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Journal of Financial Transformation

2001 - 2025

Current editor(s): Prof. Shahin Shojai

From Capco Institute
77 Water Street, 10th Floor, New York NY 10005.

Bibliographic data for series maintained by Prof. Shahin Shojai ( this e-mail address is bad, please contact ).

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2008, volume 24

An Alternative Approach to Alternative Beta pp. 43-52 Downloads
Thierry Roncalli and Jérôme Teiletche
How to explain the foreign expansion of Russian firms pp. 53-61 Downloads
Kalman Kalotay
Evaluating art as an alternative investment aset pp. 63-71 Downloads
Raya Mamarbachi, Marc Day and Giampiero Favato
Gutenberg and the social media revolution: an investigation of the world where it costs nothing to distribute information pp. 91-100
Richard Stacy
Understanding the cost difference between intraday and overnight liquidity pp. 105-107
Joydeep Bhattacharya, Joseph Haslag and Antoine Martin
Mutual Fund Investors: Sharp Enough? pp. 113-121 Downloads
Alan Palmiter and Ahmed Taha
Can research committees add value for investors. An analysis of Lehman Brothers Ten Uncommon Values recommendations pp. 123-130 Downloads
Boris Groysberg, Paul Healy and Yang Gui
Financial instruments to hedge commodity price risk for developing countries pp. 137-143 Downloads
Yinqiu Lu and Salih Neftci
Global excess liquidity does it matter for house and stock prices on a global scale pp. 145-154
Ansgar Belke, Ralph Setzer and Walter Orth
Keeping the bad guys out, risk management and retail payment innovation pp. 175-182
Michele Braun, William Roberds and Richard Sullivan
The role of banking and financial policies in promoting micro, small, and medium enterprises pp. 183-191 Downloads
Piotr Ciżkowicz and Krzysztof Rybinski

2008, volume 23

Global structured products survey: trends and issues in the market pp. 14-18
Michael Mahlknecht
Zopa.com — innovation in the u.K. financial services industry pp. 51-59
Jamie Anderson and Martin Kupp
Strategic innovation in the financial services industry: opportunity or threat? pp. 69-76
Kurt Verweire and Lutgart van Den Berghe
Banking at the Checkout:are retailers really a threat to banks? pp. 77-84
Peter Welch and Steve Worthington
EU retail financial market integration: mirage or reality? pp. 95-100
Karel Lannoo
Financial services for the unbanked in the U.S. -Why,who and what? pp. 101-105
Steve Worthington
Credit scoring in the context of European integration: is there a future for generic models? pp. 129-134
Galina Andreeva, Jake Ansell and Jonathan Crook
Recent trends in the number and size of bank branches: an examination of likely determinants pp. 155-164
Timothy Hannan and Gerald Hanweck
Operate a mortgage company like a factory pp. 165-172
Tyrone Jackson and Josephine Yen

2008, volume 22

The Dutch housing market: trends, risks, and outlook pp. 18-22
Ricardo Cunha, Bart Lambrecht and Grzegorz Pawlina
On the lognormality of forward credit default swap spreads pp. 41-48
George Jabbour, Fatena El Masri and Stephen Young
Using Bayesian networks to model the operational risk to information technology infrastructure in financial institutions pp. 131-138
Martin Neil and Norman Fenton
A Framework for Integrating Reputation Risk Into the Enterprise Risk Management Process pp. 187-194
Laureen Regan
Profitability, balance sheet data, real options and the valuation of equity pp. 195-201
Ian Herbert, Yoshikatsu Shinozawa and Mark Tippett

2007, volume 21

Share of wallet in Australian retail banking an empirical study with implications for practice and research pp. 32-38 Downloads
Chris Baumann, Gregory Elliott and Suzan Burton
Applied Financial Marketing - Myth Versus Reality pp. 55-66 Downloads
Shahin Shojai, Julian Badcock and Alex De Fursac Gash
How to design customer-centric processes in the banking industry pp. 67-76 Downloads
Diana Heckl and Jürgen Moormann
How to design customer-centric business processes in the banking industry pp. 67-76 Downloads
Diana Heckl and Jürgen Moormann

2007, volume 20

Market timing with candlestick technical analysis pp. 18-25
Ben Marshall, Martin Young and Lawrence Rose
Corporate inflation-indexed bonds in emerging market countries: recent trends and prospects pp. 69-79
Peter Kunzel, Carlos Medeiros, Michael Papaioannou and Luisa Zanforlin
Applications of extreme value theory to collateral valuation pp. 88-93
Alejandro Garcia and Ramazan Gencay
Settlement internalization: the production and distribution of services in the (clearing and) settlement industry pp. 127-141 Downloads
Salvatore Lo Giudice
Standards and Competition in Post-trade Securities Processing pp. 143-154
Alistair Milne
European financial integration and MiFID pp. 155-166
Harilaos Mertzanis
Towards economic and monetary union: changing trends in payment systems for new European members pp. 168-174
Francisco José Callado Muñoz and Natalia Utrero González

2007, volume 19

The role of the euro on the corporate bond markets in the Euro Area pp. 14-19
Gabe de Bondt
Measuring convergence of the new member countries’ exchange rates to the euro pp. 20-25
Bettina Becker and Stephen Hall
The impact of monetary union on trade prices pp. 35-48 Downloads
Anderton Robert, Richard Baldwin and Daria Taglioni
The Economics of Offshore Financial Services and the Choice of Tax, Currency, and Exchange Rate Regime pp. 49-64
George von Furstenberg
Financial stability in the Eurozone: where do we stand? pp. 65-79
Ivo Arnold
Structural econometric approach to bidding in the main refinancing operations of the Eurosystem pp. 81-90
Nuno Cassola, Christian Ewerhart and Claudio Morana
Financial Integration in the West African Monetary Union pp. 91-103 Downloads
Amadou Sy
Economic and monetary union: the problematic nature of its economic policies pp. 106-111
Philip Arestis and Malcolm Sawyer
On the macroeconomics of Euro Area enlargement pp. 112-120
Reinhard Neck and Gottfried Haber
Checking out: exits from currency unions pp. 121-128
Andrew Rose
Was Argentina s financial collapse of 2001 Inevitable: What did we know and when did we know it? pp. 129-140
Andrew Hughes Hallet
The future of the euro — what happens if a Member State leaves? pp. 141-157
Charles Proctor
THE SGP and the ECB an exercise in asymmetry pp. 159-175
David Mayes and Matti Viren

2006, volume 18

Why and when financial instruments are created: a learning story pp. 24-28
Ana Fernandes
Developing sustainable advantage in asset management pp. 29-33 Downloads
Peter Moles
Strategic trends and opportunities in banking pp. 34-38
Norm Balthasar
Private equity: spice for European economies pp. 61-69 Downloads
Thomas Meyer
Pricing effects of private seasoned equity issues in New Zealand's laissez-faire regulatory environment pp. 71-78
Hamish Anderson and Lawrence Rose
Transformation using Lean Six Sigma measures for service processes pp. 90-93
Allison Stahl
Applying Lean and Six Sigma for operational excellence in financial services pp. 94-100
Robin Davies
Achieving competitive advantage through Lean thinking pp. 101-104
Thomas Bertels and Massimo Appiotti
Improving liquidity through efficient stock market structure and operational design pp. 151-159 Downloads
Pankaj Jain
Using asset management companies to resolve non-performing loans in China pp. 161-169
Guonan Ma and Ben Fung
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