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Financial Markets, Institutions & Instruments

1997 - 2025

From John Wiley & Sons
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Volume 34, issue 1, 2025

Do high‐centrality CEOs influence audit outcomes? pp. 3-38 Downloads
Mohamad Mazboudi, Salim Chahine, Yiwei Fang and Mingying Cheng
Does it cost to be politically connected? An examination of the grabbing hand hypothesis using corporate taxes pp. 39-67 Downloads
Taufiq Arifin and Rezaul Kabir

Volume 33, issue 3, 2024

Corporate social responsibility, carbon footprints and stock market valuation pp. 213-237 Downloads
Ramzi Benkraiem, Maria Qureshi, Asif Saeed and Constantin Zopounidis
Being stranded with fossil fuel reserves? Climate policy risk and the pricing of bank loans pp. 239-265 Downloads
Manthos D. Delis, Kathrin de Greiff, Maria Iosifidi and Steven Ongena
Creditor protection and credit ratings in the US RMBS market pp. 267-292 Downloads
Vivian M. van Breemen, Frank J. Fabozzi, Mike Nawas and Dennis Vink
Do SWF investments matter for bond ratings? The role of corporate governance pp. 293-321 Downloads
Zeineb Ouni, Hatem H. Ghouma and Hamdi Ben‐Nasr
Managing bank liquidity hoarding during uncertain times: The role of board gender diversity pp. 323-348 Downloads
Denis Davydov, Tatiana King and Laurent Weill

Volume 33, issue 2, 2024

Editorial—FMII special issue: “Climate risk: Policy responses, financial market impacts and corporate risk management” pp. 63-64 Downloads
Iftekhar Hasan, Philip Molyneux, Panagiota Papadimitri and Fotios Pasiouras
Shareholder litigation rights and firm productivity pp. 65-90 Downloads
Alona Bilokha and Sudip Gupta
Can financial uncertainty forecast aggregate stock market returns? pp. 91-111 Downloads
Ólan Henry, Semih Kerestecioglu and Sam Pybis
Climate‐related performance and stock price crash risk pp. 113-148 Downloads
Kyriaki Kosmidou, Dimitrios Kousenidis, Anestis Ladas and Christos Negkakis
Corporate pollution and reputational exposure pp. 149-178 Downloads
Georgios Chortareas, Fangyuan Kou and Alexia Ventouri
Air temperature and sovereign bond returns pp. 179-209 Downloads
Renatas Kizys, Wael Rouatbi, Zaghum Umar and Adam Zaremba

Volume 33, issue 1, 2024

Climate regulation costs and firms’ distress risk pp. 3-30 Downloads
Neophytos Lambertides and Dimitris Tsouknidis
Leverage ratio, risk‐based capital requirements, and risk‐taking in the United Kingdom pp. 31-60 Downloads
Mahmoud Fatouh, Simone Giansante and Steven Ongena

Volume 32, issue 5, 2023

Flight from Liquidity and Corporate Bond Yields pp. 255-283 Downloads
Ali Ebrahim Nejad, Saeid Hoseinzade and Aryan Molanaei
Bank dividend payout policy and debt seniority: Evidence from US Banks pp. 285-340 Downloads
Thaer Alhalabi, Vítor Castro and Justine Wood

Volume 32, issue 4, 2023

Implications of Internal Funds Surplus for Determining Agency Spending of SEO Proceeds and Timing Incentives pp. 133-169 Downloads
Ebrahim Bazrafshan
Keeping up with the Joneses? Evidence from Peer Performance in the Banking Industry pp. 171-194 Downloads
Wassim Dbouk and Lawrence Kryzanowski
Security Analysts’ Site Visits and Stock Price Synchronicity pp. 195-219 Downloads
Yu Jiang and Adrian Lei
Sentimental Sustainability: Does What Companies Say Tell More Than What Companies Do? pp. 221-252 Downloads
Konstantin Ignatov and Markus Rudolf

