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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 34, issue 2, 2008

Introduction to the Special Issue: The Bank Structure Conference through the years pp. 93-97 Downloads
Douglas Evanoff and Haluk Unal
Bank Structure Conference Impact Study pp. 99-121 Downloads
Douglas Evanoff, Philip Bartholomew, Robert DeYoung, Cosmin Lucaci and Ronnie Phillips
How Do Large Banking Organizations Manage Their Capital Ratios? pp. 123-149 Downloads
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 Downloads
Santiago Carbo-Valverde, Edward Kane and Francisco Rodriguez-Fernandez
Bank Capital Ratios Across Countries: Why Do They Vary? pp. 177-201 Downloads
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 Downloads
Stefano Caselli, Stefano Gatti and Francesca Querci
Information, Credit Risk, Lender Specialization and Loan Pricing: Evidence from the DIP Financing Market pp. 35-59 Downloads
Kenneth Daniels and Gabriel Ramirez
Spectral Risk Measures: Properties and Limitations pp. 61-75 Downloads
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 Downloads
Shinhua Liu

Volume 33, issue 3, 2008

Does Bancassurance Reduce the Price of Financial Service Products? pp. 147-162 Downloads
C. Okeahalam
Bank Liability Structure, FDIC Loss, and Time to Failure: A Quantile Regression Approach pp. 163-179 Downloads
Klaus Schaeck
Income Diversification and Bank Performance: Evidence from Italian Banks pp. 181-203 Downloads
Vincenzo Chiorazzo, Carlo Milani and Francesca Salvini
Fortune Favours the Bold? Exploring Tournament Behavior among Australian Superannuation Funds pp. 205-220 Downloads
Terry Hallahan, Robert Faff and Karen Benson

Volume 33, issue 2, 2008

Depositors’ Assessment of Bank Riskiness in the Russian Federation pp. 77-100 Downloads
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 Downloads
Doris Neuberger, Maurice Pedergnana and Solvig Räthke-Döppner
The Reaction by Industry Insiders to M&As in the European Financial Industry pp. 127-146 Downloads
Jose Campa and Ignacio Hernando

Volume 33, issue 1, 2008

Editorial pp. 1-3 Downloads
Haluk Ünal
Regulator Scrutiny and Bank CEO Incentives pp. 5-20 Downloads
Elizabeth Webb
Constraints on Loan Sales and the Price of Liquidity pp. 21-36 Downloads
Mark Pyles and Donald Mullineax
Bank Competition, Risk, and Subordinated Debt pp. 37-56 Downloads
Jijun Niu
The Impact of Rating Agency Reputation on Local Government Bond Yields pp. 57-76 Downloads
Arthur Allen and Donna Dudney

Volume 32, issue 3, 2007

Does Diversification Improve the Performance of German Banks? Evidence from Individual Bank Loan Portfolios pp. 123-140 Downloads
Evelyn Hayden, Daniel Porath and Natalja von Westernhagen
Trading Credit Default Swaps via Interdealer Brokers pp. 141-159 Downloads
Yalin Gündüz, Torsten Lüdecke and Marliese Uhrig-Homburg
Securities Transaction Tax and Market Efficiency: Evidence from the Japanese Experience pp. 161-176 Downloads
Shinhua Liu
Universal Banking, Conflicts of Interest and Firm Growth pp. 177-202 Downloads
Lili Xie

Volume 32, issue 1, 2007

A Critique of Revised Basel II pp. 1-16 Downloads
Robert Jarrow
Basel II: Correlation Related Issues pp. 17-38 Downloads
Sanjiv Das
Basel II: A Contracting Perspective pp. 39-53 Downloads
Edward Kane
A Tractable Model to Measure Sector Concentration Risk in Credit Portfolios pp. 55-79 Downloads
Klaus Düllmann and Nancy Masschelein
An Assessment of Basel II Procyclicality in Mortgage Portfolios pp. 81-101 Downloads
Jesús Saurina and Carlos Trucharte
Capital Allocation for Portfolio Credit Risk pp. 103-122 Downloads
Paul Kupiec

Volume 31, issue 2, 2007

An Analysis of the Systemic Risks Posed by Fannie Mae and Freddie Mac and An Evaluation of the Policy Options for Reducing Those Risks pp. 75-99 Downloads
Robert Eisenbeis, W Frame and Larry Wall
Depositors’ Response to Deposit Insurance Reforms: Evidence from Japan, 1990–2005 pp. 101-122 Downloads
Ikuko Fueda and Masaru Konishi
Fresh Start or Head Start? The Effects of Filing for Personal Bankruptcy on Work Effort pp. 123-152 Downloads
Song Han and Wenli Li
The Benefits of Relationship Banking: Evidence from Small Business Financing in Finland pp. 153-171 Downloads
Janne Peltoniemi
Internal Versus External Capital Markets in the Insurance Industry: The Role of Reinsurance pp. 173-188 Downloads
Lawrence Powell and David Sommer

Volume 31, issue 1, 2007

Defined Contribution Pension Plans: Determinants of Participation and Contributions Rates pp. 1-32 Downloads
Gur Huberman, Sheena Iyengar and Wei Jiang
Determinants of Equity Style pp. 33-51 Downloads
John Gallo, Chanwit Phengpis and Peggy Swanson
Evaluation of Subjectivity in Incentive Pay pp. 53-73 Downloads
Tahir Nisar

Volume 30, issue 3, 2006

New Evidence on the Determinants of Bank Risk pp. 237-263 Downloads
Kevin Stiroh
Are Differences in Acquiring Bank Profit Efficiency Priced in Financial Markets? pp. 265-286 Downloads
Raj Aggarwal, Aigbe Akhigbe and James McNulty
Testing for Opaqueness in the European Banking Industry: Evidence from Bond Credit Ratings pp. 287-309 Downloads
Giuliano Iannotta
Trading Halts and Price Discovery pp. 311-328 Downloads
Jeff Madura, Nivine Richie and Alan Tucker

Volume 30, issue 2, 2006

State-Owned Banks as Competition Enhancers, or the Grand Illusion pp. 117-150 Downloads
Robert Bichsel
Market Discipline and the Use of Stock Market Data to Predict Bank Financial Distress pp. 151-176 Downloads
Isabelle Distinguin, Philippe Rous and Amine Tarazi
Does Bank Monitoring Influence Loan Contract Terms? pp. 177-198 Downloads
Anthony Coleman, Neil Esho and Ian Sharpe
Measurement Matters—Alternative Input Price Proxies for Bank Efficiency Analyses pp. 199-227 Downloads
Michael Koetter
The Effects of Government Regulations on the Supply of Pawn Loans: Evidence from 51 Jurisdictions in the U.S pp. 229-229 Downloads
Joshua Shackman and Glen Tenney

Volume 30, issue 1, 2006

The Informational Efficiency of the Equity Market As Compared to the Syndicated Bank Loan Market pp. 5-42 Downloads
Linda Allen and Aron Gottesman
The Role and Impact of Financial Advisors in the Market for Municipal Bonds pp. 43-68 Downloads
Jayaraman Vijayakumar and Kenneth Daniels
The Effects of Government Regulations on the Supply of Pawn Loans: Evidence from 51 Jurisdictions in the U.S pp. 69-91 Downloads
Joshua Shackman and Glen Tenney
The Depositor Behind the Discipline: A Micro-Level Case Study of Hamilton Bank pp. 93-109 Downloads
Andrew Davenport and Kathleen McDill
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