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Journal of Banking and Financial Economics

2014 - 2019

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

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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

Volume 1, issue 11, 2019

Financial Deepening in Mexico pp. 5-18 Downloads
Alexander Herman and Alexander Klemm
Frontier and Emerging Markets: A Perspective from Portfolio Flows and Financial Integration pp. 19-45 Downloads
Nordine Abidi, Burcu Hacibedel and Mwanza Nkusu
Financial Stability Reports in Latin America and the Caribbean pp. 46-78 Downloads
Cheng Hoon Lim, Alexander Klemm, Sumiko Ogawa, Marco Pani and Claudio Visconti
Options Pricing by Monte Carlo Simulation, Binomial Tree and BMS Model: a comparative study of Nifty50 options index pp. 79-95 Downloads
Ali Bendob and Naima Bentouir
The Banks Profitability and Economic Freedom Quality: Empirical Evidence from Arab Economies pp. 96-110 Downloads
Omar Ghazy Aziz and Julie Knutsen

Volume 1, issue 9, 2018

Determinants of banks’ profitability and efficiency: Empirical evidence from a sample of Banking Systems pp. 5-23 Downloads
Mouna Rekik and Maha Kalai
EU banks after the crisis: sinners in the hands of angry markets pp. 24-51 Downloads
Antonio Sánchez Serrano
Animal Spirits and Risk in Financial Markets pp. 52-59 Downloads
Jukka Ilomäki
Macroprudential Policy Effectiveness: Lessons from Southeastern Europe pp. 60-102 Downloads
Jérôme Vandenbussche, Piyabha Kongsamut and Dilyana Dimova
Macroeconomic Stability in Resource-rich Countries: The Role of Fiscal Policy pp. 103-122 Downloads
Elva Bova, Paulo Medas and Tigran Poghosyan

Volume 1, issue 7, 2017

Inflation and Public Debt Reversals in the G7 Countries pp. 5-27 Downloads
Bernardin Akitoby, Ariel Binder and Takuji Komatsuzaki
Determinants of Banks’ Net Interest Margins in Honduras pp. 5-27 Downloads
Koffie Nassar, Edder Martinez and Anabel Pineda
Unstash the Cash! Corporate Governance Reform in Japan pp. 51-69 Downloads
Chie Aoyagi and Giovanni Ganelli
Global Thermoeconomics pp. 70-89 Downloads
Mario W. Cardullo and Manhong Mannie Liu
An Econometric Analysis for the Bid-Ask Spread in the Emerging Chilean Capital Market pp. 90-101 Downloads
David Cademartori-Rosso, Berta Silva-Palavecinos, Ricardo Campos-Espinoza and Hanns de la Fuente-Mella

Volume 1, issue 5, 2016

The Finance and Growth Nexus Re-Examined: Do All Countries Benefit Equally? pp. 5-38 Downloads
Adolfo Barajas, Ralph Chami and Seyed Reza Yousefi
Intermediary networks under the rule of equi-repartition of profits pp. 39-63 Downloads
Fabien Mercier
What Drives the Volatility of Firm Level Productivity in China? pp. 64-80 Downloads
Xubei Luo and Nong Zhu
External Factors in Debt Sustainability Analysis: An Application to Latin America? pp. 81-120 Downloads
Gustavo Adler and Sebastian Sosa
The relationship between distance-to-default and CDS spreads as measures of default risk for European banks pp. 121-143 Downloads
Kim Ristolainen

Volume 1, issue 3, 2015

Wage-setting Behavior in France: Additional Evidence from an Ad-hoc Survey pp. 5-23 Downloads
Jeremi Montornes and Jacques-Bernard Sauner-Leroy
The validity and time-horizon of the Fed model for equity valuation: a co-integration approach pp. 24-49 Downloads
Fabien Mercier
A global perspective on inflation and propagation channels pp. 50-76 Downloads
Luca Gattini, Huw Pill and Ludger Schuknecht
The Role of Foreign Firm Characteristics, Absorptive Capacity and the Institutional Framework for FDI Spillovers pp. 77-112 Downloads
Thomas Farole and Deborah Winkler
Risk, capital buffers and bank lending: The adjustment of euro area banks pp. 113-129 Downloads
Laurent Maurin and Mervi Toivanen
Financial Deepening, Property Rights, and Poverty: Evidence from Sub-Saharan Africa pp. 130-151 Downloads
Raju Singh and Yifei Huang
Global Liquidity Determinants Across Emerging and Advanced Countries pp. 152-170 Downloads
Renata Karkowska

Volume 1, issue 1, 2014

Macroprudential Banking Regulation: Does One Size Fit All? pp. 5-28 Downloads
Doris Neuberger and Roger Rissi
Access to Credit as a Growth Constraint pp. 29-39 Downloads
Matjaž Volk and Polona Trefalt
Do institutional and political factors matter for the efficiency of banking sectors? pp. 40-58 Downloads
Małgorzata Olszak and Patrycja Chodnicka
Volatility Transmission Between Stock and Foreign Exchange Markets: Evidence from Nigeria pp. 59-72 Downloads
Emenike Kalu O.
The Effect of the Introduction of a »Pay Per Use« Option within motor TPL insurance pp. 73-87 Downloads
Stefan Trappl, Karl Zehetner and Robert Pichler
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