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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 ().

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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 Downloads
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 Downloads
Mariya Gubareva
Tax evasion; public and political corruption and international trade: a global perspective pp. 698-729 Downloads
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 Downloads
Alan Rai and Tim Nelson
The transition to a multi-pillar pension system: the inherent socio-economic anomaly pp. 755-771 Downloads
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 Downloads
Moustapha Daouda Dala
Preferences for deferred annuities in the Japanese retirement market pp. 810-830 Downloads
Tomoki Kitamura and Kunio Nakashima

Volume 13, issue 5, 2021

Are global gold futures returns volatilities and trading activities threshold cointegrated? pp. 525-538 Downloads
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 Downloads
Walid Abdmoulah
Price discovery and pairs trading potentials: the case of metals markets pp. 565-586 Downloads
Saji Thazhugal Govindan Nair
Analyses of wavelet coherence: financial risk and economic risk in China pp. 587-599 Downloads
Dervis Kirikkaleli
Displacement and debt – the role of debt in returning to work after displacement pp. 600-650 Downloads
Robert Bednarzik, Andreas Kern and John Hisnanick
Systemic risk and firm size: is notional amount a good metric? pp. 651-663 Downloads
David Reiffen and Bruce Tuckman

Volume 13, issue 4, 2020

Banks’ international assets and sovereign default risk pp. 409-423 Downloads
Filippo Gori
Chinese banking failure: the case of Baoshang Bank and its implications pp. 424-441 Downloads
Kerry Liu
Welfare effects of limiting bank loans pp. 442-461 Downloads
Arup Bose, Debashis Pal and David Sappington
Covid-19, out-of-pocket medical expenses and consumption pp. 462-478 Downloads
Jonathan E. Leightner
Money stock determination process and money multiplier: case of South Korea pp. 479-490 Downloads
Serdar Ongan and Ismet Gocer
Measuring risk exposure in the banking sectors: evidence from Gulf Cooperation countries pp. 491-501 Downloads
Anwar S. Al-Gasaymeh, Thair A. Kaddumi and Ghazi M. Qasaimeh
Does the US influence ASEAN+3 equity market integration? pp. 502-524 Downloads
Md. Saifur Rahman and Shahari Farihana

Volume 13, issue 3, 2021

Momentum strategies in times of economic policy uncertainty pp. 285-300 Downloads
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 Downloads
James Barth, Yanfei Sun and Shen Zhang
Cross-country income variations and inclusive financing pp. 317-336 Downloads
Muhammad Nabeel Safdar, Tian Lin and Saba Amin
Equity market-related economic uncertainty and the “economic contagion phenomenon” pp. 337-352 Downloads
Rexford Abaidoo and Ayodele Alade
The bright side of geopolitical risk: evidence from Chinese firms pp. 353-370 Downloads
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 Downloads
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 Downloads
Arif Dar and Farid Ahmed

Volume 13, issue 2, 2021

Alternative frameworks for measuring credit gaps and setting countercyclical capital buffers pp. 161-179 Downloads
Nicolas Reigl and Lenno Uusküla
Financial inclusion and business cycles pp. 180-199 Downloads
Peterson Ozili
The estimation of leverage coefficients in corporate finance research: a review of the literature pp. 200-205 Downloads
Michael T. Dugan
Institutional ownership of dual-class companies pp. 206-222 Downloads
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 Downloads
Sunil Sangwan and Narayan Chandra Nayak
Expansionary monetary policy and corporate investment in an emerging market pp. 239-255 Downloads
Quoc Trung Tran
Bank mergers: the cyclical behaviour of regulation, risk and returns pp. 256-284 Downloads
Mohamad Hassan and Evangelos Giouvris

Volume 13, issue 1, 2020

Probability of mergers and acquisitions deal failure pp. 1-30 Downloads
Sailesh Tanna, Ibrahim Yousef and Matthias Nnadi
Does corporate governance explain the quality of bank loan portfolios? pp. 31-44 Downloads
Vera Fiador and Emmanuel Sarpong-Kumankoma
Does financial integration drive export diversification? Evidence from a cross-country analysis pp. 45-61 Downloads
Bhushan Jangam and Vaseem Akram
Does bank integration contribute to insolvencies and crises? pp. 62-93 Downloads
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 Downloads
Hechem Ajmi and Nadia Arfaoui
Evaluating financial stress indicators: evidence from Indian data pp. 116-135 Downloads
Sruti Mundra and Motilal Bicchal
Student selectivity and higher education institutions credit ratings pp. 136-159 Downloads
Aron Gottesman and Iuliana Ismailescu

