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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 36, issue 2, 2009
- Editors’ Introduction—Special Issue on Mergers and Acquisitions of Financial Institutions pp. 85-85

- Robert DeYoung, Douglas Evanoff and Philip Molyneux
- Mergers and Acquisitions of Financial Institutions: A Review of the Post-2000 Literature pp. 87-110

- Robert DeYoung, Douglas Evanoff and Philip Molyneux
- Bank Mergers and the Dynamics of Deposit Interest Rates pp. 111-133

- Ben Craig and Valeriya Dinger
- Discussion of “Bank Mergers and the Dynamics of Deposit Rates” pp. 135-136

- Robert Bliss
- Bank Market Structure, Competition, and SME Financing Relationships in European Regions pp. 137-155

- Steve Mercieca, Klaus Schaeck and Simon Wolfe
- Comments on Bank Market Structure, Competition, and SME Financing Relationships in European Regions By Mercieca, Schaeck, and Wolfe pp. 157-159

- Allen Berger
- Extracting Nontransparent Safety Net Subsidies by Strategically Expanding and Contracting a Financial Institution’s Accounting Balance Sheet pp. 161-168

- Edward Kane
- Cross-Border Bank Acquisitions: Is there a Performance Effect? pp. 169-197

- Ricardo Correa
- Comments on Cross-border Bank Acquisitions: Is there a Performance Effect? pp. 199-202

- Elijah Brewer
- M&A Operations and Performance in Banking pp. 203-226

- Elena Beccalli and Pascal Frantz
- Discussion of: M&A Operations and Performance in Banking by Beccalli and Frantz pp. 227-230

- Emilia Bonaccorsi di Patti
- Which Credit Unions are Acquired? pp. 231-252

- John Goddard, Donal McKillop and John Wilson
- Which Credit Unions Are Acquired? A Comment pp. 253-254

- Robert Adams
Volume 36, issue 1, 2009
- Staggered Boards, Managerial Entrenchment, and Dividend Policy pp. 1-19

- Pornsit Jiraporn and Pandej Chintrakarn
- Exploring the Conditional Performance of U.K. Unit Trusts pp. 21-44

- Jonathan Fletcher and Patricia Ntozi-Obwale
- Retail Investors and the Trading of Treasury Securities pp. 45-63

- Antonio Díaz
- Transaction Costs and Price Volatility: New Evidence from the Tokyo Stock Exchange pp. 65-83

- Shinhua Liu and Zhen Zhu
Volume 35, issue 3, 2009
- Relationship Banking and the Pricing of Financial Services pp. 189-224

- Charles Calomiris and Thanavut Pornrojnangkool
- The Dynamic Impact of Macro Shocks on Insurance Premiums pp. 225-244

- Feng Guo, Hung-Gay Fung and Ying Huang
- Multimarket Contact and Profitability in Banking: Evidence from Italy pp. 245-271

- Paolo Coccorese and Alfonso Pellecchia
- How Do Employees View Their Underwater Stock Options?: Evidence from the Stock Option Exchange Program pp. 273-296

- Dong Lee
Volume 35, issue 2, 2009
- Bank Competition and Financial Stability pp. 99-118

- Allen Berger, Leora Klapper and Rima Turk-Ariss
- Managerial Rationale for Entry and the Relation to Performance and Small-Business Lending pp. 119-139

- Ken Cyree and James Wansley
- Market Segmentation Effects in Corporate Credit Rating Changes: The Case of Emerging Markets pp. 141-166

- Seung Han, Yoon Shin, Walter Reinhart and William Moore
- IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia pp. 167-187

- Mohamed Ariff and Luc Can
Volume 35, issue 1, 2009
- How Much Do Banks Use Credit Derivatives to Hedge Loans? pp. 1-31

- Bernadette Minton, René Stulz and Rohan Williamson
- Does a Bank’s Loan Screening and Monitoring Matter? pp. 33-52

- Kwang-Won Lee and Ian Sharpe
- Credit Unions and Small Business Lending pp. 53-80

- David Ely and Kenneth Robinson
- Do Internet Activities Add Value? Evidence from the Traditional Banks pp. 81-98

- Rocco Ciciretti, Iftekhar Hasan and Cristiano Zazzara
Volume 34, issue 2, 2008
- Introduction to the Special Issue: The Bank Structure Conference through the years pp. 93-97

- Douglas Evanoff and Haluk Unal
- Bank Structure Conference Impact Study pp. 99-121

- Douglas Evanoff, Philip Bartholomew, Robert DeYoung, Cosmin Lucaci and Ronnie Phillips
- How Do Large Banking Organizations Manage Their Capital Ratios? pp. 123-149

- Allen Berger, Robert DeYoung, Mark Flannery, David Lee and Ozde Oztekin
- Evidence of Differences in the Effectiveness of Safety-Net Management in European Union Countries pp. 151-176

- Santiago Carbo-Valverde, Edward Kane and Francisco Rodriguez-Fernandez
- Bank Capital Ratios Across Countries: Why Do They Vary? pp. 177-201

- Elijah Brewer, George Kaufman and Larry Wall
Volume 34, issue 1, 2008
- The Sensitivity of the Loss Given Default Rate to Systematic Risk: New Empirical Evidence on Bank Loans pp. 1-34

- Stefano Caselli, Stefano Gatti and Francesca Querci
- Information, Credit Risk, Lender Specialization and Loan Pricing: Evidence from the DIP Financing Market pp. 35-59

- Kenneth Daniels and Gabriel Ramirez
- Spectral Risk Measures: Properties and Limitations pp. 61-75

- Kevin Dowd, John Cotter and Ghulam Sorwar
- Index Futures and Predictability of the Underlying Stocks’ Returns: The Case of the Nikkei 225 pp. 77-91

- Shinhua Liu
Volume 33, issue 3, 2008
- Does Bancassurance Reduce the Price of Financial Service Products? pp. 147-162

- C. Okeahalam
- Bank Liability Structure, FDIC Loss, and Time to Failure: A Quantile Regression Approach pp. 163-179

- Klaus Schaeck
- Income Diversification and Bank Performance: Evidence from Italian Banks pp. 181-203

- Vincenzo Chiorazzo, Carlo Milani and Francesca Salvini
- Fortune Favours the Bold? Exploring Tournament Behavior among Australian Superannuation Funds pp. 205-220

- Terry Hallahan, Robert Faff and Karen Benson
Volume 33, issue 2, 2008
- Depositors’ Assessment of Bank Riskiness in the Russian Federation pp. 77-100

- Ece Ungan, Selçuk Caner and Süheyla Özyıldırım
- Concentration of Banking Relationships in Switzerland: The Result of Firm Structure or Banking Market Structure? pp. 101-126

- Doris Neuberger, Maurice Pedergnana and Solvig Räthke-Döppner
- The Reaction by Industry Insiders to M&As in the European Financial Industry pp. 127-146

- Jose Campa and Ignacio Hernando
Volume 33, issue 1, 2008
- Editorial pp. 1-3

- Haluk Ünal
- Regulator Scrutiny and Bank CEO Incentives pp. 5-20

- Elizabeth Webb
- Constraints on Loan Sales and the Price of Liquidity pp. 21-36

- Mark Pyles and Donald Mullineax
- Bank Competition, Risk, and Subordinated Debt pp. 37-56

- Jijun Niu
- The Impact of Rating Agency Reputation on Local Government Bond Yields pp. 57-76

- Arthur Allen and Donna Dudney
| |