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 10, issue 4, 2018
- Risk, uncertainty and stock returns predictability – a case of emerging equity markets pp. 438-455
- Rakesh Kumar
- A comparative study between the UK and the USA house price indicators before and during the financial crisis of 2007-2009 pp. 456-472
- Abdelhafid Benamraoui
- A reconsideration of operating-financial leverage tradeoff hypothesis pp. 473-483
- Michael T. Dugan, Simon Medcalfe and Sang Hyun Park
Volume 10, issue 3, 2018
- Real sector consequences of bank diversification: evidence across US industries and states pp. 322-341
- Amit Ghosh
- Impact of federal income tax rates and government borrowing on nominal interest rate yields on tax-free municipal bonds pp. 342-350
- Richard Cebula and Usha Nair-Reichert
- Explaining the adoption of benefit corporation laws by the US states pp. 351-368
- Susan M. Murray
- Financial inclusion and economic growth linkage: some cross country evidence pp. 369-385
- Dinabandhu Sethi and Debashis Acharya
- The twin-deficit hypothesis: revisiting Indian economy in a nonlinear framework pp. 386-405
- Javed Ahmad Bhat and Naresh Kumar Sharma
- A discourse analysis of financial inclusion: post-liberalization mapping in rural and urban India pp. 406-425
- Sanjaya Kumar Lenka and Rajesh Barik
- Does financial development accelerate economic growth? pp. 426-435
- Besnik Taip Fetai
Volume 10, issue 2, 2018
- Systemic risk and the organization of the financial system: overview pp. 202-212
- Clas Wihlborg
- International coordination of financial supervision: why has it grown? Will it be sustained? pp. 213-236
- Richard John Herring
- Capital regulation and systemic risk in the insurance sector pp. 237-263
- Thomas Gehrig and Maria Chiara Iannino
- Regulating bank leverage pp. 264-274
- Alexander Bleck
- Raising bank loss absorption capacity through equity capital or bail-in debt pp. 275-280
- Harald A. Benink
- Bondholder reorganization of systemically important financial institutions pp. 281-289
- Steven Gjerstad
- Macro and micro financial liberalizations, savings and growth pp. 290-309
- Goncalo Pina
- Implications of Central banks’ negative policy rates on financial stability pp. 310-320
- Benjamin S. Kay
Volume 10, issue 1, 2018
- Dynamics influences of Tobin’s Q and CEO compensation on US stocks pp. 2-16
- Matiur Rahman and Muhammad Mustafa
- Banking, insurance and economic growth in India pp. 17-37
- Shrutikeerti Kaushal and Amlan Ghosh
- Essay on spillovers from advanced economics (AE) to emerging economics (EM) during the global financial crisis pp. 38-54
- Foluso Akinsola
- CEO power, corporate risk taking and role of large shareholders pp. 55-72
- Junaid Haider and Hong-Xing Fang
- Access to finance and firm innovation pp. 73-94
- MccPowell Sali Fombang and Charles Adjasi
- Paradox of external finance in the Indian manufacturing sector pp. 95-111
- Pradeepta Sethi
- Economic policy uncertainty and stock market liquidity pp. 112-135
- Byomakesh Debata and Jitendra Mahakud
- Modeling the impact of Basel III regulations on loan demand pp. 136-164
- Vighneswara Swamy
- Risk and capital in Indonesian large banks pp. 165-184
- Arisyi Raz
- A policymaker’s dilemma: real linkages or irrational behaviors? pp. 185-200
- Dogus Emin
Volume 9, issue 4, 2017
- How deviations from FOMC’s monetary policy decisions from a benchmark monetary policy rule affect bank profitability: evidence from U.S. banks pp. 354-371
- Nicholas Apergis and Chi Keung Lau
- Information asymmetry and conditional financial sector development pp. 372-392
- Simplice Asongu and Jacinta Nwachukwu
- The relationships among capital flow surges, reversals and sudden stops pp. 393-413
- Levan Efremidze, Sungsoo Kim, Ozan Sula and Thomas D. Willett
- Exchange rate misalignment and economic growth in India pp. 414-434
- Vaseem Akram and Badri Rath
- The relationship between local government economic freedom and bond ratings pp. 435-449
- John Dove
- Abnormal returns from joining Congress? Evidence from new members pp. 450-474
- Joshua Hall, Serkan Karadas and Minh Tam Tammy Schlosky
- Analyzing the topography of financial regulation pp. 475-515
- Vighneswara Swamy
Volume 9, issue 3, 2017
- Economic policy uncertainty, market returns and expected return predictability pp. 242-259
- Frederick A. Adjei and Mavis Adjei
- Establishing credible rules for Fed emergency lending pp. 260-267
- Charles W. Calomiris, Douglas Holtz-Eakin, R. Glenn Hubbard, Allan Meltzer and Hal S. Scott
- Real earnings management or “just business” pp. 268-283
- Angel Arturo Pacheco Paredes and Clark Wheatley
- Do financial crises discipline future credit growth? pp. 284-301
- Puspa Amri, Eric M.P. Chiu, Greg Richey and Thomas D. Willett
- Impact of non-performing loans on US product and labor markets pp. 302-323
- Amit Ghosh
- Recent evidence on political brinkmanship and Treasury yields pp. 324-337
- Srinivas Nippani and Dror Parnes
- Expectations, uncertainty and risk premium pp. 338-352
- Rexford Abaidoo
Volume 9, issue 02, 2017
- Currency demand stability in the presence of seasonality and endogenous financial innovation pp. 122-139
- Sunny Kumar Singh
- Political stability and FDI in the most competitive Asia Pacific countries pp. 140-155
- Mamunur Rashid, Xuan Hui Looi and Shao Jye Wong
- Why RMB should be more flexible pp. 156-173
- Yoke Yue Kan
- Market linkages and conditional correlation between the stock markets of South and Central America pp. 174-197
- Ajaya Kumar Panda and Swagatika Nanda
- Impact of federal budget deficits on theex antereal interest rate yield on Moody’s Baa-rated long-term corporate bonds, 1960-2015 pp. 198-208
- Don Capener, Richard Cebula and Fabrizio Rossi
- Growth-enhancing economic freedom pp. 209-224
- Sriparna Ghosh and Bryan McCannon
- The optimal LTV-ratio, mortgage market variability and monetary policy regimes pp. 225-239
- Trond Arne Borgersen
Volume 9, issue 1, 2017
- Stock prices, exchange rate and interest rate: evidence beyond symmetry pp. 2-19
- Taufeeq Ajaz, Md Zulquar Nain, Bandi Kamaiah and Naresh Kumar Sharma
- Savings-investment-financial development trilogy: evidence from SSA pp. 20-33
- Ibrahim Raheem and Mutiu Oyinlola
- The macroeconomic effects of fiscal consolidation policies in Greece pp. 34-49
- Stephanos Papadamou and Trifon Tzivinikos
- Does public investment crowd-out private investment in India pp. 50-69
- Shanmugam Muthu
- A note on money creation in emerging market economies pp. 70-85
- Alexey Ponomarenko
- Pension accounting reform and future cash flow predictability pp. 86-108
- Michael T. Dugan, Elizabeth H. Turner and Clark M. Wheatley
- Discretionary provisioning practices among Western European banks pp. 109-118
- Peterson Ozili
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