Journal of Financial Economic Policy
2009 - 2024
Current editor(s): Prof Franklin Mixon From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). Access Statistics for this journal.
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Volume 13, issue 6, 2021
- The relationship between financial development and effectiveness of monetary policy: new evidence from ASEAN-3 countries pp. 665-685

- Zulkefly Abdul Karim, Danie Eirieswanty Kamal Basa and Bakri Abdul Karim
- Lower reversal limit of the European Central Bank deposit rate and sustainability of traditional banking business model pp. 686-697

- Mariya Gubareva
- Tax evasion; public and political corruption and international trade: a global perspective pp. 698-729

- Ophias Kurauone, Yusheng Kong, Huaping Sun, Takuriramunashe Famba and Simbarashe Muzamhindo
- Financing costs and barriers to entry in Australia’s electricity market pp. 730-754

- Alan Rai and Tim Nelson
- The transition to a multi-pillar pension system: the inherent socio-economic anomaly pp. 755-771

- Ishay Wolf and Jose Maria Caridad y Ocerin
- Bank stockholders’ vs bank bondholders’ market discipline during crisis time: an investigation based on supervisory stress test information disclosure pp. 772-809

- Moustapha Daouda Dala
- Preferences for deferred annuities in the Japanese retirement market pp. 810-830

- Tomoki Kitamura and Kunio Nakashima
Volume 13, issue 5, 2021
- Are global gold futures returns volatilities and trading activities threshold cointegrated? pp. 525-538

- Chien-Hung Chen, Nicholas Lee, Fu-Min Chang and Li-Peng Lan
- Competition and financial institutions and markets development: a dynamic panel data analysis pp. 539-564

- Walid Abdmoulah
- Price discovery and pairs trading potentials: the case of metals markets pp. 565-586

- Saji Thazhugal Govindan Nair
- Analyses of wavelet coherence: financial risk and economic risk in China pp. 587-599

- Dervis Kirikkaleli
- Displacement and debt – the role of debt in returning to work after displacement pp. 600-650

- Robert Bednarzik, Andreas Kern and John Hisnanick
- Systemic risk and firm size: is notional amount a good metric? pp. 651-663

- David Reiffen and Bruce Tuckman
Volume 13, issue 4, 2020
- Banks’ international assets and sovereign default risk pp. 409-423

- Filippo Gori
- Chinese banking failure: the case of Baoshang Bank and its implications pp. 424-441

- Kerry Liu
- Welfare effects of limiting bank loans pp. 442-461

- Arup Bose, Debashis Pal and David Sappington
- Covid-19, out-of-pocket medical expenses and consumption pp. 462-478

- Jonathan E. Leightner
- Money stock determination process and money multiplier: case of South Korea pp. 479-490

- Serdar Ongan and Ismet Gocer
- Measuring risk exposure in the banking sectors: evidence from Gulf Cooperation countries pp. 491-501

- Anwar S. Al-Gasaymeh, Thair A. Kaddumi and Ghazi M. Qasaimeh
- Does the US influence ASEAN+3 equity market integration? pp. 502-524

- Md. Saifur Rahman and Shahari Farihana
Volume 13, issue 3, 2021
- Momentum strategies in times of economic policy uncertainty pp. 285-300

- Jessica Paule-Vianez, Júlio Lobão, Raúl Gómez-Martínez and Camilo Prado-Román
- Opportunity zones: do tax benefits go to the most distressed communities? pp. 301-316

- James Barth, Yanfei Sun and Shen Zhang
- Cross-country income variations and inclusive financing pp. 317-336

- Muhammad Nabeel Safdar, Tian Lin and Saba Amin
- Equity market-related economic uncertainty and the “economic contagion phenomenon” pp. 337-352

- Rexford Abaidoo and Ayodele Alade
- The bright side of geopolitical risk: evidence from Chinese firms pp. 353-370

- Ha Kieu Oanh and Khanh Hoang
- Earnings management, policy uncertainty and firm life cycle stages: evidence from publicly traded companies in the USA and Brazil pp. 371-390

- Carolina Magda da Silva Roma, Luiz Cláudio Louzada, Paula Magda da Silva Roma, Hiromitsu Goto and Wataru Souma
- Financial inclusion determinants and impediments in India: insights from the global financial inclusion index pp. 391-408

- Arif Dar and Farid Ahmed
Volume 13, issue 2, 2021
- Alternative frameworks for measuring credit gaps and setting countercyclical capital buffers pp. 161-179

- Nicolas Reigl and Lenno Uusküla
- Financial inclusion and business cycles pp. 180-199

- Peterson Ozili
- The estimation of leverage coefficients in corporate finance research: a review of the literature pp. 200-205

- Michael T. Dugan
- Institutional ownership of dual-class companies pp. 206-222

- Jonathan J. Burson and Marlin R.H. Jensen
- Factors influencing the borrower loan size in microfinance group lending: a survey from Indian microfinance institutions pp. 223-238

- Sunil Sangwan and Narayan Chandra Nayak
- Expansionary monetary policy and corporate investment in an emerging market pp. 239-255

- Quoc Trung Tran
- Bank mergers: the cyclical behaviour of regulation, risk and returns pp. 256-284

- Mohamad Hassan and Evangelos Giouvris
Volume 13, issue 1, 2020
- Probability of mergers and acquisitions deal failure pp. 1-30

- Sailesh Tanna, Ibrahim Yousef and Matthias Nnadi
- Does corporate governance explain the quality of bank loan portfolios? pp. 31-44

- Vera Fiador and Emmanuel Sarpong-Kumankoma
- Does financial integration drive export diversification? Evidence from a cross-country analysis pp. 45-61

