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Journal of Financial Management, Markets and Institutions (JFMMI)

2018 - 2019

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 07, issue 02, 2019

HOW DO INVESTORS PERCEIVE LONG-TERM GROWTH TARGETS AND FORECAST HORIZONS IN STRATEGIC PLANS? EVIDENCE FROM ITALIAN FIRMS pp. 1-33 Downloads
Giuseppe Di Martino
ACCURACY VERSUS COMPLEXITY TRADE-OFF IN VaR MODELING: COULD TECHNICAL ANALYSIS BE A SOLUTION? pp. 1-22 Downloads
Evangelos Vasileiou
SOLICITED VERSUS UNSOLICITED RATINGS: THE ROLE OF SELECTION pp. 1-25 Downloads
Anna Gibert
THE EFFICIENCY OF ENSEMBLE CLASSIFIERS IN PREDICTING THE JOHANNESBURG STOCK EXCHANGE ALL-SHARE INDEX DIRECTION pp. 1-18 Downloads
Thabang Mokoaleli-Mokoteli, Shaun Ramsumar and Hima Vadapalli
THE INVESTMENT CERTIFICATES IN THE ITALIAN MARKET: A COMPARISON OF QUOTED AND ESTIMATED PRICES pp. 1-18 Downloads
Brando Viganò, Sebastiano Vitali, Vittorio Moriggia and Giovanna Zanotti
EDITORIAL NOTE pp. 1-3 Downloads
Santiago Carbo-Valverde

Volume 07, issue 01, 2019

CORPORATE GOVERNANCE IN THE EUROPEAN BANKING SECTOR: SOME REMARKS ON DIVERSITY pp. 1-10 Downloads
Francesca Arnaboldi
HOW DO YOU DISCLOSE? SOME EVIDENCE ON IT GOVERNANCE AND PERFORMANCE IN EUROPEAN BANKING SYSTEM pp. 1-36 Downloads
Ida Claudia Panetta, Sabrina Leo, Fabrizio Santoboni and Gianfranco Vento
EDITORIAL NOTE pp. 1-3 Downloads
Santiago Carbo-Valverde, Francesca Arnaboldi, Vincenzo Capizzi, Stefano Dell'Atti and Pasquale di Biase
FINANCIAL INTERMEDIARIES’ ASSET–LIABILITY DEPENDENCY AND LOW-INTEREST-RATE ENVIRONMENT: EVIDENCE FROM EU LIFE INSURERS pp. 1-25 Downloads
Domenico Curcio, Nicola Borri, Rosaria Cerrone and Rosa Cocozza
THE PECULIARITY OF THE COOPERATIVE AND MUTUAL MODEL: EVIDENCE FROM THE EUROPEAN BANKING SECTOR pp. 1-29 Downloads
Vincenzo Pacelli, Francesca Pampurini and Stefania Sylos Labini
SUSTAINABLE COMPENSATION AND PERFORMANCE: AN EMPIRICAL ANALYSIS OF EUROPEAN BANKS pp. 1-30 Downloads
Elisabetta D’apolito, Antonia P. Iannuzzi, Stefania Sylos Labini and Edgardo Sica

Volume 06, issue 02, 2018

AN EQUILIBRIUM MODEL FOR AN OTC DERIVATIVE MARKET UNDER A COUNTERPARTY RISK CONSTRAINT pp. 1-26 Downloads
Kazuhiro Takino
DIVERSITY MEASURES AND QUALITY OF BANKS’ BOARDS: THE ITALIAN CASE pp. 1-28 Downloads
Rossella Locatelli, Cristiana Schena, Alessandra Tanda and Andrea Uselli
VOLATILITY MEASURES, LIQUIDITY AND CREDIT LOSS PROVISIONS DURING PERIODS OF FINANCIAL DISTRESS pp. 1-20 Downloads
Giulio Anselmi
THE RELATIONSHIP BETWEEN STOCK RETURN SKEWNESS AND BANK FEATURES pp. 1-17 Downloads
Silvia Bressan and Alex Weissensteiner
EDITORIAL NOTE pp. 1-3 Downloads
Santiago Carbo-Valverde
LIQUIDITY AS AN ASSET PRICING FACTOR IN THE UK pp. 1-24 Downloads
Panagiotis Artikis

Volume 06, issue 01, 2018

DO BANKS GAME ON DYNAMIC PROVISIONING? pp. 1-22 Downloads
Santiago Carbo-Valverde and Francisco Rodriguez-Fernandez
HEDGE FUNDS: RISK AND PERFORMANCE pp. 1-43 Downloads
Sangheon Shin, Jan Smolarski and Gökçe Soydemir
DOES POST-IPO M&A ACTIVITY AFFECT FIRMS’ PROFITABILITY AND SURVIVAL? pp. 1-21 Downloads
Matteo Bonaventura, Stefano Bonini, Vincenzo Capizzi and Giancarlo Giudici
LEVERAGE, COST OF CAPITAL AND BANK VALUATION pp. 1-24 Downloads
Federico Beltrame, Stefano Caselli and Daniele Previtali
REWARD CULTURE AND BANKS’ PERFORMANCE DURING THE 2008 FINANCIAL CRISIS pp. 1-25 Downloads
Hazel Thu-Hien Nguyen
EDITORIAL pp. 1-3 Downloads
Santiago Carbo-Valverde
Page updated 2020-02-26