Volume 32, issue 3, 2023

Credit ETFs in Mutual Funds and Corporate Bond Liquidity pp. 89-114 Downloads
Jeffrey Meli and Zornitsa Todorova
Across‐the‐Curve Credit Spread Indices pp. 115-130 Downloads
Antje Berndt, Darrell Duffie and Yichao Zhu

Volume 32, issue 2, 2023

Resilience of Environmental and Social Stocks under Stress: Lessons from the COVID‐19 Pandemic pp. 23-50 Downloads
Pejman Abedifar, Kais Bouslah, Christopher Neumann and Amine Tarazi
Intensified Competition and The Impact on Credit Ratings in the RMBS market pp. 51-86 Downloads
Vivian M. van Breemen, Frank J. Fabozzi and Dennis Vink

Volume 32, issue 1, 2023

Secret Recipe of IPO survival: ESG disclosure and performance pp. 3-19 Downloads
Mengchuan Fu, Dantong Yu and Dan Zhou

Volume 31, issue 5, 2022

ESG Risks and the Value Relevance of Current and Historical Earnings pp. 207-237 Downloads
Mingying Cheng and Joseph A. Micale
Don't interfere with my rights! Employee rights violation and the cost of bank loans pp. 239-258 Downloads
Amirhossein Fard, Ibrahim Siraj and Bin Wang

Volume 31, issue 4, 2022

Environmental reputational risk, negative media attention and financial performance pp. 123-145 Downloads
Leonardo Becchetti, Rocco Ciciretti, Iftekhar Hasan and Gabriele La Licata
ESG Issues and Career Prospects of Directors: Evidence from the International Director Labor Market pp. 147-203 Downloads
Gonul Colak, Kent Hickman, Timo Korkeamäki and Niclas O. Meyer

Volume 31, issue 2-3, 2022

Does mixed ownership reform affect private firms’ ESG practices? Evidence from a quasi‐natural experiment in China pp. 47-86 Downloads
June Cao, Wenwen Li and Shujuan Xiao
Environmental Concerns and Impression Offsetting: New Evidence on Dividend Payout pp. 87-118 Downloads
Ying Wang, Mingsheng Li and Amina Kamar

Volume 31, issue 1, 2022

First‐mover disadvantage: the sovereign ratings mousetrap pp. 3-44 Downloads
Patrycja Klusak, Moritz Kraemer and Huong Vu

Volume 30, issue 5, 2021

The impact of legal advisor‐issuer cooperation on securitization pricing pp. 167-199 Downloads
Nodirbek Karimov, Alper Kara and Gareth Downing
When leverage ratio meets derivatives: Running out of options? pp. 201-224 Downloads
Richard Haynes and Lihong McPhail

Volume 30, issue 4, 2021

Lender of last resort, buyer of last resort, and a fear of fire sales in the sovereign bond market* pp. 87-112 Downloads
Viral Acharya, Diane Pierret and Sascha Steffen
Analoging the digital: Designing better binary option contracts pp. 113-128 Downloads
Yisong S. Tian
Law Firm expertise and shareholder wealth pp. 129-163 Downloads
Denis Schweizer and Ge Wu

Volume 30, issue 3, 2021

Changes in trading behavior of analyst‐affiliated institutions: the impact of the global analyst research settlement pp. 65-83 Downloads
Hyoseok (David) Hwang

Volume 30, issue 2, 2021

Has the Crisis Introduced a New Paradigm in Banks' Credit Allocation? The Non‐financial Corporations' Perspective pp. 31-62 Downloads
Andresa Lopes, Vítor Oliveira, Ângelo Ramos and Fátima Silva

Volume 30, issue 1, 2021

Risk Transfer with Interest Rate Swaps pp. 3-28 Downloads
Lee Baker, Richard Haynes, John Roberts, Rajiv Sharma and Bruce Tuckman

Volume 29, issue 5, 2020

Diversification benefits of cat bonds: An in‐depth examination pp. 165-228 Downloads
Karl Demers‐Bélanger and Van Son Lai

