The Review of Finance and Banking
2009 - 2024
Current editor(s): Victor Dragota; Bogdan Negrea From Academia de Studii Economice din Bucuresti, Romania / Facultatea de Finante, Asigurari, Banci si Burse de Valori / Catedra de Finante Strada Mihai Eminescu nr.13-15, sector 1, Bucuresti, Romania. Contact information at EDIRC. Bibliographic data for series maintained by Tatu Lucian (). Access Statistics for this journal.
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Volume 16, issue 2, 2024
- Does Mental Accounting Matter in Portfolio Management? A Prospect Theory Application pp. 167-195
- Paritosh Chandra Sinha
- Interpreting the Decades of Earnings Management pp. 197-215
- Manu Abraham and S.Santhosh Kumar
- Causal Interaction between Foreign Portfolio Investment, Service Trade, Currency Value & Economic Growth: An Empirical Study of India pp. 217-230
- Ishwar Sharma, Sushant Yadav, Ruhee Mittal and Ajay Yadav
- Digital Financial Literacy and Perceived Financial Well-Being Among Indian Adolescents and Young Adults: The Importance of Financial Capability and Resilience pp. 231-247
- C. Hitesh Kumar and Supreet Sandhu
- Risk Attitudes, Financial Literacy and Financial Behavior: A Gender Specific Comparison pp. 249-271
- Razvan Uifalean
- The Time Dependence and Interconnectedness of Developed Stock Markets pp. 273-293
- Bogdan Dima, Stefana Maria Dima and Anca-Adriana Saraolu (Ionascuti)
- The Effects of COVID-19 and their Mitigation through Fiscal Policy: Results from a DSGE Model with Financial Frictions pp. 295-308
- Stefania Stancu
- Exploring The Fama-French Five Factor Model Within a Time-Varying Parameters Framework pp. 309-357
- Cristian Andrei Budris and Bogdan Dima
Volume 16, issue 1, 2024
- Modelling Asymmetric Volatility in the Crypto Currency and its Dynamic Relationship with Stock Market pp. 7-19
- Neenu C, T Mohamed Nishad and K. Muhammed Noufal
- Is the movement of the INR/USD Exchange Rate and the Indian Stock Market Linked? Fresh Evidence pp. 21-32
- Animesh Bhattacharjee and Sunil Kumar
- Does Bullion Appeal As A Hedge Or A Safe Haven For Oil Wild Ride During The Russia-Ukraine War? A Wavelet Approach pp. 33-41
- Suraj Velip and Mrunali Jambotkar
- Impact of System-Level Indicators of Chatbots on Perceived Usefulness and Intention to use for Banking Services pp. 43-55
- C. Dhanya and K. Ramya
- Mapping the Intellectual Structure of Asset Pricing: A Bibliometric Study pp. 57-71
- Pooja and Jai Pal Sharma
- Evolving Efficiency of Cryptocurrency Market: Evidence from Leading Cryptocurrencies pp. 73-84
- Mallesha L and Archana H. N.
- Unveiling the Behavioural Biases of Retail Investors in Derivative Market pp. 85-103
- S.S. Mageswari and P. Sasirekha
- Asymmetric Effects of Expected Oil Wealth on the Demand for Money in Nigeria pp. 105-119
- Anthony Enisan Akinlo
- ESG and stock return volatility: Evidence from industry analysis in Europe pp. 121-136
- Diana Mihaela Sandu
- Exploratory Assessment of the European Union Contries’ Climatic Profile pp. 137-160
- Iustina Alina Boitan and Wafaa Shabban
Volume 15, issue 2, 2023
- Investigating the Impact of ICT-Enabled Business Correspondent Model on Financial Inclusion pp. 89-100
- Mohd Adnan, Jaidev Singh Negi and Rashika Kumari
- Indian Stock Market Regularity: The Turn of the Month Effect pp. 101-118
- Nemani Satish and Bheemanagouda
- Performance and Network Analysis of Research in Stock Market Anomalies pp. 119-135
- Sumayya Chulliyil Valappil and Thodiyil Mohamed Nishad
- Mindset to Money: How Gender Impacts the Relationship between Self-Efficacy and Financial Satisfaction pp. 137-148
- Shakira Mukhtar, Anisa Jan, Hadiya Altaf and Danish Mehraj
- Extending Digital Payment System Adoption to Satisfaction: Empirical Evidence from Indian Rural Households pp. 149-168
- Geetha. K and K. Kanniammal
- Financial Inclusion as a Panacea for Income Inequality in Nigeria pp. 169-180
- Samuel Orekoya and Oluwatoyin Akintunde
- Value at Risk Estimation for Non-Gaussian Distributions pp. 181-190
- Codrut Florin Ivascu and Daniela Serban
Volume 15, issue 1, 2023
- Re-visiting the Validity of Phillip’s Curve in the Context of the BRICS Countries pp. 7-16
- Umaru Aminu, Ejila Solomon Oxford Ali, Dogo Bishara Saidu and Yunana Nancy Zigwai
- Implication of Goods and Service Tax on State’s Revenue Efficiency: An Empirical Study on Indian States pp. 17-28
- Shubham Garg, Karam Pal Narwal and Sanjeev Kumar
- Adoption of Digital Financial Services and the Performance of Commercial Banks in India – A Camel Rating System Approach pp. 29-40
- Sreekanth P. V. and Kiran K. B.
