Journal of Financial Management, Markets and Institutions
2013 - 2017
From Società editrice il Mulino Bibliographic data for series maintained by (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
2017, issue 2
- Editors' Note pp. 143-146

- Giampaolo Gabbi and Oliviero Roggi
- Data Mining of Contingent Convertible Bonds pp. 147-168

- Jan De Spiegeleer, Ine Marquet and Wim Schoutens
- To Be or Not to Be a G-SIB: Does It Matter? pp. 169-192

- Sebastian Schich and Oana Toader
- Does CRDIV Provide an Efficient Way to Deal with Banks' Simultaneous Defaults? pp. 193-216

- Francesca Erica Di Girolamo, Andrea Pagano and Marco Petracco
- Ambiguity and Interbank Market Participation: Relationship and Transactional Banking pp. 217-248

- Reina Renard
- International Handbook of Financial Literacy pp. 249-252

- Vincenzo Capizzi
2017, issue 1
- Editor's Notes pp. 3-4

- Santiago Carbó-Valverde
- Non Performing Loans, Moral Hazard & Supervisory Authority: The Italian Banking System pp. 5-34

- 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

- Gustavo Barboza, Chad Smith and Inoussa Boubacar
- Ambiguity in Option Markets - Evidence from SEOs pp. 67-92

- Douglas Cumming, Lutz Johanning, Umut Ordo and Denis Schweizer
- Does Bail-in Definitely Rule out Bailout? pp. 93-110

- Giuseppe Boccuzzi and Riccardo De Lisa
- Governance, Takeover Probability, and the Cost of Private Debt pp. 111-132

- William R. McCumber and Tomas Jandik
- The Impact on Digitalization on Banking and Financial Stability pp. 133-140

- Santiago Carbó-Valverde
2016, issue 2
- Editor's Notes pp. 101-102

- Paolo Mottura
- Fundamental Indexation in Europe: New Evidence pp. 103-128

- Enrica Bolognesi and Mattia Pividori
- The VIX Index: Forecasting Power and Perfomance in a Risk Management Framework pp. 129-144

- Alessio Bongiovanni, Paola De Vincentiis and Eleonora Isaia
- Asian Fund Manager Performance: Factor Specialisation and Financial Crisis Impact pp. 145-154

- Mauro Aliano, Giuseppe Galloppo and Daniele Previati
- Do firms hedge translation risks? pp. 155-178

- 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

- Andrea Resti
- Reviewers' List pp. 195-196

- Journal of Financial Management, Markets and Institutions
2016, issue 1
- Editor's note pp. 3-4

- Journal of Financial Management, Markets and Institutions
- FLEWS: A Novel Forward Looking Early Warning System pp. 5-22

- Barbara Casu, Andrew Clare and Nashwa Saleh
- Financial Literacy and Undergraduates. Application of Latent Regression Rasch Model pp. 23-42

- Paola Bongini, Paolo Trivellato and Mariangela Zenga
- Banking Group Features and Interbank Market Exposure: Evidence from the Main European Groups pp. 43-70

- Lucia Gibilaro and Gianluca Mattarocci
- Mass Media, Spin-Offs and Investor Behaviour: Role of the Wall Street Journal pp. 71-92

- Elvira Anna Graziano
- Transparency in the EU Banking Sector pp. 93-98

- Andrea Enria
2015, issue 2
- Editor's Note pp. 177-178

- Cesare Bisoni
- Banks' Strategies and Cost of Money: Effects of the Financial Crisis on the European Electronic Overnight Interbank Market pp. 179-202

- 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

- 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

- Carmen Gallucci, Antonio D'Amato and Rosalia Santulli
- Intellectual Capital Disclosure in IPOs: Is It Worth It? pp. 245-264

- Camilla Mazzoli and Cristiana Cardi
- CAPM with Sentiment pp. 265-288

- Claudio Boido and Antonio Fasano
2015, issue 1
- Financial Literacy: Where Do We Stand? pp. 3-12

- Paola Bongini, Luca Colombo and Małgorzata Iwanicz-Drozdowska
- Business Students and Financial Literacy: When Will the Gender Gap Fade away? pp. 13-30

- Paola Bongini, Paolo Trivellato and Mariangela Zenga
- The Influence of Gender and Household Culture on Financial Literacy Knowledge; Attitudes and Behaviour pp. 31-50

- Stephen Agnew and Trudi Cameron-Agnew
- Back to Basics! The Educational Gap of Online Investors and the Conundrum of Virtual Communities pp. 51-69

- 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

- Andreas Dal Santo and Duccio Martelli
- A Demand-Driven Approach to Financial Education: The WEB Encyclopaedia of Financial Scholars in Italy pp. 101-120

- 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

- Elisa Cavezzali, Gloria Gardenal and Ugo Rigoni
- Financial Literacy, Households' Investment Behavior, and Risk Propensity pp. 157-174

- Emanuele Bajo, Massimiliano Barbi and Sandro Sandri
2014, issue 2
- Editor's Notes pp. 129-130

- Cesare Bisoni
- Banks and Bonds: The Impact of Bank Loan Announcements on Bond and Equity Prices pp. 131-156

- 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

- Lloyd Blenman and Nischala Reddy
- Sovereign Wealth Funds and Target Firms: Does 'Networking' Matter? pp. 185-206

- 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

- Ercan Özen, Özdemir Letife, Simon Grima and Frank Bezzina
- Reforming the Culture of Banking: Restoring Trust and Confidence in Banking pp. 221-236

- David T. Llewellyn
- Reviewers List pp. 237-238

- Journal of Financial Management, Markets and Institutions
2014, issue 1
- Editor's Notes pp. 3-4

- Emanuele Bajo and David Hillier
- Thai Financial Markets and Political Change pp. 5-26

- Sutsarun Lumiajiak, Sirimon Treepongkaruna, Marvin Wee and Robert Brooks
- Is there a Banking Risk Premium in the US Stock Market? pp. 27-42

- 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

- Antonio Gálvan, Julio Pindado and Chabela De La Torre
- Why Do SMEs Use Informal Credit? A Comparison between Countries pp. 65-86

- Elmas Yaldız Hanedar, Yener Altunbas and Flavio Bazzana
- Does Corporate Governance Improve Transparency in Emerging Markets? pp. 87-104

- Pornanong Budsaratragoon, David Hillier and Suntharee Lhaopadchan
- New Experiences from Voluntary Risk Disclosures. Operational Risk in Nordic Banks pp. 105-126

- Magnus Willesson
| |