- Bhushan Jangam and Vaseem Akram
- Does bank integration contribute to insolvencies and crises? pp. 62-93

- Yanfei Sun and Yinan Ni
- Effects of the political risk on Bitcoin return and volatility: evidence from the 2016 US presidential election pp. 94-115

- Hechem Ajmi and Nadia Arfaoui
- Evaluating financial stress indicators: evidence from Indian data pp. 116-135

- Sruti Mundra and Motilal Bicchal
- Student selectivity and higher education institutions credit ratings pp. 136-159

- Aron Gottesman and Iuliana Ismailescu
Volume 12, issue 4, 2019
- Financing housing and house prices in China pp. 445-461

- Philip Arestis and Maggie Mo Jia
- Absence of the weekend effect and industry-style portfolios pp. 463-475

- Selma Izadi and Abdullah Noman
- Financial liberalisation, financial development and financial crises in SADC countries pp. 477-494

- Clement Moyo and Pierre Le Roux
- Financial institutions mergers: a strategy choice of wealth maximisation and economic value pp. 495-529

- Mohamad Hassan and Evangelos Giouvris
- Exchange rate exposure and firm productivity in India pp. 531-543

- Sonali Madhusmita Mohapatra
- How bank regulations impact efficiency and performance? pp. 545-575

- Mohamad Hassan
- Impact of Eurozone crisis on domestic bank lending in India pp. 577-591

- Vighneswara Swamy
- Channels of financial sector development and the inequality widening (narrowing) hypothesis – evidence from India pp. 593-608

- Atul Mehta and Joysankar Bhattacharya
- Multinational enterprises motivational factors in capitalizing emerging market opportunities and preparedness of India pp. 609-640

- Suranjan Bhattacheryay
- Some dynamic macroeconomic perspectives for India’s economic growth pp. 641-658

- Matiur Rahman and Anisul Islam
- Alternative futures for Government of Canada debt management pp. 659-685

- Corey Garriott, Sophie Lefebvre, Guillaume Nolin, Francisco Rivadeneyra and Adrian Walton
- Financial inclusion in Africa: does it promote entrepreneurship? pp. 687-706

- Folorunsho Ajide
- Fiscal autonomy and stabilization: an empirical analysis of US state governments pp. 707-719

- Sungchan Kim
- An Austrian critique of the Prebisch-singer theory of the deterioration in the terms of trade pp. 721-735

- Alan G. Futerman and Walter E. Block
Volume 12, issue 3, 2019
- Federal aggregate personal income tax evasion/unreported income and its real interest rate yield effects on longer-term treasury debt issues pp. 305-325

- Richard Cebula
- Reputational risk management in conditions of credibility gap in the banking system pp. 327-343

- Karyna Trostianska and Ilona Semencha
- Pattern of public debt and debt overhang among BRICS nations: an empirical analysis pp. 345-363

- Justin Joy and Prasant Kumar Panda
- The effect of changing fiscal year-ends on audit fees and audit quality pp. 365-382

- Angel Arturo Pacheco Paredes and Clark Wheatley
- Dynamics of income diversification and bank performance in India pp. 383-407

- Harishankar Vidyarthi
- Non-performing loans in European systemic and non-systemic banks pp. 409-424

- Peterson Ozili
- Subsidiary ownership decisions by bank holding companies pp. 425-444

- Wenling Lu and Wan-Jiun Paul Chiou
Volume 12, issue 2, 2019
- The impact of cryptocurrencies market development on banks’ deposits variability in the GCC region pp. 161-184

- Anwar Hasan Abdullah Othman, Syed Musa Alhabshi, Salina Kassim and Ashurov Sharofiddin
- The macroeconomic drivers of stock market development: evidence from Hong Kong pp. 185-207

- Sin-Yu Ho and Nicholas Odhiambo
- Non-performing loans in European Union: country governance dimensions pp. 209-226

- Yok Yong Lee, Mohd Hisham Dato Haji Yahya, Muzafar Shah Habibullah and Zariyawati Mohd Ashhari
- Real interest rate, income and bank loans: panel evidence from Egypt pp. 227-243

- Mohamed Aseel Shokr
- Revisiting the relationship between unexpected inflation and output in the presence of indexation pp. 245-261

- Pavlo Buryi and Ficawoyi Donou-Adonsou
- Sovereign credit ratings and bond yield spreads in emerging markets pp. 263-277

- Saji Thazhugal Govindan Nair
- The nexus between financial development and trade performance pp. 279-291

- Puneet Kumar Arora and Jaydeep Mukherjee
- Testing fisher effect for the USA: application of nonlinear ARDL model pp. 293-304

- Serdar Ongan and Ismet Gocer
Volume 12, issue 1, 2019
- Global financial economic crisis transmission on the transition economy pp. 1-22

- Nargiza Alymkulova and Junus Ganiev
- Exchange rate volatility and exports from India: a commodity-level panel data analysis pp. 23-44

- Chandan Sharma
- Investment, financial sector development and the degree of emerging markets integration pp. 45-64

- Nicholas Addai Boamah
- Economic freedom variables endogenous to business cycles pp. 65-75

- Ryan H. Murphy
- Granger-causes of the Ringgit-US dollar exchange rate after 2005 pp. 77-96

- Yoke Yue Kan and Markus Leibrecht
- Exchange rate and long-run price relationship in 19 selected European and LDCs pp. 97-120

- Augustine Chuck Arize, Ebere Ume Kalu, Chinwe Okoyeuzu and John Malindretos
- Money supply and inflation impact on economic growth pp. 121-136

- Dinh Doan Van
- CEO compensation, portfolio holdings and strategic investments pp. 137-160

- Richard A. Lord, Yoshie Saito, Joseph R. Nicholson and Michael T. Dugan
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