- Higher Educational Financing – A Utilitarian Approach pp. 41-48
- Jithendran S., Rajeev Kumar A.D. and Sreeanandan
- Influence of Personality Traits and Behavioural Biases on Irrational Investment Decision Making of Public Officials pp. 49-63
- Rathi K. N. and Geetha D.
- Efficiency Appraisal of Life Insurance Industry in India- Public versus Private Players pp. 65-81
- Aparna Bhatia and Megha Mahendru
Volume 14, issue 2, 2022
- Merger and Acquisition Announcement of Indian Banking Sector: A Pre-Post Analysis of Stock Market Reaction pp. 89-105
- Mahesh Dahal and Joy Das
- Determinants of Stock Market Liquidity. The Quantifiable Effects of Psychic Distance Stimuli pp. 107-120
- Andrei Dimcea
- Assessing the long-run and short-run effect of monetary variables on stock market in the presence of structural breaks: evidence from liberalised India pp. 121-131
- Animesh Bhattacharjee and Joy Das
- Regulator’s Decision and Risk Management: The Case of India pp. 133-142
- G.K. Chetan Kumar, K.B. Rangappa and Suchitra S
- Behavior of Financial Markets Around News Announcements: A Review Based on Bibliometric Analysis of Scientific Fields pp. 143-172
- Neenu C and T Mohamed Nishad
Volume 14, issue 1, 2022
- Modelling and forecasting Nifty 50 using hybrid ARIMA-GARCH Model pp. 7-20
- Parminder Kaur and Ravi Singla
- Asymmetric Volatility and Leverage Effect in Stock Market: A Bibliometric Review pp. 21-34
- Neenu C and T Mohamed Nishad
- Factors’ Influencing Driving Demand of Cryptocurrency and its Impact on Behavioral Intention: An Indian Perspective pp. 35-43
- Jyoti Verma
- Forecasting inflation using machine learning techniques pp. 45-55
- Musa Nakorji and Umaru Aminu
- Contagious investor sentiments and their volatilities pp. 57-81
- Askar Koshoev
Volume 13, issue 2, 2021
- Effect of Debt to Equity Ratio and Firm Size of Return on Assets on Manufacturing Company in Indonesia Stock Exchange pp. 99-108
- Junaidi and Muksal and Muksal
- The determinants of Financial Inclusion and Digital Financial Inclusion in India: A Comparative Study pp. 109-120
- Srinivasu Bathula and Ankita Gupta
- Commitment to capital raising for venture capital funds in India: An Application of ARDL Model pp. 121-133
- Mohammad Mustafa and Syed Shahid Mazhar
- Governmental Announcements and Indian Stock Market: Evidence from Indian Manufacturing Sector pp. 134-146
- Mahesh Dahal and Joy Das
- Bank Revolving Credit as a Channel of Monetary Policy pp. 147-160
- Mujtaba Zia and Jennifer Logan
Volume 13, issue 1, 2021
- Attention to the Election-Economics-Politics (EEP) Nexus in the Indian Stock Markets pp. 7-32
- Paritosh Sinha
- Bank-Based versus Stock Market-Based Development in Nigeria: A Fully-Modified Ordinary Least Squares Approach pp. 33-45
- Samuel Orekoya, Joseph Afolaby and Oluwatoyin Akintunde
- Domestic and Foreign Transmission of the Global Financial Crisis in the Real Economy. The Polish Situation pp. 47-60
- Elena Tilica
- Estimation of Correlation between Capital Markets. Analysing the case of Central and Eastern European markets in the context of the COVID-19 pandemic pp. 61-78
- Alina Zaharia
- Corporate governance features among European Union countries – an exploratory analysis pp. 79-91
- Iustina Boitan and Ewa Maruszewska
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