike Burkart and Fausto Panunzi
- So who gains from a small tick size? pp. 32-66

- Ohad Kadan
- Forecasting risk, informed speculation, and financial innovation pp. 67-85

- Norvald Instefjord
- Lending relationships in line-of-credit and nonline-of-credit loans: Evidence from collateral use in small business pp. 86-107

- Atreya Chakraborty and Charles X. Hu
- Does internalization diminish the impact of quote aggressiveness on dealer market share? pp. 108-131

- Kee H. Chung, Chairat Chuwonganant and D. Timothy McCormick
- Why derivatives on derivatives? The case of spread futures pp. 132-159

- Charles J. Cuny
Volume 14, issue 4, 2005
- Protective interests and creative destruction pp. 401-431

- Stefan Arping
- Risk-based capital standards, deposit insurance, and procyclicality pp. 432-465

- George Pennacchi
- Who knows what when? The information content of pre-IPO market prices pp. 466-484

- Gunter Loffler, Patrick F. Panther and Erik Theissen
- The profitability of bank-borrower relationships pp. 485-512

- Ozgur Ergungor
Volume 14, issue 3, 2005
- Financial innovations and corporate bankruptcy pp. 283-317

- Julian Franks and Oren Sussman
- Market discipline of bank risk: Evidence from subordinated debt contracts pp. 318-350

- Vidhan Goyal
- Relative performance objectives in financial markets pp. 351-375

- Frederic Palomino
- Hold-up, stakeholders and takeover threats pp. 376-397

- Gilles Chemla
Volume 14, issue 2, 2005
- Corporate risk management: evidence from product liability pp. 152-178

- Anne Beatty, Anne Gron and Bjørn Jørgensen
- Strategic noise in competitive markets for the sale of information pp. 179-209

- Laurent Germain
- Does investor identity matter in equity issues? Evidence from private placements pp. 210-238

- Srinivasan Krishnamurthy, Paul Spindt, Venkat Subramaniam and Tracie Woidtke
- Bidding dynamics in multi-unit auctions: empirical evidence from online auctions of certificates of deposit pp. 239-252

- Kevin C.H. Chiang and Ashley W.P. Kung
- Exit timing of venture capitalists in the course of an initial public offering pp. 253-277

- Werner Neus and Uwe Walz
- Erratum to "Explaining the dramatic changes in performance of US banks: Technological change, deregulation, and dynamic changes in competition" [J. Fin. Intermed. 12 (2003) 57-95] pp. 278-279

- Allen Berger and Loretta Mester
Volume 14, issue 1, 2005
- Talking up liquidity: insider trading and investor relations pp. 1-31

- Harrison Hong and Ming Huang
- Empirical determinants of relationship lending pp. 32-57

- Ralf Elsas
- Does monetary policy affect the central bank's role in bank supervision? pp. 58-85

- Vasso Ioannidou
- International trade-venue clienteles and order-flow competitiveness pp. 86-113

- Lawrence Kryzanowski and Arturo Rubalcava
- Security analysis and market making pp. 114-141

- Kee H. Chung and Seong-Yeon Cho
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