Financial History Review
1994 - 2024
From Cambridge University Press Cambridge University Press, UPH, Shaftesbury Road, Cambridge CB2 8BS UK. Bibliographic data for series maintained by Kirk Stebbing (csjnls@cambridge.org). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 31, issue 1, 2024
- Investor reactions to legislative liberalization and the run-up in British share prices, 1844 to 1845 pp. 1-35

- Vaska Atta-Darkua, Robert F. Bruner and Scott C. Miller
- Media tone and trading activity on the Sydney Stock Exchange 1901–1950 pp. 36-66

- Grant Fleming, Liu, Zhangxin (Frank), David Merrett and Simon Ville
- Mutual marine insurance during the Industrial Revolution era pp. 67-93

- Peter M. Solar
- Central bank digital currencies: an old tale with a new chapter pp. 94-122

- Michael D. Bordo and William Roberds
Volume 30, issue 3, 2023
- 1930: first modern crisis pp. 277-307

- Gary Gorton, Toomas Laarits and Tyler Muir
- Public debt as private liquidity: the Poincaré experience (1926–1929) pp. 308-329

- Aurélien Espic
- Credit networks and business dynamics in a viceregal capital: Santafé de Bogotá in the age of Charles III pp. 330-354

- Oscar M. Granados and James V. Torres
- Liquidating government debt and creating a secondary asset market: trading patterns, market behavior and prices on government liabilities in Sweden, c. 1719–1765 pp. 355-379

- Peter Ericsson and Patrik Winton
Volume 30, issue 2, 2023
- Financing industrial corporations in a developing economy: panel evidence from Imperial Russia pp. 125-161

- Amanda Gregg and Steven Nafziger
- Adam Smith's reversionary annuity: money's worth, default options and auto-enrollment pp. 162-197

- Moshe Milevsky
- The meandering trajectories of financial innovations: commercial paper and its uses in sixteenth-century Lyon's trading networks pp. 198-230

- Nadia Matringe
- Political violence and financial markets in Tsarist Russia pp. 231-275

- Christopher Hartwell
Volume 30, issue 1, 2023
- The consolidation of public banking in Spain: from the 1970s crisis to the 2008 crisis pp. 1-28

- Yolanda Blasco-Martel, Joaquim Cuevas and Maria Carme Riera-Prunera
- Monthly credit from and deposits in Swedish commercial banks, 1875-2020 pp. 29-50

- Lars Ahnland
- Central banks’ interventions in exchange rate markets during the international gold standard: Italy 1880–1913 pp. 51-73

- Paolo Di Martino
- Pre-welfare state provision and adverse selection: enrolment in a Swedish nationwide health insurance society pp. 74-99

- Lars Fredrik Andersson, Liselotte Eriksson and Josef Lilljegren
- ‘Propitious contrast’: Romanian borrowing in a Balkan mirror, 1878–1913 pp. 100-123

- Andreea-Alexandra Maerean, Maja Pedersen and Paul Sharp
Volume 29, issue 3, 2022
- Stock exchange price currents, financial information and market transparency: an introduction pp. 271-286

- Joost Jonker and Angelo Riva
- Prices: sources, problems, solutions pp. 287-309

- Peter M. Solar
- De-coding the image of the firm: secret reserves and internal financing in the German chemical industry, c. 1890–1916 pp. 310-325

- Frederic Steinfeld
- Helsinki Stock Exchange: trading and listed securities, 1912–1981 pp. 326-341

- Mika Vaihekoski
- Stock exchange regulation and the official price lists of the stock exchanges of Brussels and Antwerp, 1801–1935 pp. 342-357

- Johan Poukens and Frans Buelens
- Market access and transparency: the Genoa and Milan stock exchanges from Italian Unification to World War I pp. 358-375

- Angelo Riva
- From free-for-all to self-governing monopoly: market organization and price information at the Amsterdam Stock Exchange, 1796–1940 pp. 376-391

