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Journal of Banking and Financial Economics

2014 - 2022

From University of Warsaw, Faculty of Management
Contact information at EDIRC.

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Volume 2, issue 18, 2022

Application of the Beneish Model on the Warsaw Stock Exchange pp. 5-16 Downloads
Marek Sylwestrzak
On the Use of Quantitative Methods in Accounting Research in Poland pp. 17-29 Downloads
Marek Gruszczyński
Voluntary Disclosure and Relational Connectivity – The Case of the Polish Bond Market pp. 30-48 Downloads
Dominika Hadro, Marek Pauka, Kamil Gemra, Szymon Okon and Justyna Fijalkowska
How Do the Lengths of the Lead Lag Time between Stocks Evolve? Tick-by-tick Level Measurements across Two Decades pp. 49-59 Downloads
Bing Anderson
The Impact of Earnings Management on the Value of Companies – The Role of Ownership Structure pp. 60-71 Downloads
Adam Adamczyk and Slawomir Franek
The Concept of Using the Excess Rate of Return in the Study of the Impact of EU ETS on the Value of Enterprises pp. 72-93 Downloads
Pawel Witkowski
Dividend Versus Investment – Cash Flow Allocation pp. 94-108 Downloads
Elzbieta Bukalska, Anna Maziarczyk and Kinga Ociesa

Volume 2, issue 16, 2021

Sentiment Analysis of German Texts in Finance: Improving and Testing the BPW Dictionary pp. 5-24 Downloads
Matthias Pöferlein
Concept of Peer-to-Peer Lending and Application of Machine Learning in Credit Scoring pp. 25-55 Downloads
Aleksy Klimowicz and Krzysztof Spirzewski
The Impact of Equity Capital on the Bank’s Profitability: Evidence From Vietnam’s Banking System pp. 56-71 Downloads
Thanh Xuan Ngo, Phuong Linh Bui and Minh Huong Le
The Impact of Investor Sentiment on Direction of Stock Price Changes: Evidence from the Polish Stock Market pp. 72-90 Downloads
Kamil Polak
Re-Evaluating Sharpe Ratio in Hedge Fund Performance in Light of Liquidity Risk pp. 91-103 Downloads
Richard Van Horne and Katarzyna Perez
Conventionalists, Pioneers and Criminals Choosing Between a National Currency and a Global Currency pp. 104-133 Downloads
Guizhou Wang and Kjell Hausken

Volume 2, issue 14, 2020

Condition of banks listed on the Warsaw Stock Exchange during the first 3 months of the pandemic in Poland pp. 5-20 Downloads
Zbigniew Korzeb and Pawe³ Niedzió³ka
GDP growth as a bank loan quality determinant pp. 21-37 Downloads
Joanna Rachuba
Causal Analysis Between Liquidity and Profitability: Is There Any Difference Between Public and Private Commercial Banks in Bangladesh? pp. 38-46 Downloads
Qamarullah Bin Tariq Islam
Belize’s 2016–17 Sovereign Debt Restructuring – Third Time Lucky? pp. 47-67 Downloads
Tamon Asonuma, Michael Papaioannou, Eriko Togo and Bert van Selm

Volume 2, issue 12, 2019

Sharing the Growth Dividend: Analysis of Inequality in Asia pp. 5-28 Downloads
Sonali Jain-Chandra, Tidiane Kinda, Kalpana Kochhar, Shi Piao and Johanna Schauer
Banks’ Trust in the EU Macroprudential Regulation pp. 29-38 Downloads
Matias Huhtilainen
Determinants of Bank Competitiveness in Digital Era A Case Study of South Korea pp. 39-55 Downloads
Young Jun Jin and Yanthi Hutagaol-Martowidjojo
Pacific Island Countries: In Search of a Trade Strategy pp. 56-80 Downloads
Hong Chen, Lanieta Rauqeuqe, Shiu Raj Singh, Yiqun Wu and Yongzheng Yang
Local competition, innovation, and firms’ bank relationships pp. 81-109 Downloads
Maximilian Zurek

