Journal of Financial Services Research
1997 - 2025
Current editor(s): Haluk Unal From: Springer Western Finance Association Contact information at EDIRC. Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 53, issue 2, 2018
- The Interplay among Financial Regulations, Resilience, and Growth pp. 141-162

- Franklin Allen, Itay Goldstein and Julapa Jagtiani
- Financial Stability and Resolution of Federal Reserve Goal and Implementation Conflicts pp. 163-178

- Robert Eisenbeis, Simon Kwan and Larry Wall
- Comments on “Financial Stability and Resolution of Federal Reserve Goal and Implementation Conflicts” pp. 179-182

- Ron J. Feldman
- The Evolving Complexity of Capital Regulation pp. 183-205

- Richard J. Herring
- Comments on “The Evolving Complexity of Capital Regulation” pp. 207-210

- Joseph Hughes
- Ethics versus Ethos in US and UK Megabanking pp. 211-226

- Edward Kane
- Comments on “Ethics Versus Ethos in US and UK Megabanking” by Edward J. Kane pp. 227-231

- Mark Carey
- The Interplay between Regulations and Financial Stability pp. 233-248

- Franklin Allen and Xian Gu
- Comments on “The Interplay between Regulations and Financial Stability” pp. 249-254

- Joe Peek
Volume 53, issue 1, 2018
- Deposit Rate Advantages at the Largest Banks pp. 1-35

- Stefan Jacewitz and Jonathan Pogach
- Retail Bank Interest Margins in Low Interest Rate Environments pp. 37-68

- Jaakko Sääskilahti
- Can short sellers inform bank supervision? pp. 69-98

- Bhanu Balasubramnian and Ajay Palvia
- The Options Market Reaction to Bank Loan Announcements pp. 99-139

- Seraina Anagnostopoulou, Aikaterini C. Ferentinou, Panagiotis A. Tsaousis and Andrianos Tsekrekos
Volume 52, issue 3, 2017
- Board Accountability and Risk Taking in Banking: Evidence from a Quasi-Experiment pp. 155-190

- Tobias Körner
- Evidence of Forward-Looking Loan Loss Provisioning with Credit Market Information pp. 191-223

- Lakshmi Balasubramanyan, James Thomson and Saeed Zaman
- Foreclosure Delay and Consumer Credit Performance pp. 225-251

- Paul S. Calem, Julapa Jagtiani and William Lang
- Household Access to Mortgages in the UK pp. 253-275

- Alper Kara and Philip Molyneux
- Do Stars Shine? Comparing the Performance Persistence of Star Sell-Side Analysts Listed by Institutional Investor, the Wall Street Journal, and StarMine pp. 277-305

- Yury O. Kucheev, Felipe Ruiz and Tomas Sorensson
Volume 52, issue 1, 2017
- Introduction to Retail Payments: Mapping Out the Road Ahead pp. 1-3

- Wilko Bolt and Loretta Mester
- Are there Social Spillovers in Consumers’ Security Assessments of Payment Instruments? pp. 5-34

- Charles Kahn, José M. Liñares-Zegarra and Joanna Stavins
- Social Ties and the Demand for Financial Services pp. 35-88

- Eleonora Patacchini and Edoardo Rainone
- Did a Public Campaign Influence Debit Card Usage? Evidence from the Netherlands pp. 89-121

- Nicole Jonker, Mirjam Plooij and Johan Verburg
- Banking Products: You Can Take Them with You, So Why Don’t You? pp. 123-154

- Carin Cruijsen and Maaike Diepstraten
Volume 51, issue 3, 2017
- Does Banks’ Corporate Control Lower Funding Costs? Evidence from US Banks’ Control Over Firms’ Voting Rights pp. 283-311

- Joao Santos and Kristin E. Wilson
- Information Technology and Banking Organization pp. 313-338

- Sauro Mocetti, Marcello Pagnini and Enrico Sette
- Debt Restructuring and the Role of Banks’ Organizational Structure and Lending Technologies pp. 339-361

- Giacinto Micucci and Paola Rossi
- Is Ethical Money Sensitive to Past Returns? The Case of Portfolio Constraints and Persistence in Islamic Funds pp. 363-384