Volume 29, issue 4, 2020

Public pension reform and the 49th parallel: Lessons from Canada for the U.S pp. 121-162 Downloads
Clive Lipshitz and Ingo Walter

Volume 29, issue 3, 2020

Environmental, social and governance reporting in annual reports: A textual analysis pp. 93-118 Downloads
Philipp Baier, Marc Berninger and Florian Kiesel

Volume 29, issue 2, 2020

Banks’ equity performance and the term structure of interest rates pp. 43-64 Downloads
Elyas Elyasiani, Iftekhar Hasan, Elena Kalotychou, Panos K. Pouliasis and Sotiris K. Staikouras
The time‐varying performance of UK analyst recommendation revisions: Do market conditions matter? pp. 65-89 Downloads
Chen Su, Hanxiong Zhang and Robert Hudson

Volume 29, issue 1, 2020

Incentive‐compatible contracts in merger negotiations: The role of acquirer idiosyncratic stock return volatility pp. 3-40 Downloads
Dimitris Alexakis and Leonidas G. Barbopoulos

Volume 28, issue 5, 2019

Investor behaviour and reaching for yield: Evidence from the sterling corporate bond market pp. 347-379 Downloads
Robert Czech and Matt Roberts‐Sklar
Managerial ability and bond rating changes pp. 381-401 Downloads
Joel Harper, Kristopher J. Kemper and Li Sun

Volume 28, issue 4, 2019

The impact of multilateral trading facilities on price discovery: Further evidence from the European markets pp. 321-343 Downloads
Mike Buckle, Jing Chen, Qian Guo and Xiaoxi Li

Volume 28, issue 3, 2019

ESG in credit ratings and the impact on financial markets pp. 263-290 Downloads
Florian Kiesel and Felix Lücke
Motivating high‐impact innovation: Evidence from managerial compensation contracts pp. 291-318 Downloads
Bill B. Francis, Iftekhar Hasan, Zenu Sharma and Maya Waisman

Volume 28, issue 2, 2019

Editorial of special issue 2016 Portsmouth – Fordham conference on Banking and Finance pp. 59-60 Downloads
Ioannis Chatziantoniou, Iftekhar Hasan and Fotios Pasiouras
Trustee reputation in securitization: When does it matter? pp. 61-84 Downloads
Solomon Deku, Alper Kara and David Marques‐Ibanez
Economic volatility and financial markets: The case of mortgage‐backed securities pp. 85-113 Downloads
Gaetano Antinolfi and Celso Brunetti
The income elasticity of mortgage loan demand pp. 115-139 Downloads
Manthos D. Delis, Iftekhar Hasan and Chris Tsoumas
Can Loan Valuation Adjustment (LVA) approach immunize collateralized debt from defaults? pp. 141-158 Downloads
Rafal M. Wojakowski, M. Shahid Ebrahim, Aziz Jaafar and Murizah Osman Salleh
Annual report readability and stock liquidity pp. 159-186 Downloads
Sabri Boubaker, Dimitrios Gounopoulos and Hatem Rjiba
The impact of business group affiliation on stock price informativeness: Evidence from an emerging market pp. 187-212 Downloads
A. Melih Küllü, Doug Dyer, Gokhan Yilmaz and Zenu Sharma
What is the impact of problem loans on Japanese bank productivity growth? pp. 213-240 Downloads
Emmanuel Mamatzakis, Roman Matousek and Anh Nguyet Vu
Competition and risk‐taking in investment banking pp. 241-260 Downloads
Marta Degl'Innocenti, Franco Fiordelisi, Claudia Girardone and Nemanja Radić

Volume 28, issue 1, 2019

Risk management within the cannabis industry: Building a framework for the cannabis industry pp. 3-55 Downloads
Karen A. Parker, Attilio Di Mattia, Fatima Shaik, Juan Carlos Cerón Ortega and Robert Whittle
Page updated 2025-04-04