Volume 2, issue 10, 2018

Potential and Actual FDI Spillovers in Global Value Chains The Role of Foreign Investor Characteristics, Absorptive Capacity and Transmission Channels pp. 5-44 Downloads
Deborah Winkler
Good Practices in Empirical Corporate Finance and Accounting Research pp. 45-51 Downloads
Marek Gruszczyński
Sustainability and Equity Challenges to Pension Systems: The Case of Lebanon pp. 52-66 Downloads
Mariusz Jarmuzek and Najla Nakhle
Sustainability and Equity Challenges to Pension Systems: The Case of Lebanon pp. 67-106 Downloads
Tamon Asonuma, Mike Xin Li, Saji Thomas, Michael Papaioannou and Eriko Togo
Comparison on Efficiency of Foreign and Domestic Banks Evidence from Algeria pp. 106-119 Downloads
Ishaq Hacini and Khadra Dahou

Volume 2, issue 8, 2017

Sovereign Debt Restructurings in Belize: Debt Sustainability and Financial Stability Aspects pp. 5-26 Downloads
Tamon Asonuma, Michael Papaioannou, Gerardo Peraza, Kristine Vitola and Takahiro Tsuda
Does persistence in idiosyncratic risk proxy return-reversals? pp. 27-53 Downloads
Harmindar B. Nath and Vasilis Sarafidis
Mauritius: The Drivers of Growth – Can the Past Be Extended? pp. 54-83 Downloads
Katsiaryna Svirydzenka and Martin Petri
The European system of financial supervision– regulatory impact assessment pp. 84-104 Downloads
Mariusz Szpringer and W³odzimierz Szpringer
Assessing Countries’ Financial Inclusion Standing– A New Composite Index pp. 105-126 Downloads
André Mialou, Goran Amidzic and Alexander Massara
Bank prudential and bank stability– how far do they go pp. 127-150 Downloads
Gerti Shijaku

Volume 2, issue 6, 2016

Comparing the Performance of Logit and Probit Early Warning Systems for Currency Crises in Emerging Market Economies pp. 5-22 Downloads
Fabio Comelli
Investigating Impact of US, Europe, Frontier and BRIC Stock Markets on Indian Financial Stress Index pp. 23-44 Downloads
Amanjot Singh and Manjit Singh
Foreign Investor Flows and Sovereign Bond Yields in Advanced Economies pp. 45-67 Downloads
Serkan Arslanalp and Tigran Poghosyan
Financial Inclusion, Growth and Inequality: A Model Application to Colombia pp. 68-89 Downloads
Izabela Karpowicz
Spotting Bubbles: A Two-Pillar Framework for Policy Makers pp. 90-112 Downloads
Bradley A. Jones
Does it pay to be good? An analysis of vice and virtue stock performance in the Eurozone pp. 113-125 Downloads
Toni Vide

Volume 2, issue 4, 2015

Financial and Sovereign Debt Crises: Some Lessons Learned and Those Forgotten pp. 5-17 Downloads
Carmen Reinhart and Kenneth Rogoff
Asset choice in British central banking history, the myth of the safe asset, and bank regulation pp. 18-31 Downloads
William Allen
The Day After Tomorrow: Designing an Optimal Fiscal Strategy for Libya pp. 32-50 Downloads
Carlos Caceres, Serhan Cevik, Ricardo Fenochietto and Borja Gracia
Risks and Opportunities of Participation in Global Value Chains pp. 51-63 Downloads
Gary Gereffi and Xubei Luo
Is Uruguay More Resilient This Time? Distributional Impacts of a Crisis Similar to the 2001–02 Argentine Crisis pp. 64-90 Downloads
Oscar Barriga-Cabanillas, Maria Ana Lugo, Carlos Rodríguez-Castelán, Hannah Nielsen and Maria Pia Zanetti
Trade Policy Barriers: An Obstacle to Export Diversification in Eurasia pp. 91-129 Downloads
Ana Paula Cusolito and Claire H. Hollweg

Volume 2, issue 2, 2014

Deep Roots of Fiscal Behavior pp. 5-33 Downloads
Serhan Cevik and Katerina Teksoz
Euro area labour markets: Different reaction to shocks? pp. 34-60 Downloads
Beatrice Pierluigi, Jan Bruha and Roberta Serafini
Gravity chains: Estimating bilateral trade flows when parts and components trade is important pp. 61-82 Downloads
Daria Taglioni and Richard Baldwin
Household Money Holdings in the Euro Area: An Explorative Investigation pp. 83-115 Downloads
Franz Seitz and Julian von Landesberger
Feedback to the ECB’s Monetary Analysis: The Bank of Russia’s Experience with Some Key Tools pp. 116-150 Downloads
Alexey Ponomarenko, Elena Vasilieva and Franziska Schobert
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