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International Journal of Banking, Accounting and Finance

2008 - 2018

From Inderscience Enterprises Ltd
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Volume 9, issue 2, 2018

Evaluation of merger premium and firm performance in Europe pp. 119-140 Downloads
Matthias Nnadi and Daniel Aghanya
Forecasting private sector bank deposits in Greece: determinants for trend and shock effects pp. 141-169 Downloads
Anastasios Petropoulos, Nikolaos E. Vlachogiannakis and Dionysios Mylonas
Trade-off vs. pecking order theory: evidence from Greek firms in a period of debt crisis pp. 170-191 Downloads
Georgios Chatzinas and Simeon Papadopoulos
A guide to survival of momentum in UK style portfolios pp. 192-224 Downloads
Golam Sarwar, Cesario Mateus and Natasa Todorovic
The relative efficiency of the crude oil futures market: evidence from India pp. 225-243 Downloads
Sarveshwar Kumar Inani

Volume 9, issue 1, 2018

A contingent claims approach to the determinants of the stock-bond return relationship pp. 1-18 Downloads
Louisa Chen and Thanos Verousis
Working capital management, cash flow and SMEs' performance pp. 19-43 Downloads
Godfred Adjapong Afrifa and Ishmael Tingbani
Branch manager characteristics and efficiency during capital controls pp. 44-60 Downloads
Eleftherios Aggelopoulos
Volume weighted volatility: empirical evidence for a new realised volatility measure pp. 61-87 Downloads
Chaiyuth Padungsaksawasdi and Robert T. Daigler
Intraday realised volatility forecasting and announcements pp. 88-118 Downloads
Dimitrios I. Vortelinos and Konstantinos Gkillas (Gillas)

Volume 8, issue 2, 2017

Does money supply growth contain predictive power for stock returns? Evidence and explanation pp. 119-145 Downloads
David G. McMillan
Revising the turn-of-the-month effect study: why does it fade and reappear? Practical policy implications and thoughts for further research pp. 146-173 Downloads
Evangelos Vasileiou
Herding behaviour in a peripheral European stock market: the impact of the subprime and the European sovereign debt crises pp. 174-203 Downloads
Luís G.G. Dos Santos and Sérgio Lagoa
Social networks in banking: a note on co-authorship in banking research pp. 204-216 Downloads
Andreas Andrikopoulos, Aristeidis Samitas and Anastasia Lolou
Geographical disclosure quality under IFRS 8: a European Union analysis pp. 217-242 Downloads
Sameh Kobbi-Fakhfakh

Volume 8, issue 1, 2017

Accounting quality deferred tax and risk in the banking industry pp. 1-19 Downloads
Anestis C. Ladas, Christos I. Negkakis and Angeliki D. Samara
Attributes of audit quality and weak fiscal sustainability countries pp. 20-51 Downloads
Panayiotis D. Tahinakis and Michalis P. Samarinas
Contribution of Islamic banks to systemic risk pp. 52-92 Downloads
Mohamed Amin Chakroun and Mohamed Imen Gallali
Relationship banking and regional SME financing: the case of Wales pp. 93-118 Downloads
Hans Degryse, Kent Matthews and Tianshu Zhao

Volume 7, issue 2, 2016

The 2016 EU-wide bank stress test: an analysis of the main methodological novelties pp. 95-110 Downloads
Andrea Resti
Venture capital investment, regional innovation and new business creation: a research note pp. 111-124 Downloads
Douglas Dyer, Iftekhar Hasan, Haizhi Wang and Desheng Yin
Urban agglomeration and audit pricing pp. 125-148 Downloads
Stergios Leventis
Do the Troika's financial assistance programs reduce systemic risk? Evidence from Eurozone countries pp. 149-171 Downloads
Konstantinos A. Moutsianas and Kyriaki Kosmidou
Threshold cointegration and interest rate pass-through during the pre- and post-banking consolidation in Nigeria: are there asymmetries? pp. 172-193 Downloads
Aliyu Alhaji Jibrilla and Normaz Wana Ismail

Volume 7, issue 1, 2016

Dispelling the myth of a value premium: contrary evidence of Malaysian crony capitalism pp. 1-33 Downloads
Muhammed-Shahid Ebrahim, Robert Hudson, Abdullah Iqbal and Mohamed Shah
Determinants of bank profitability: a comparative study of East Asia and Latin America pp. 34-51 Downloads
Rubi Ahmad, Eric H.Y. Koh and Shahrin Saaid Shaharuddin
Assessing the overall performance of microfinance institutions pp. 52-83 Downloads
Chrysovalantis Gaganis
The convexity of the earnings yield: does the dividend payout policy matter? pp. 84-94 Downloads
Boonlert Jitmaneeroj

