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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 11, issue 4, 2019

Basel III: where should we go from here? pp. 457-469 Downloads
Quang Nguyen
Unexpected inflation and cyclic impacts of policy tools on key economic variables – revealed by the assessment ratio pp. 470-484 Downloads
Ling T. He
The role of downward assets volatility in assessing the book-value distance to default pp. 485-504 Downloads
Paolo Coccorese and Laura Santucci
Capital flows and domestic investment: new evidence from OPEC countries pp. 505-532 Downloads
Oyakhilome Ibhagui and Kolawole Olawole
Corporate performance volatility and adverse macroeconomic conditions pp. 533-547 Downloads
Rexford Abaidoo
Banking regulation - burden or blessing? pp. 548-562 Downloads
Kim Abildgren

Volume 11, issue 3, 2018

Credit unions’ acquisitions of banks and thrifts pp. 306-318 Downloads
David A. Walker and Kathryn I. Smith
Monetary policy and macroeconomic responses: non-recursive SVAR study of Egypt pp. 319-337 Downloads
Mohamed Aseel Shokr, Zulkefly Abdul Karim and Mohd Azlan Shah Zaidi
The causality link between political risk and stock prices pp. 338-367 Downloads
Huiqiang Wang
Market power, competition and earnings management: accrual-based activities pp. 368-384 Downloads
Hai-Yen Chang, Li-Heng Liang and Hui-Fun Yu
The underbanked phenomena pp. 385-404 Downloads
Xiaoyan Xu
The integration of mortgage and capital markets: a tale of two administrations pp. 405-431 Downloads
Dror Parnes and Srinivas Nippani
The effect of symmetric and asymmetric information on volatility structure of crypto-currency markets pp. 432-450 Downloads
Anwar Hasan Abdullah Othman, Syed Musa Alhabshi and Razali Haron
A note on liquidity policies and financial networks pp. 451-456 Downloads
Danilo Lopomo Beteto Wegner

Volume 11, issue 2, 2019

Optimal bank interest margin under capital regulation: bank as a liquidity provider pp. 158-173 Downloads
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 Downloads
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 Downloads
Inês Prates Pereira and Sérgio Lagoa
The relationship between risk, capital and efficiency in Indian banking: Does ownership matter? pp. 218-231 Downloads
Sanjukta Sarkar, Rudra Sensarma and Dipasha Sharma
The effect of corruption on FDI and its modes of entry pp. 232-250 Downloads
Hiep Ngoc Luu, Ngoc Minh Nguyen, Hai Hong Ho and Vu Nam
Corruption and inflation: evidence from US states pp. 251-262 Downloads
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 Downloads
Donny Tang
On the drivers of BNDES credit to Brazilian state governments pp. 283-302 Downloads
Paulo Rogério Faustino Matos and Jaime de Jesus Filho

Volume 11, issue 1, 2018

The European deposit insurance game plan pp. 2-20 Downloads
Theo Kiriazidis
Financial inclusion and poverty reduction in India pp. 21-33 Downloads
Takeshi Inoue
Banking crises and business cycle: evidence for Italy(1861-2016) pp. 34-61 Downloads
Silvana Bartoletto, Bruno Chiarini, Elisabetta Marzano and Paolo Piselli
Determining illicit financial outflows from sixty developing countries pp. 62-81 Downloads
Matiur Rahman, Muhammad Mustafa and Lonnie Turpin
Globalization, role of institutions and economic performance in Indian economy pp. 82-100 Downloads
Madhu Sehrawat and Arun Giri
Policy uncertainty and dynamics of international trade pp. 101-120 Downloads
Rexford Abaidoo
The importance of being earnest pp. 121-138 Downloads
Gonzalo Gomez-Bengoechea and Alfredo Arahuetes
Explaining banking spread pp. 139-156 Downloads
Richard Dwumfour

Volume 10, issue 4, 2018

Risk, uncertainty and stock returns predictability – a case of emerging equity markets pp. 438-455 Downloads
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 Downloads
Abdelhafid Benamraoui
A reconsideration of operating-financial leverage tradeoff hypothesis pp. 473-483 Downloads
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 Downloads
Amit Ghosh
Impact of federal income tax rates and government borrowing on nominal interest rate yields on tax-free municipal bonds pp. 342-350 Downloads
Richard Cebula and Usha Nair-Reichert
Explaining the adoption of benefit corporation laws by the US states pp. 351-368 Downloads
Susan M. Murray
Financial inclusion and economic growth linkage: some cross country evidence pp. 369-385 Downloads
Dinabandhu Sethi and Debashis Acharya
The twin-deficit hypothesis: revisiting Indian economy in a nonlinear framework pp. 386-405 Downloads
Javed Ahmad Bhat and Naresh Kumar Sharma
A discourse analysis of financial inclusion: post-liberalization mapping in rural and urban India pp. 406-425 Downloads
Sanjaya Kumar Lenka and Rajesh Barik
Does financial development accelerate economic growth? pp. 426-435 Downloads
Besnik Taip Fetai

Volume 10, issue 2, 2018

Systemic risk and the organization of the financial system: overview pp. 202-212 Downloads
Clas Wihlborg
International coordination of financial supervision: why has it grown? Will it be sustained? pp. 213-236 Downloads
Richard John Herring
Capital regulation and systemic risk in the insurance sector pp. 237-263 Downloads
Thomas Gehrig and Maria Chiara Iannino
Regulating bank leverage pp. 264-274 Downloads
Alexander Bleck
Raising bank loss absorption capacity through equity capital or bail-in debt pp. 275-280 Downloads
Harald A. Benink
Bondholder reorganization of systemically important financial institutions pp. 281-289 Downloads
Steven Gjerstad
Macro and micro financial liberalizations, savings and growth pp. 290-309 Downloads
Goncalo Pina
Implications of Central banks’ negative policy rates on financial stability pp. 310-320 Downloads
Benjamin S. Kay

Volume 10, issue 1, 2018

Dynamics influences of Tobin’s Q and CEO compensation on US stocks pp. 2-16 Downloads
Matiur Rahman and Muhammad Mustafa
Banking, insurance and economic growth in India pp. 17-37 Downloads
Shrutikeerti Kaushal and Amlan Ghosh
Essay on spillovers from advanced economics (AE) to emerging economics (EM) during the global financial crisis pp. 38-54 Downloads
Foluso Akinsola
CEO power, corporate risk taking and role of large shareholders pp. 55-72 Downloads
Junaid Haider and Hong-Xing Fang
Access to finance and firm innovation pp. 73-94 Downloads
MccPowell Sali Fombang and Charles Adjasi
Paradox of external finance in the Indian manufacturing sector pp. 95-111 Downloads
Pradeepta Sethi
Economic policy uncertainty and stock market liquidity pp. 112-135 Downloads
Byomakesh Debata and Jitendra Mahakud
Modeling the impact of Basel III regulations on loan demand pp. 136-164 Downloads
Vighneswara Swamy
Risk and capital in Indonesian large banks pp. 165-184 Downloads
Arisyi Raz
A policymaker’s dilemma: real linkages or irrational behaviors? pp. 185-200 Downloads
Dogus Emin
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