EconPapers    
Economics at your fingertips  
 

International Journal of Banking, Accounting and Finance

2008 - 2024

From Inderscience Enterprises Ltd
Bibliographic data for series maintained by Sarah Parker ().

Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


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 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 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

Volume 3, issue 4, 2011

Pay disparity and innovation: evidence from firm level data pp. 233-257 Downloads
Zenu Sharma
An integrated model of capital structure to study the differences in the speed of adjustment to target corporate debt maturity among developed countries pp. 258-293 Downloads
Eleuterio Vallelado and Paolo Saona
What role can mutual guarantee consortia play for financing innovation? A firm-level study for Italy pp. 294-319 Downloads
Elisa Ughetto and Andrea Vezzulli
Do central bank independence reforms matter for inflation performance? pp. 320-335 Downloads
Mats Landström

Volume 3, issue 2/3, 2011

Do financial analysts' opinions matter? pp. 118-132 Downloads
Yi Liu, Tomas Mantecon and Samuel H. Szewczyk
A reexamination of value creation through strategic alliances pp. 133-154 Downloads
Uri Ben-Zion, Koresh Galil, Mosi Rosenboim and Hadas Shabtay
The impact of a change in the tick size rule on market quality: evidence from the Australian Stock Exchange pp. 155-175 Downloads
Mehdi Sadeghi and Kai Zhang
International allocation determinants for institutional investments in venture capital and private equity limited partnerships pp. 176-206 Downloads
Alexander Peter Groh and Heinrich Liechtenstein
Default prediction of small and medium-sized enterprises with industry effects pp. 207-231 Downloads
Frieda Rikkers and Andre E. Thibeault

Volume 3, issue 1, 2011

Capital structure choices pp. 4-30 Downloads
Ted Lindblom, Gert Sandahl and Stefan Sjogren
Entrepreneurship insolvency risk management: a case of Latvia pp. 31-46 Downloads
Irina Genriha, Gaida Pettere and Irina Voronova
Assessing securitisation and hedging strategies for management of longevity risk pp. 47-72 Downloads
Aparna Gupta and Haiyuan Wang
International cross-listings on CEE-stock exchanges pp. 73-90 Downloads
Marek Kobialka and Hanna K. Koivulehto
Local bias dynamics and the risk adjusted portfolio return pp. 91-113 Downloads
Taylan Mavruk

Volume 2, issue 4, 2010

Banking and optimal capital ratio in an equilibrium model pp. 309-331 Downloads
Bo Larsson
The use of accounting data to predict bank financial distress in MENA countries pp. 332-356 Downloads
Isabelle Distinguin, Iftekhar Hasan and Amine Tarazi
The effect of board size and composition on bank efficiency pp. 357-386 Downloads
Maria-Eleni Agoraki, Manthos Delis and Panagiotis K. Staikouras
Systematic liquidity risk and asset pricing: evidence from London Stock Exchange pp. 387-403 Downloads
Khelifa Mazouz, Dima W.H. Alrabadi, Mark Freeman and Shuxing Yin
Performance analysis on process level: benchmarking of transactions in banking pp. 404-420 Downloads
Andreas Burger and Jurgen Moormann

Volume 2, issue 3, 2010

An empirical examination of moral beliefs of the Nigerian insurance managers and the moderating effects of corporate ethical values and some demographic factors pp. 196-217 Downloads
Musa Obalola
Polish corporate governance – the case of small and medium sized companies pp. 218-235 Downloads
Maria Aluchna and Izabela Koladkiewicz
Environmental degradation problems caused by human activities in Nigeria: enforced (taxation) versus voluntary (social responsibility) solution pp. 236-250 Downloads
Abubakar Sadiq Kasum
Performance indicators and corporate social responsibility: evidence from Portuguese higher education institutions pp. 251-274 Downloads
Fátima David, Rute Abreu, Francisco Carreira and Sidalina Goncalves
Exploring the corporate social responsibility agenda of British credit unions: a case study approach pp. 275-294 Downloads
Olufemi Sallyanne Decker
Analysing social responsibility in financial companies pp. 295-308 Downloads
Guler Aras and David Crowther

Volume 2, issue 2, 2010

Stock-bond co-movements and cross-country linkages pp. 111-129 Downloads
Dirk Baur
What is different about loans? An analysis of the risk structure of credit spreads pp. 130-155 Downloads
Andrea Resti and Andrea Sironi
Why use internet banking? An irrational imitation model pp. 156-175 Downloads
Weihua Shi and Kenneth Zantow
Momentum and monthly effect: an anomaly within an anomaly! pp. 176-192 Downloads
Nusret Cakici and Sris Chatterjee

Volume 2, issue 1, 2010

Bank valuation with an application to the implicit duration of non-maturing deposits pp. 1-30 Downloads
Jean Dermine
Migration in structural credit rating models pp. 31-46 Downloads
Panagiotis Avramidis
An empirical investigation of the speed of information aggregation: a study of IPOs pp. 47-79 Downloads
Jos van Bommel, Jay Dahya and Zhihong Shi
Antecedents of banks' productivity growth in a developing economy: efficiency change or technological progress? pp. 80-110 Downloads
Fadzlan Sufian
Page updated 2025-04-17