- Omneya Abdelsalam, Meryem Duygun, Juan Carlos Matallín-Sáez and Emili Tortosa-Ausina
- Bid-Ask Spread, Quoted Depths, and Unexpected Duration Between Trades pp. 385-436

- Jun (Tony) Ruan and Tongshu Ma
Volume 51, issue 2, 2017
- Finance and Development in Muslim Economies pp. 165-167

- M. Shahid Ebrahim, Philip Molyneux and Steven Ongena
- Corporate Social Responsibility, Shariah-Compliance, and Earnings Quality pp. 169-194

- Abdullah Alsaadi, M. Shahid Ebrahim and Aziz Jaafar
- The governance, risk-taking, and performance of Islamic banks pp. 195-219

- Sabur Mollah, M. Kabir Hassan, Omar Farooque and Asma Mobarek
- Islamic Banks, Deposit Insurance Reform, and Market Discipline: Evidence from a Natural Framework pp. 257-282

- Ahmet Aysan, Mustafa Disli, Meryem Duygun and Huseyin Ozturk
Volume 51, issue 1, 2017
- Firm Industry Affiliation and Multiple Bank Relationships pp. 1-17

- Steven Ongena and Yuejuan Yu
- Non-interest Income, Trading, and Bank Risk pp. 19-53

- Carl R. Chen, Ying Sophie Huang and Ting Zhang
- What Drives Heterogeneity of Cyclicality of Loan-Loss Provisions in the EU? pp. 55-96

- Małgorzata Olszak, Mateusz Pipień, Iwona Kowalska and Sylwia Roszkowska
- Bank Capital, Liquidity Creation and Deposit Insurance pp. 97-123

- Zuzana Fungáčová, Laurent Weill and Mingming Zhou
- Strategic Choice of Risk: Evidence from Mutual Fund Families pp. 125-163

- Chia-Ying Chan, Christine W. Lai and Liang-Chung Lee
Volume 50, issue 3, 2016
- The Determinants of Global Bank Credit-Default-Swap Spreads pp. 275-309

- Iftekhar Hasan, Liuling Liu and Gaiyan Zhang
- A Two-Stage Probit Model for Predicting Recovery Rates pp. 311-339

- Ruey-Ching Hwang, Huimin Chung and C. K. Chu
- What Drives the Gross Margins of Mortgage Loans? Evidence from Switzerland pp. 341-362

- Andreas Dietrich
- The Short-Run Pricing Behavior of Closed-End Funds: Bond vs. Equity Funds pp. 363-386

- Seth Anderson, Thomas Beard, Hyeongwoo Kim and Liliana V. Stern
- The Role of Investor Type in the Fee Structures of Pension Plans pp. 387-417

- Isabel Abinzano, Luis Muga and Rafael Santamaria
Volume 49, issue 2, 2016
- Enhancing Prudential Standards in Financial Regulations pp. 133-149

- Franklin Allen, Itay Goldstein, Julapa Jagtiani and William Lang
- A Review of Bank Funding Cost Differentials pp. 151-174

- Randall Kroszner
- The Corporate Complexity of Global Systemically Important Banks pp. 175-201

- Jacopo Carmassi and Richard Herring
- Testing for Systemic Risk Using Stock Returns pp. 203-227

- Paul Kupiec and Levent Güntay
- A Top-down Approach to Stress-testing Banks pp. 229-264

- Pavel Kapinos and Oscar Mitnik
Volume 49, issue 1, 2016
- Collateral Registries for Movable Assets: Does Their Introduction Spur Firms’ Access to Bank Financing? pp. 1-37

- Inessa Love, Maria Martinez Peria and Sandeep Singh
- Has the Effect of Asset Securitization on Bank Risk Taking Behavior Changed? pp. 39-64

- Huong Le, Rajesh Narayanan and Lai Vo
- An Empirical Analysis of Futures Margin Changes: Determinants and Policy Implications pp. 65-100

- Yang-Ho Park and Nicole Abruzzo
- An Empirical Analysis of Information Asymmetry in Home Equity Lending pp. 101-119

- Sumit Agarwal, Souphala Chomsisengphet and Chunlin Liu
- “Spectral Risk Measures: Properties and Limitations”: Comment on Dowd, Cotter, and Sorwar pp. 121-131

- Mario Brandtner
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