NFI Working Papers
From Indiana State University, Scott College of Business, Networks Financial Institute
Contact information at EDIRC.
Bibliographic data for series maintained by Ray Thomas ().
Access Statistics for this working paper series.
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- 2019-WP-03: Trends in Financial Innovation: Evidence from Fintech Firms

- Omer Unsal and Blake Rayfield
- 2019-WP-02: Institutional Monitoring and Litigation Risk: Evidence from Employee Disputes

- Blake Rayfield and Omer Unsal
- 2019-WP-01: Employee Disputes and Innovation Performance: Evidence from Pharmaceutical Industry

- Blake Rayfield and Omer Unsal
- 2018-WP-04: Activity Strategies, Information Asymmetry, and Bank Opacity

- Dung Tran, M. Kabir Hassan and Reza Houston
- 2018-WP-03: Ownership Structure and Bank Risk: The Effects of Crisis, Market Discipline and Regulatory Pressure

- Dung Tran, M. Kabir Hassan and Reza Houston
- 2018-WP-02: The Effect of Implicit Market Barriers on Stock Trading and Liquidity

- Asem Alhomaidi, M. Kabir Hassan and William J. Hippler
- 2018-WP-01: Discretionary Loan-Loss Provision Behavior in the US Banking Industry

- Dung Tran, M. Kabir Hassan and Reza Houston
- 2017-WP-04: Determinants of Bank Capital in Dual Banking Systems

- Mohammad Bitar, M. Kabir Hassan and William J. Hippler
- 2017-WP-03: Lobbying in Finance Industry: Evidence from US Banking System

- Omer Unsal, M. Kabir Hassan and William J. Hippler
- 2017-WP-02: The Value of Active Investment Strategies

- Tarek Zaher
- 2017-WP-01: Do Mergers and Acquisitions Affect Information Asymmetry in the Banking Sector?

- John S. Howe and Thibaut G. Morillon
- 2016-WP-03: It’s a Sweetheart of a Deal: Political Connections and Corporate- Federal Contracting

- Stephen P. Ferris, Reza Houston and David Javakhadze
- 2016-WP-01: Friends in the Right Places: The Effect of Political Connections on Corporate Merger Activity

- Stephen P. Ferris, Reza Houston and David Javakhadze
- 2014-WP-01: Partial Adjustment Toward Equilibrium Mutual Fund Allocations: Evidence from U.S.-based Equity Mutual Funds

- M. Kabir Hassan and William J. Hippler III
- 2013-WP-02: Globalization and Inflation: A Swiss Perspective

- John Tatom
- 2013-WP-01: The Pronounced Impact of Macroeconomic Stress on the Financial Sector: Implications for Real Sector Growth

- M. Kabir Hassan and William J. Hippler III
- 2012-WP-06: Credit Card Debt and Payment Use

- Charles Sprenger and Joanna Stavins
- 2012-WP-05: Is Technology-Enhanced Credit Counseling as Effective as In-Person Delivery?

- John Barron and Michael E. Staten
- 2012-WP-04: Promoting Wealth Building through Homeownership

- Kelly Edmiston and Kenneth Spong
- 2012-WP-03: Financial Literacy and Retirement Savings in Germany

- Ivonne Honekamp
- 2012-WP-02: Still Holding Out Promise: A Review of Financial Literacy Education and Financial Counseling Studies

- J. Michael Collins and Collin O’Rourke
- 2012-WP-01: The Reluctant Retirement Trader: Do Asset Returns Overcome Inertia?

- Julie Agnew and Pierluigi Balduzzi
- 2011-WP-28: United States Microfinance: Regulating to Promote Growth?

- Aruna Chandra and Thankom Arun
- 2011-WP-27: Predicting Failure in the Commercial Banking Industry

- John Tatom and Reza Houston
- 2011-WP-26: Inflation and Asset Prices

- John Tatom
- 2011-WP-25: The Impact of Concurrent Capital and Liquidity Requirements

- Lakshmi Balasubramanyan
- 2011-WP-24: Assessing Finance Literacy Teaching at Indiana State University

- Eurico J. Ferreira, Concetta A. DePaolo and Harry Edward Gallatin
- 2011-WP-23: Risk Weights in Regulatory Capital Standards: Is It Necessary to 'Get It Right'?

- Kevin T. Jacques and Lakshmi Balasubramanyan
- 2011-WP-22: Does It Pay to Invest in Debt Free Firms During Recessions?

- Tarek Zaher
- 2011-WP-21b: U.S. Monetary Policy in Disarray

- John Tatom
- 2011-WP-20: The Regulatory Effect of Risk-Based Capital in Property-Liability Insurance

- Jiang Cheng and Mary Weiss
- 2011-WP-19: Underwriting in Property-Casualty Insurance Markets: Regulation, Risk and Volatility

- Ronnie Phillips and David Nickerson
- 2011-WP-18: Consumer Debt Delinquency over Life Cycle Stages

- Jing Jian Xiao and Rui Yao
- 2011-WP-17: The Role of RBC, Hurricane Exposure, Bond Portfolio Duration, and Macroeconomic and Industry-wide Factors in Property-Liability Insolvency Prediction

- Jiang Cheng and Mary Weiss
- 2011-WP-16: The Relative Performance of Debt-restricted Real Estate Investment Trusts (REITs): Does Faith Matter?

- M. Kabir Hassan, Yasser Alhenawi and Hesham Merdad
- 2011-WP-15: The Effects of Perceived and Actual Financial Knowledge on Credit Card Behavior

- Sam Allgood and William B. Walstad
- 2011-WP-14: Institutional Ownership Stability and Risk Taking: Evidence from the Life-Health Insurance Industry

- Jiang Cheng, Elyas Elyasiani and Jingyi (Jane) Jia
- 2011-WP-13: Systemic Risk-Taking: Amplification Effects, Externalities, and Regulatory Responses

- Anton Korinek
- 2011-WP-12: Does Mandatory Loan Review Affect Mortgage Contract Choice and Performance?

- Itzhak Ben-David, Sumit Agarwal, Gene Amromin, Souphala Chomsisengphet and Douglas Evanoff
- 2011-WP-11: Bank Organization, Market Structure and Risk Taking: Theory and Evidence from U.S. Commercial Banks

- Martin Goetz
- 2011-WP-10B: Home Sweet Home: Financial Development and Homeownership

- Ishani Tewari
- 2011-WP-09: Predicting Fraud by Investment Managers

- William Gerken and Stephen Dimmock
- 2011-WP-08B: Home Equity in Retirement

- Irina Telyukova and Makoto Nakajima
- 2011-WP-07: The Impact of Portfolio Disclosure on Hedge Fund Performance, Fees and Flows

- Zhen Shi
- 2011-WP-06: Aging and Strategic Learning: The Impact of Spousal Incentives on Financial Literacy

- Joanne Hsu
- 2011-WP-05: Faith-Based Ethical Investing: The Case of Dow Jones Islamic Indexes

- M. Kabir Hassan and Eric Girard
- 2011-WP-04: Debt Holding and Burden by Family Structure in 1989-2007

- Jing Jian Xiao and Rui Yao
- 2011-WP-03: Credit Default Swaps and Sovereign Debt Markets

- M. Kabir Hassan, Geoffrey M. Ngene and Jung Suk-Yu
- 2011-WP-02: Regulatory Restraints on Performance-Based Managerial Compensation, Bank Monitoring, and Aggregate Loan Quality

- David VanHoose
- 2011-WP-01: Determinants of Credit Default Swaps in International Markets

- M. Kabir Hassan, Thiti S. Ngow and Jung Suk-Yu