Journal of Financial Management, Markets and Institutions (JFMMI)
2018 - 2025
Current editor(s): Santiago Carbo-Valverde
From World Scientific Publishing Co. Pte. Ltd.
Bibliographic data for series maintained by Tai Tone Lim ().
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Volume 13, issue 01, 2025
- RELEVANT TOPICS IN THE FINANCIAL WELL-BEING LITERATURE pp. 1-23

- Monica Rosciano and Maria Grazia Starita
- BEYOND TRADITIONAL METRICS: ESG AND FINANCIAL PERFORMANCE IN INNOVATION-DRIVEN SECTORS pp. 1-23

- Annalisa Ferrari, Federico Cini and Rosella Castellano
- ENHANCING CUSTOMERS’ ESG INVESTMENTS: KEY FACTORS SHAPING FINANCIAL ADVISORS’ RECOMMENDATIONS pp. 1-34

- Paola Bongini, Doriana Cucinelli and Monica Rossolini
- EDITORIAL NOTE — ISSUE 1/2025 pp. 1-3

- Vincenzo Capizzi
- THE IMPACT OF GENDER DIVERSITY ON M&A PROCESS RESULTS pp. 1-28

- Erica Andreassi, Gimede Gigante and Emiliano Sironi
- DOES CORRUPTION-RELATED DISCLOSURE TRIGGER MARKET DISCIPLINE? EVIDENCE FROM THE BANKING SECTOR OF THE GIPSI COUNTRIES pp. 1-41

- Pablo de Andrã‰s, Salvatore Polizzi, Enzo Scannella and Nuria Suã Rez
Volume 12, issue 02, 2024
- MONEY ATTITUDES, BUDGETING AND HABITS pp. 1-18

- Adrian Furnham and FENTON-O’CREEVY Mark
- A TURNING POINT FOR BANKING: UNRAVELING THE CHANGING LANDSCAPE OF BANKING ACTIVITY IN EUROPE SINCE THE COVID-19 PANDEMIC pp. 1-38

- Andrea Bellucci and Gianluca Gucciardi
- EDITORIAL NOTE — ISSUE 2/2024 pp. 1-3

- Vincenzo Capizzi
- RISK-BASED CONTRIBUTION IN DEPOSIT GUARANTEE SCHEMES: A ROBUST PRINCIPAL COMPONENT ANALYSIS IN KEY RISK FACTORS’ WEIGHTING STEP pp. 1-34

- Saverio Giorgio, Pina Murãˆ, Cosimo Paccione and Lucilla Bittucci
- ON THE RELATIONSHIP BETWEEN FINANCIAL AND SUSTAINABLE VARIABLES: INSIGHTS FROM GRAPHICAL GAUSSIAN MODEL pp. 1-25

- Carmine Da Fermo, Paola Musile Tanzi, Marco Nicolosi and Elena Stanghellini
- PUBLIC CREDIT GUARANTEES AND BANKING SYSTEM: THE ITALIAN CASE DURING COVID-19 EMERGENCY pp. 1-25

- Alberto Banfi, Alberto Marchesi and Francesca Pampurini
Volume 12, issue 01, 2024
- EDITORIAL NOTE — ISSUE 1/2024 pp. 1-4

- Vincenzo Capizzi
- THE EFFECT OF MERGERS AND ACQUISITIONS ON BANK RISK-TAKING pp. 1-29

- Lu Wang
- THE IMPACT OF SFAS166/167 ON BANK LIQUIDITY AND LENDING pp. 1-29

- Qiuhong Zhao and Dana A. Forgione
- DOES BREXIT MATTER FOR FIRMS’ INNOVATION? pp. 1-17

- Flavio Pichler and Stefano Piserã€
- THE EFFICIENCY OF THE NETWORK ORGANIZATIONAL STRUCTURE OF COOPERATIVE BANKS pp. 1-26