Volume 12, issue 4, 2019

Financing housing and house prices in China pp. 445-461 Downloads
Philip Arestis and Maggie Mo Jia
Absence of the weekend effect and industry-style portfolios pp. 463-475 Downloads
Selma Izadi and Abdullah Noman
Financial liberalisation, financial development and financial crises in SADC countries pp. 477-494 Downloads
Clement Moyo and Pierre Le Roux
Financial institutions mergers: a strategy choice of wealth maximisation and economic value pp. 495-529 Downloads
Mohamad Hassan and Evangelos Giouvris
Exchange rate exposure and firm productivity in India pp. 531-543 Downloads
Sonali Madhusmita Mohapatra
How bank regulations impact efficiency and performance? pp. 545-575 Downloads
Mohamad Hassan
Impact of Eurozone crisis on domestic bank lending in India pp. 577-591 Downloads
Vighneswara Swamy
Channels of financial sector development and the inequality widening (narrowing) hypothesis – evidence from India pp. 593-608 Downloads
Atul Mehta and Joysankar Bhattacharya
Multinational enterprises motivational factors in capitalizing emerging market opportunities and preparedness of India pp. 609-640 Downloads
Suranjan Bhattacheryay
Some dynamic macroeconomic perspectives for India’s economic growth pp. 641-658 Downloads
Matiur Rahman and Anisul Islam
Alternative futures for Government of Canada debt management pp. 659-685 Downloads
Corey Garriott, Sophie Lefebvre, Guillaume Nolin, Francisco Rivadeneyra and Adrian Walton
Financial inclusion in Africa: does it promote entrepreneurship? pp. 687-706 Downloads
Folorunsho Ajide
Fiscal autonomy and stabilization: an empirical analysis of US state governments pp. 707-719 Downloads
Sungchan Kim
An Austrian critique of the Prebisch-singer theory of the deterioration in the terms of trade pp. 721-735 Downloads
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 Downloads
Richard Cebula
Reputational risk management in conditions of credibility gap in the banking system pp. 327-343 Downloads
Karyna Trostianska and Ilona Semencha
Pattern of public debt and debt overhang among BRICS nations: an empirical analysis pp. 345-363 Downloads
Justin Joy and Prasant Kumar Panda
The effect of changing fiscal year-ends on audit fees and audit quality pp. 365-382 Downloads
Angel Arturo Pacheco Paredes and Clark Wheatley
Dynamics of income diversification and bank performance in India pp. 383-407 Downloads
Harishankar Vidyarthi
Non-performing loans in European systemic and non-systemic banks pp. 409-424 Downloads
Peterson Ozili
Subsidiary ownership decisions by bank holding companies pp. 425-444 Downloads
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 Downloads
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 Downloads
Sin-Yu Ho and Nicholas Odhiambo
Non-performing loans in European Union: country governance dimensions pp. 209-226 Downloads
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 Downloads
Mohamed Aseel Shokr
Revisiting the relationship between unexpected inflation and output in the presence of indexation pp. 245-261 Downloads
Pavlo Buryi and Ficawoyi Donou-Adonsou
Sovereign credit ratings and bond yield spreads in emerging markets pp. 263-277 Downloads
Saji Thazhugal Govindan Nair
The nexus between financial development and trade performance pp. 279-291 Downloads
Puneet Kumar Arora and Jaydeep Mukherjee
Testing fisher effect for the USA: application of nonlinear ARDL model pp. 293-304 Downloads
Serdar Ongan and Ismet Gocer

Volume 12, issue 1, 2019

Global financial economic crisis transmission on the transition economy pp. 1-22 Downloads
Nargiza Alymkulova and Junus Ganiev
Exchange rate volatility and exports from India: a commodity-level panel data analysis pp. 23-44 Downloads
Chandan Sharma
Investment, financial sector development and the degree of emerging markets integration pp. 45-64 Downloads
Nicholas Addai Boamah
Economic freedom variables endogenous to business cycles pp. 65-75 Downloads
Ryan H. Murphy
Granger-causes of the Ringgit-US dollar exchange rate after 2005 pp. 77-96 Downloads
Yoke Yue Kan and Markus Leibrecht
Exchange rate and long-run price relationship in 19 selected European and LDCs pp. 97-120 Downloads
Augustine Chuck Arize, Ebere Ume Kalu, Chinwe Okoyeuzu and John Malindretos
Money supply and inflation impact on economic growth pp. 121-136 Downloads
Dinh Doan Van
CEO compensation, portfolio holdings and strategic investments pp. 137-160 Downloads
Richard A. Lord, Yoshie Saito, Joseph R. Nicholson and Michael T. Dugan
Page updated 2025-06-30