Volume 6, issue 1, 2015

The bank lending channel of monetary policy transmission: evidence from an emerging market, India pp. 1-20 Downloads
Saumitra Bhaduri and Toto Goyal
Non-performing debt recovery: effects of the Greek crisis pp. 21-36 Downloads
A.Z. Marouli, Yannis Caloghirou and E.N. Giannini
Cost and profit efficiency of banks in Haiti: do domestic banks perform better than foreign banks? pp. 37-52 Downloads
Raulin Cadet
Capital and liquidity requirements: impact on bank lending spreads pp. 53-72 Downloads
Vighneswara Swamy

Volume 5, issue 3, 2014

Systemic risk and bank crises: lessons from banking industry ratings pp. 221-251 Downloads
Claudio Calì, Barbara Marchitto and Andrea Resti
Is excess compensation associated with the amount and content of compensation-related risk disclosures in bank proxy statements? pp. 252-283 Downloads
James W. Bannister, Harry A. Newman and Emma Y. Peng
Forecasting stock index returns using ARIMA-SVM, ARIMA-ANN, and ARIMA-random forest hybrid models pp. 284-308 Downloads
Manish Kumar and M. Thenmozhi
Modelling client usage of e-statements: an empirical study in Malaysia pp. 309-328 Downloads
Hussain Ali Bekhet and Basheer Abbas Mahmood Al-Alak

Volume 5, issue 1/2, 2013

Sovereign default risk assessment pp. 6-27 Downloads
Edward I. Altman and Herbert A. Rijken
Systemic risk from real estate and macro-prudential regulation pp. 28-48 Downloads
Franklin Allen and Elena Carletti
Finance, growth and fragility: the role of government pp. 49-77 Downloads
Thorsten Beck
Hold-up in multiple banking: evidence from SME lending pp. 78-101 Downloads
Antje Brunner and Jan Krahnen
Do emerging markets provide currency diversification benefits? pp. 102-120 Downloads
Ines Chaieb, Vihang Errunza and Basma Majerbi
Interest rate caps and implicit collusion: the case of payday lending pp. 121-158 Downloads
Robert DeYoung and Ronnie Phillips
The effects of stock splits on the bid-ask spread of syndicated loans pp. 159-187 Downloads
Bill B. Francis, Iftekhar Hasan and Mingming Zhou
Does overvaluation of bidder stock drive acquisitions? The case of public and private targets pp. 188-204 Downloads
Kose John, Ravi S. Mateti, Zhaoyun Shangguan and Gopala Vasudevan
The value of reputational capital and risk in banking and finance pp. 205-219 Downloads
Ingo Walter

Volume 4, issue 4, 2012

Growth, foreign investment and trade-openness interactions in ten OECD countries: a panel-VAR approach pp. 273-293 Downloads
Rudra P. Pradhan, Tapan P. Bagchi, Khorshed Chowdhury and Neville R. Norman
Dividend signalling in the UK market pp. 294-314 Downloads
Mahmoud Al-Kilani, Alan Griffiths, Philip Hardwick and Stuart Wall
Credit risk: the role of market, accounting and macroeconomic information - evidence from US firms and a FAVAR model pp. 315-341 Downloads
Nicholas Apergis and Sofia Eleftheriou

Volume 4, issue 3, 2012

Modelling customers' intentions to use contactless cards pp. 203-231 Downloads
Michal Polasik, Tomasz Wisniewski and Geoffrey Lightfoot
The PIIGS stock markets before and after the 2008 financial crisis: a dynamic cointegration and causality analysis pp. 232-249 Downloads
Andreas Chouliaras, Apostolos G. Christopoulos, Dimitris Kenourgios and Petros Kalantonis
Derivatives in the wake of disintermediation: a simultaneous equations model of commercial and industrial lending and the use of derivatives by US banks pp. 250-271 Downloads
Dawood Ashraf and John Goddard

Volume 4, issue 2, 2012

Extreme value theory performance in the event of major financial crises pp. 94-134 Downloads
Adrian F. Rossignolo, Meryem Duygun Fethi and Mohamed Shaban
Innovation and productivity in the financial sector pp. 135-145 Downloads
Vania Sena
Banking efficiency analysis under corporate social responsibilities pp. 146-171 Downloads
Kwaku Ohene-Asare and Mette Asmild
Openness and financial development: time series evidence for Turkey pp. 172-201 Downloads
Senay Acikgoz, Mehmet Balcilar and Bedriye Saracoglu

Volume 4, issue 1, 2012

Managing risk to reputation a model to monitor the key drivers. A key to long term solvency for insurance and reinsurance companies pp. 4-47 Downloads
Jean-Paul Louisot and Christophe Girardet
Internal and external drivers for risk taking in UK and German insurance markets pp. 48-76 Downloads
Martin Eling and Sebastian D. Marek
Enterprise risk management in financial intermediation pp. 77-89 Downloads
Stuart I. Greenbaum
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