- Abe de Jong, Joost Jonker and Johan Poukens
Volume 29, issue 2, 2022
- Going Dutch: monetary policy in the Netherlands during the interwar gold standard, 1925–1936 pp. 121-151

- Philip T. Fliers and Christopher Colvin
- The limits of control: corporate ownership and control of German joint-stock firms, 1869–1945 pp. 152-197

- Sibylle Lehmann-Hasemeyer and Andreas Neumayer
- Health and safety regulations and stock returns: evidence from the 1974 Swedish legislative lottery pp. 198-218

- Linus Siming
- Securities trading in an emerging market: Indonesia, 1890s–1940s pp. 219-246

- Pierre van der Eng
- Banking crises, banking mortality and the structuring of the banking market in Switzerland, 1850–2000 pp. 247-270

- Thibaud Giddey and Malik Mazbouri
Volume 29, issue 1, 2022
- Financing Japan's Greater East Asia Co-Prosperity Sphere in Thailand pp. 1-28

- Panarat Anamwathana and Gregg Huff
- A complicated puzzle: spinsters, widows and credit in Sweden (1790–1910) pp. 29-51

- Matteo Pompermaier
- Gold rush: the political economy of the Yugoslavian gold exchange standard pp. 52-71

- Aleksandar Radan Jevtic
- The 1783 proposal for a readymade note at the Bank of England pp. 72-97

- David M. Batt
- The Bank of England's profits across 300 years: wars, financial crises and distribution pp. 98-119

- Mike Anson and Forrest Capie
Volume 28, issue 3, 2021
- The road to the 1980s write-downs of sovereign debt pp. 281-299

- Edwin Truman
- Pandemic recession and helicopter money: Venice, 1629–1631 pp. 300-318

- Donato Masciandaro, Charles Goodhart and Stefano Ugolini
- The role of pawnshops in risk coping in early twentieth-century Japan pp. 319-343

- Tatsuki Inoue
- Resource endowments and the problem of small change: insights from two American mints, 1600–1700 pp. 344-363

- Jane E. Knodell and Catalina M. Vizcarra
- Silver coins, wooden tallies and parchment rolls in Henry III's Exchequer pp. 364-382

- Richard Cassidy
Volume 28, issue 2, 2021
- The historical dynamics of US financial exchanges pp. 153-174

- Bjørn Jørgensen, Kenneth A. Kavajecz and Scott N. Swisher
- International banking and financial fragility: the role of regulation in Brazil and Mexico, 1967–1982 pp. 175-204

- Sebastian Alvarez
- Friends or foes? Brazil, the IMF and the World Bank, 1961–1967 pp. 205-236

- Carlo Edoardo Altamura and Claudia Kedar
- Effects of credit restrictions in the Netherlands on credit growth and inflation pp. 237-258

- Gabriele Galati, Jan Kakes and Richhild Moessner
- The French bonds: the little-known bidding war for France's holdings in American debt, 1786–1790 pp. 259-280

- Peter Theodore Veru
Volume 28, issue 1, 2021
- Keynes's trading on Wall Street: did he follow the same behaviour when investing for himself and for King's? pp. 1-25

- Eleonora Sanfilippo
- Performance and development of a thin stock market: the Stockholm Stock Exchange 1912–2017 pp. 26-44

- Kristian Rydqvist and Rong Guo
- A reappraisal of Joseph Brennan and the achievements of Irish banking and currency policy 1922–1943 pp. 45-66

- Eoin Drea and Frank Barry
- A perfect symbiosis: Curaçao, the Netherlands and financial offshore services, 1951–2013 pp. 67-95

- Tijn van Beurden and Joost Jonker
- Origins of arbitrage pp. 96-123

- Geoffrey Poitras
- The foreign exchange market in Barcelona at the beginning of the fifteenth century pp. 124-151

- Angela Orlandi and Giacomo Toscano
| |