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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 ().

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Volume 51, issue 3, 2017

Does Banks’ Corporate Control Lower Funding Costs? Evidence from US Banks’ Control Over Firms’ Voting Rights pp. 283-311 Downloads
Joao Santos and Kristin E. Wilson
Information Technology and Banking Organization pp. 313-338 Downloads
Sauro Mocetti, Marcello Pagnini and Enrico Sette
Debt Restructuring and the Role of Banks’ Organizational Structure and Lending Technologies pp. 339-361 Downloads
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 Downloads
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 Downloads
Jun (Tony) Ruan and Tongshu Ma

Volume 51, issue 2, 2017

Finance and Development in Muslim Economies pp. 165-167 Downloads
M. Shahid Ebrahim, Philip Molyneux and Steven Ongena
Corporate Social Responsibility, Shariah-Compliance, and Earnings Quality pp. 169-194 Downloads
Abdullah Alsaadi, M. Shahid Ebrahim and Aziz Jaafar
The governance, risk-taking, and performance of Islamic banks pp. 195-219 Downloads
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 Downloads
Ahmet Aysan, Mustafa Disli, Meryem Duygun and Huseyin Ozturk

Volume 51, issue 1, 2017

Firm Industry Affiliation and Multiple Bank Relationships pp. 1-17 Downloads
Steven Ongena and Yuejuan Yu
Non-interest Income, Trading, and Bank Risk pp. 19-53 Downloads
Carl R. Chen, Ying Sophie Huang and Ting Zhang
What Drives Heterogeneity of Cyclicality of Loan-Loss Provisions in the EU? pp. 55-96 Downloads
Małgorzata Olszak, Mateusz Pipień, Iwona Kowalska and Sylwia Roszkowska
Bank Capital, Liquidity Creation and Deposit Insurance pp. 97-123 Downloads
Zuzana Fungáčová, Laurent Weill and Mingming Zhou
Strategic Choice of Risk: Evidence from Mutual Fund Families pp. 125-163 Downloads
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 Downloads
Iftekhar Hasan, Liuling Liu and Gaiyan Zhang
A Two-Stage Probit Model for Predicting Recovery Rates pp. 311-339 Downloads
Ruey-Ching Hwang, Huimin Chung and C. K. Chu
What Drives the Gross Margins of Mortgage Loans? Evidence from Switzerland pp. 341-362 Downloads
Andreas Dietrich
The Short-Run Pricing Behavior of Closed-End Funds: Bond vs. Equity Funds pp. 363-386 Downloads
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 Downloads
Isabel Abinzano, Luis Muga and Rafael Santamaria

Volume 49, issue 2, 2016

Enhancing Prudential Standards in Financial Regulations pp. 133-149 Downloads
Franklin Allen, Itay Goldstein, Julapa Jagtiani and William Lang
A Review of Bank Funding Cost Differentials pp. 151-174 Downloads
Randall Kroszner
The Corporate Complexity of Global Systemically Important Banks pp. 175-201 Downloads
Jacopo Carmassi and Richard Herring
Testing for Systemic Risk Using Stock Returns pp. 203-227 Downloads
Paul Kupiec and Levent Güntay
A Top-down Approach to Stress-testing Banks pp. 229-264 Downloads
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 Downloads
Inessa Love, Maria Martinez Peria and Sandeep Singh
Has the Effect of Asset Securitization on Bank Risk Taking Behavior Changed? pp. 39-64 Downloads
Huong Le, Rajesh Narayanan and Lai Vo
An Empirical Analysis of Futures Margin Changes: Determinants and Policy Implications pp. 65-100 Downloads
Yang-Ho Park and Nicole Abruzzo
An Empirical Analysis of Information Asymmetry in Home Equity Lending pp. 101-119 Downloads
Sumit Agarwal, Souphala Chomsisengphet and Chunlin Liu
“Spectral Risk Measures: Properties and Limitations”: Comment on Dowd, Cotter, and Sorwar pp. 121-131 Downloads
Mario Brandtner

