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Journal of Financial Management, Markets and Institutions

2013 - 2017

From Società editrice il Mulino
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2017, issue 2

Editors' Note pp. 143-146 Downloads
Giampaolo Gabbi and Oliviero Roggi
Data Mining of Contingent Convertible Bonds pp. 147-168 Downloads
Jan De Spiegeleer, Ine Marquet and Wim Schoutens
To Be or Not to Be a G-SIB: Does It Matter? pp. 169-192 Downloads
Sebastian Schich and Oana Toader
Does CRDIV Provide an Efficient Way to Deal with Banks' Simultaneous Defaults? pp. 193-216 Downloads
Francesca Erica Di Girolamo, Andrea Pagano and Marco Petracco
Ambiguity and Interbank Market Participation: Relationship and Transactional Banking pp. 217-248 Downloads
Reina Renard
International Handbook of Financial Literacy pp. 249-252 Downloads
Vincenzo Capizzi

2017, issue 1

Editor's Notes pp. 3-4 Downloads
Santiago Carbó-Valverde
Non Performing Loans, Moral Hazard & Supervisory Authority: The Italian Banking System pp. 5-34 Downloads
Peter Cincinelli and Domenico Piatti
A Contribution to the Empirics of Consumers' Anxiety Behavior on and in Credit Card Repayment. Credit Card Management and Financial Literacy Among College Student pp. 35-66 Downloads
Gustavo Barboza, Chad Smith and Inoussa Boubacar
Ambiguity in Option Markets - Evidence from SEOs pp. 67-92 Downloads
Douglas Cumming, Lutz Johanning, Umut Ordo and Denis Schweizer
Does Bail-in Definitely Rule out Bailout? pp. 93-110 Downloads
Giuseppe Boccuzzi and Riccardo De Lisa
Governance, Takeover Probability, and the Cost of Private Debt pp. 111-132 Downloads
William R. McCumber and Tomas Jandik
The Impact on Digitalization on Banking and Financial Stability pp. 133-140 Downloads
Santiago Carbó-Valverde

2016, issue 2

Editor's Notes pp. 101-102 Downloads
Paolo Mottura
Fundamental Indexation in Europe: New Evidence pp. 103-128 Downloads
Enrica Bolognesi and Mattia Pividori
The VIX Index: Forecasting Power and Perfomance in a Risk Management Framework pp. 129-144 Downloads
Alessio Bongiovanni, Paola De Vincentiis and Eleonora Isaia
Asian Fund Manager Performance: Factor Specialisation and Financial Crisis Impact pp. 145-154 Downloads
Mauro Aliano, Giuseppe Galloppo and Daniele Previati
Do firms hedge translation risks? pp. 155-178 Downloads
Stefano Bonini, Maurizio Dallocchio, Philippe Raimbourg and Antonio Salvi
Bank internal ratings: are capital floors a suitable tool to restore their credibility? pp. 179-194 Downloads
Andrea Resti
Reviewers' List pp. 195-196 Downloads
Journal of Financial Management, Markets and Institutions

2016, issue 1

Editor's note pp. 3-4 Downloads
Journal of Financial Management, Markets and Institutions
FLEWS: A Novel Forward Looking Early Warning System pp. 5-22 Downloads
Barbara Casu, Andrew Clare and Nashwa Saleh
Financial Literacy and Undergraduates. Application of Latent Regression Rasch Model pp. 23-42 Downloads
Paola Bongini, Paolo Trivellato and Mariangela Zenga
Banking Group Features and Interbank Market Exposure: Evidence from the Main European Groups pp. 43-70 Downloads
Lucia Gibilaro and Gianluca Mattarocci
Mass Media, Spin-Offs and Investor Behaviour: Role of the Wall Street Journal pp. 71-92 Downloads
Elvira Anna Graziano
Transparency in the EU Banking Sector pp. 93-98 Downloads
Andrea Enria

