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 12, issue 4, 2020
- 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
Volume 11, issue 4, 2019
- Basel III: where should we go from here? pp. 457-469
- Quang Nguyen
- Unexpected inflation and cyclic impacts of policy tools on key economic variables – revealed by the assessment ratio pp. 470-484
- Ling T. He
- The role of downward assets volatility in assessing the book-value distance to default pp. 485-504
- Paolo Coccorese and Laura Santucci
- Capital flows and domestic investment: new evidence from OPEC countries pp. 505-532
- Oyakhilome Ibhagui and Kolawole Olawole
- Corporate performance volatility and adverse macroeconomic conditions pp. 533-547
- Rexford Abaidoo
- Banking regulation - burden or blessing? pp. 548-562
- Kim Abildgren
Volume 11, issue 3, 2019
- Credit unions’ acquisitions of banks and thrifts pp. 306-318
- David A. Walker and Kathryn I. Smith
- Monetary policy and macroeconomic responses: non-recursive SVAR study of Egypt pp. 319-337
- Mohamed Aseel Shokr, Zulkefly Abdul Karim and Mohd Azlan Shah Zaidi
- The causality link between political risk and stock prices pp. 338-367
- Huiqiang Wang
- Market power, competition and earnings management: accrual-based activities pp. 368-384
- Hai-Yen Chang, Li-Heng Liang and Hui-Fun Yu
- The underbanked phenomena pp. 385-404
- Xiaoyan Xu
- The integration of mortgage and capital markets: a tale of two administrations pp. 405-431
- Dror Parnes and Srinivas Nippani
- The effect of symmetric and asymmetric information on volatility structure of crypto-currency markets pp. 432-450
- Anwar Hasan Abdullah Othman, Syed Musa Alhabshi and Razali Haron
- A note on liquidity policies and financial networks pp. 451-456
- Danilo Lopomo Beteto Wegner
Volume 11, issue 2, 2018
- Optimal bank interest margin under capital regulation: bank as a liquidity provider pp. 158-173
- Fu-Wei Huang, Shi Chen and Jeng-Yan Tsai
- Evidence of leverage effects and volatility spillover among exchange rates of selected emerging and growth leading economies pp. 174-192
- Ajaya Kumar Panda, Swagatika Nanda, Vipul Kumar Singh and Satish Kumar
- Flight-to-quality and contagion in the European sovereign debt crisis pp. 193-217
- Inês Prates Pereira and Sérgio Lagoa
- The relationship between risk, capital and efficiency in Indian banking: Does ownership matter? pp. 218-231
- Sanjukta Sarkar, Rudra Sensarma and Dipasha Sharma
- The effect of corruption on FDI and its modes of entry pp. 232-250
- Hiep Ngoc Luu, Ngoc Minh Nguyen, Hai Hong Ho and Vu Nam
- Corruption and inflation: evidence from US states pp. 251-262
- Hussein Elkamel
- Has European monetary union influenced the European Union bank lending flows to the EU countries from Central and Eastern Europe? pp. 263-282
- Donny Tang
- On the drivers of BNDES credit to Brazilian state governments pp. 283-302
- Paulo Rogério Faustino Matos and Jaime de Jesus Filho
Volume 11, issue 1, 2018
- The European deposit insurance game plan pp. 2-20
- Theo Kiriazidis
- Financial inclusion and poverty reduction in India pp. 21-33
- Takeshi Inoue
- Banking crises and business cycle: evidence for Italy(1861-2016) pp. 34-61
- Silvana Bartoletto, Bruno Chiarini, Elisabetta Marzano and Paolo Piselli
- Determining illicit financial outflows from sixty developing countries pp. 62-81
- Matiur Rahman, Muhammad Mustafa and Lonnie Turpin
- Globalization, role of institutions and economic performance in Indian economy pp. 82-100
- Madhu Sehrawat and Arun Giri
- Policy uncertainty and dynamics of international trade pp. 101-120
- Rexford Abaidoo
- The importance of being earnest pp. 121-138
- Gonzalo Gomez-Bengoechea and Alfredo Arahuetes
- Explaining banking spread pp. 139-156
- Richard Dwumfour
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