Volume 48, issue 3, 2015

Does Corporate Income Taxation Affect Securitization? Evidence from OECD Banks pp. 193-213 Downloads
Di Gong, Shiwei Hu and Jenny Ligthart
Banks’ Liquidity Buffers and the Role of Liquidity Regulation pp. 215-234 Downloads
Clemens Bonner, Iman Lelyveld and Robert Zymek
Determinants of Short-term Lender Location and Interest Rates pp. 235-262 Downloads
Taylor Canann and Richard Evans
Costliness of Placement Agents pp. 263-287 Downloads
Marko Rikato and Ales Berk

Volume 48, issue 2, 2015

Do Depositors Discipline Banks and Did Government Actions During the Recent Crisis Reduce this Discipline? An International Perspective pp. 103-126 Downloads
Allen Berger and Rima Turk-Ariss
When Does the General Public Lose Trust in Banks? pp. 127-141 Downloads
David-Jan Jansen, Robert Mosch and Carin Cruijsen
Short Selling and Price Pressure Around Merger Announcements pp. 143-160 Downloads
Benjamin Blau, Kathleen Fuller and Chip Wade
Estimation of Regulatory Credit Risk Models pp. 161-191 Downloads
Carlos Perez Montes

Volume 48, issue 1, 2015

The Impact of Local Knowledge on Banking pp. 1-20 Downloads
Robert Bird and John Knopf
Return and Volatility Spillover among Banks and Insurers: Evidence from Pre-Crisis and Crisis Periods pp. 21-52 Downloads
Elyas Elyasiani, Elena Kalotychou, Sotiris Staikouras and Gang Zhao
Founding Family Firms and Bank Loan Contracts pp. 53-82 Downloads
Ju-Fang Yen, Chih-Yung Lin, Yan-Shing Chen and Ying-Chen Huang
Mutual Fund Trading and Portfolio Disclosures pp. 83-102 Downloads
Cristina Ortiz, Gloria Ramírez and Luis Vicente

Volume 47, issue 3, 2015

A Comparison of Bank and Non-bank Funds in the French Market pp. 273-294 Downloads
Linh Tran Dieu
Board Holdings, Compensation and Mutual Fund Manager Turnover pp. 295-312 Downloads
Eric Fricke
Capital Structure of Microfinance Institutions pp. 313-340 Downloads
Hubert Tchakoute Tchuigoua
The Sovereign Effect on Bank Credit Ratings pp. 341-379 Downloads
Yu-Li Huang and Chung-Hua Shen
Outside Director Stock Options and Dividend Policy pp. 381-410 Downloads
Anwar Boumosleh and Brandon Cline

Volume 47, issue 2, 2015

Credit Card Competition and Naive Hyperbolic Consumers pp. 153-175 Downloads
Elif Incekara-Hafalir
Politically Motivated Taxes in Financial Markets: The Case of the French Financial Transaction Tax pp. 177-202 Downloads
Stephan Meyer, Martin Wagener and Christof Weinhardt
Creditor Intervention, Investment, and Growth Opportunities pp. 203-228 Downloads
Beatriz Mariano and Josep Tribó
How Much Should Debtors be Punished in Case of Default? pp. 229-245 Downloads
Aloisio Araujo and Bruno Funchal
New Warrant Issues Valuation with Leverage and Equity Model Errors pp. 247-272 Downloads
Jean-Guy Simonato

Volume 47, issue 1, 2015

Does Securitization Support Entrepreneurial Activity? pp. 1-25 Downloads
Babu Baradwaj, Michaël Dewally and Yingying Shao
Bank Mergers and Deposit Rate Rigidity pp. 27-56 Downloads
Valeriya Dinger
Integrating Stress Scenarios into Risk Quantification Models pp. 57-79 Downloads
Azamat Abdymomunov, Sharon Blei and Bakhodir Ergashev
Structural Funding and Bank Failures pp. 81-113 Downloads
Pierluigi Bologna
Soft Information and Small Business Lending pp. 115-133 Downloads
Yehning Chen, Rachel Huang, John Tsai and Larry Tzeng
Into the Breech: The Increasing Gap between Algorithmic Trading and Securities Regulation pp. 135-152 Downloads
Karen Kunz and Jena Martin
Page updated 2025-04-11