- Andrea Viola
- FINANCIAL INNOVATION: THE IMPACT OF BLOCKCHAIN TECHNOLOGIES ON FINANCIAL INTERMEDIARIES pp. 1-21

- Nicola Del Sarto, Lorenzo Gai and Federica Ielasi
Volume 11, issue 02, 2023
- IN MEMORY OF — ANTONIO DELL’ATTI: THE MAN, THE ACADEMIC, THE PROFESSIONAL pp. 1-2

- Vincenzo Capizzi, Stefano Dell’Atti and Pasquale di Biase
- SUSTAINABILITY REPORTING: EVIDENCE FROM GLOBAL SYSTEMICALLY IMPORTANT BANKS (G-SIBs) pp. 1-21

- Graziana Galeone, Simona Ranaldo, Matilda Shini and Grazia Dicuonzo
- EDITORIAL NOTE — CLIMATE RISK AND SUSTAINABILITY: EMERGING IMPACTS AND FUTURE PERSPECTIVES FOR FINANCIAL INTERMEDIARIES pp. 1-12

- Vincenzo Capizzi, Stefano Dell’Atti and Pasquale di Biase
- RISK MAPPING AS A FORM OF BANKING IMMUNITY RESPONSE TO COVID-19 PANDEMIC pp. 1-22

- Stefania Sylos Labini and Iryna Nyenno
- ANALYZING BANKS’ PERFORMANCE DURING THE RECENT BREAKDOWNS. WHAT WERE THE MAIN DRIVERS? pp. 1-16

- Vincenzo Pacelli, Francesca Pampurini and Anna Grazia Quaranta
- GREEN FINANCE: PAST, PRESENT AND FUTURE STUDIES pp. 1-19

- Matteo Palmaccio, Graziana Galeone, Matilda Shini and Francesco Campobasso
- HOW MUCH IMPACT DO BANKS AND INSURANCE COMPANIES HAVE ON THE ENVIRONMENT? EVIDENCE FROM ITALY pp. 1-27

- D’APOLITO Elisabetta, Pasquale Di Biase and Stefania Sylos Labini
Volume 11, issue 01, 2023
- THE IMPACT OF EU TAXONOMY ON CORPORATE INVESTMENTS pp. 1-32

- Caterina Lucarelli, Camilla Mazzoli, Michela Rancan and Sabrina Severini
- EDITORIAL NOTE — ISSUE 1/2023 pp. 1-3

- Vincenzo Capizzi
- CHANGES IN RESEARCH AND DEVELOPMENT DURING FINANCIAL DISTRESS: EMPIRICAL EVIDENCE FROM THE 2007–2008 FINANCIAL CRISIS pp. 1-15

- Jitka Hilliard and Haoran Zhang
- ABSOLUTE OR RELATIVE: THE DARK SIDE OF FUND RATING SYSTEMS pp. 1-30

- Emanuele Maria Carluccio, Paolo Antonio Cucurachi and Ugo Pomante
- HOW CORPORATE PENSIONS AFFECT STOCK RETURNS: THE ROLE OF R&D EXPENDITURES pp. 1-30

- M. Kabir Hassan, M. Sydul Karim, Alberto Dreassi and Andrea Paltrinieri
- BIBLIOMETRIC ANALYSIS ON BIG DATA APPLICATIONS IN INSURANCE SECTOR: PAST, PRESENT, AND FUTURE RESEARCH DIRECTIONS pp. 1-43

- Sunita Mall, Tushar Ranjan Panigrahi and Sushma Verma
Volume 10, issue 02, 2022
- DISTRIBUTION CHANNELS AND FINANCIAL ADVERTISING IN THE ITALIAN ASSET MANAGEMENT MARKET pp. 1-22

- Riccardo Ferretti, Emanuela Giacomini and Francesca Pancotto
- PUBLICATION TRENDS AND JOURNAL RANKING: INSIGHTS FROM THE ITALIAN BANKING AND FINANCE RESEARCH COMMUNITY pp. 1-22

- Gabriele Sampagnaro
- EDITORIAL NOTE — ISSUE 2/2022 pp. 1-3

- Vincenzo Capizzi
- ACADEMICS IN THE BOARDROOM: THE EFFECT OF A GENDER QUOTA REGULATION pp. 1-14