2015, issue 2

Editor's Note pp. 177-178 Downloads
Cesare Bisoni
Banks' Strategies and Cost of Money: Effects of the Financial Crisis on the European Electronic Overnight Interbank Market pp. 179-202 Downloads
Giulia Iori, Mauro Politi, Guido Germano and Giampaolo Gabbi
Does Corporate Governance Affect Earnings Management? Evidence from the US P&C Insurance Industry pp. 203-224 Downloads
Sebastiano Mazzù, Stefano Monferrà and Maria Grazia Starita
Women on Board of Directors and Firm Perfomance: The Moderating Role of Female Ownership. Empirical Evidence from the Italian Wine Industry pp. 225-244 Downloads
Carmen Gallucci, Antonio D'Amato and Rosalia Santulli
Intellectual Capital Disclosure in IPOs: Is It Worth It? pp. 245-264 Downloads
Camilla Mazzoli and Cristiana Cardi
CAPM with Sentiment pp. 265-288 Downloads
Claudio Boido and Antonio Fasano

2015, issue 1

Financial Literacy: Where Do We Stand? pp. 3-12 Downloads
Paola Bongini, Luca Colombo and Małgorzata Iwanicz-Drozdowska
Business Students and Financial Literacy: When Will the Gender Gap Fade away? pp. 13-30 Downloads
Paola Bongini, Paolo Trivellato and Mariangela Zenga
The Influence of Gender and Household Culture on Financial Literacy Knowledge; Attitudes and Behaviour pp. 31-50 Downloads
Stephen Agnew and Trudi Cameron-Agnew
Back to Basics! The Educational Gap of Online Investors and the Conundrum of Virtual Communities pp. 51-69 Downloads
Roberto Casarin, Niccolò Casnici, Pierpaolo Dondio and Flaminio Squazzoni
Increasing Financial Literacy through Simulations: The Case of the CFA Society Italy Fund Management Challenge pp. 69-100 Downloads
Andreas Dal Santo and Duccio Martelli
A Demand-Driven Approach to Financial Education: The WEB Encyclopaedia of Financial Scholars in Italy pp. 101-120 Downloads
Umberto Filotto, Caterina Lucarelli and Francesca Traclò
Risk Taking Behaviour and Diversification Strategies: Do Financial Literacy and Financial Education Play a Role? pp. 121-156 Downloads
Elisa Cavezzali, Gloria Gardenal and Ugo Rigoni
Financial Literacy, Households' Investment Behavior, and Risk Propensity pp. 157-174 Downloads
Emanuele Bajo, Massimiliano Barbi and Sandro Sandri

2014, issue 2

Editor's Notes pp. 129-130 Downloads
Cesare Bisoni
Banks and Bonds: The Impact of Bank Loan Announcements on Bond and Equity Prices pp. 131-156 Downloads
Steven Ongena, Viorel Roşcovan, Wei-Ling Song and Bas J.M. Werker
Leveraged Buyout Activity: A Tale of Developed and Developing Economies pp. 157-184 Downloads
Lloyd Blenman and Nischala Reddy
Sovereign Wealth Funds and Target Firms: Does 'Networking' Matter? pp. 185-206 Downloads
Alfonso Del Giudice, Nicoletta Marinelli and Stefania Vitali
Investigating Causality Effects in Return Volatility among Five Major Futures Markets in European Countries with a Mediterranean Connection pp. 207-220 Downloads
Ercan Özen, Özdemir Letife, Simon Grima and Frank Bezzina
Reforming the Culture of Banking: Restoring Trust and Confidence in Banking pp. 221-236 Downloads
David T. Llewellyn
Reviewers List pp. 237-238 Downloads
Journal of Financial Management, Markets and Institutions

2014, issue 1

Editor's Notes pp. 3-4 Downloads
Emanuele Bajo and David Hillier
Thai Financial Markets and Political Change pp. 5-26 Downloads
Sutsarun Lumiajiak, Sirimon Treepongkaruna, Marvin Wee and Robert Brooks
Is there a Banking Risk Premium in the US Stock Market? pp. 27-42 Downloads
Liujing Zeng, Hue Hwa Au Yong, Sirimon Treepongkaruna and Robert Faff
Diversification: A Value-Creating or Value-Destroying Strategy? Evidence from the Eurozone Countries pp. 43-64 Downloads
Antonio Gálvan, Julio Pindado and Chabela De La Torre
Why Do SMEs Use Informal Credit? A Comparison between Countries pp. 65-86 Downloads
Elmas Yaldız Hanedar, Yener Altunbas and Flavio Bazzana
Does Corporate Governance Improve Transparency in Emerging Markets? pp. 87-104 Downloads
Pornanong Budsaratragoon, David Hillier and Suntharee Lhaopadchan
New Experiences from Voluntary Risk Disclosures. Operational Risk in Nordic Banks pp. 105-126 Downloads
Magnus Willesson
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