- Paola de Vincentiis and Noemi Oggero
- DO FIELD PARTNERS ADD VALUE TO CROWDFUNDED MICROFINANCE? AN INDUSTRY APPROACH pp. 1-26

- Roberto Moro-Visconti, Salvador Cruz Rambaud and Joaquã N Lã“pez Pascual
- PERSONAL FINANCIAL MANAGEMENT BEHAVIOR USING DIGITAL PLATFORMS AND ITS DOMAINS pp. 1-26

- Neetu Chhillar and Swaranjeet Arora
Volume 10, issue 01, 2022
- SUBJECTIVE VALUATION AND TARGET PRICE ACCURACY pp. 1-31

- Stefano Bonini, Vincenzo Capizzi and Alexander Kerl
- CULTURE AND THE PERFORMANCE OF MICROFINANCE INSTITUTIONS pp. 1-30

- Tony Anyangwe, Annabel Vanroose and Ashenafi Fanta
- EDITORIAL NOTE — ISSUE 1/2022 pp. 1-3

- Vincenzo Capizzi
- CAN HIGH-TECH INVESTMENTS IMPROVE BANKING EFFICIENCY? pp. 1-19

- Giuliana Borello, Francesca Pampurini and Anna Grazia Quaranta
- CIRCULAR ECONOMY AND DEFAULT RISK pp. 1-24

- Claudio Zara and Shyaam Ramkumar
- THE IMPACT OF RESERVES PRACTICES ON BANK OPACITY pp. 1-26

- Giuliano Iannotta and Simon Kwan
Volume 09, issue 02, 2021
- EXPLORING THE IMPACT OF ICT DIFFUSION IN THE EUROPEAN BANKING INDUSTRY: EVIDENCE IN THE PRE- AND POST-COVID-19 pp. 1-17

- Antonella Francesca Cicchiello, Matteo Cotugno, Stefano Monferr〠and Salvatore Perdichizzi
- DOES CORRUPTION SAND THE WHEELS OF FINANCIAL SECTOR DEVELOPMENT? EVIDENCE FROM GLOBAL PANEL DATA pp. 1-32

- Chandan Sharma
- MACROPRUDENTIAL SUPERVISION AND AGENTS’ INFORMATION: WHAT STRESS TESTS REALLY TELL THE MARKETS pp. 1-32

- Fausto Pacicco, Luigi Vena and Andrea Venegoni
- THE STRATEGIC ROLE OF PRIVATE EQUITY IN THE INTERNATIONALIZATION OF ITALIAN SMEs pp. 1-20

- Andrea Odille Bosio, Anna Gervasoni and Francesco Bollazzi
- EDITORIAL NOTE pp. 1-3

- Santiago Carbo-Valverde
- THE DIVERGENCE OF ESG RATINGS: AN ANALYSIS OF ITALIAN LISTED COMPANIES pp. 1-21

- Vincenzo Capizzi, Eleonora Gioia, Giancarlo Giudici and Francesca Tenca
Volume 09, issue 01, 2021
- IMPLICATIONS OF LOW INTEREST RATES ON BANK PROFITABILITY AND RISK-TAKING pp. 1-27

- Manuela Ender and Corinna Neuhofer
- THE VALUE OF PERSONAL CREDIT HISTORY IN RISK SCREENING OF ENTREPRENEURS: EVIDENCE FROM MARKETPLACE LENDING pp. 1-25

- Galina Andreeva and Edward Altman
- EDITORIAL NOTE pp. 1-2

- Santiago Carbo-Valverde
- THE PERSONALITY AND MOTIVATION OF “QUANTS”: THE MATH GENIUSES OF WALL STREET pp. 1-12

- Adrian Furnham and Sylvia Impellizzeri
- THE ASSOCIATION OF SFAS 166/167 AND COST OF EQUITY CAPITAL: EVIDENCE FROM BANKS pp. 1-32

- Qiuhong Zhao and Dana A. Forgione
- CREDIT QUALITY AND SUBSTITUTION IN SME FINANCE pp. 1-26

- Lars Norden, Stefan van Kampen and Manuel Illueca