Journal of Banking & Finance, October 2019

Green Table of Contents

 

Volume 107

Founding family ownership, stock market returns, and agency problems

Nicolas Eugster, DuĊĦan Isakov

Link to preprint

 

Did connected hedge funds benefit from bank bailouts during the financial crisis?

Robert W. Faff, Jerry T. Parwada, Eric K.M. Tan

Link to preprint

 

The decline in idiosyncratic values of US Treasury securities

Miles Livingston, Yanbin Wu, Lei Zhou

Link to preprint

 

Financial sector debt bias

Oana Luca, Alexander F. Tieman

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Belief heterogeneity in the option markets and the cross-section of stock returns

Paul Borochin, Yanhui Zhao

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IPO pricing deregulation and corporate governance: Theory and evidence from Chinese public firms

Ping He, Lin Ma, Kun Wang, Xing Xiao

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Women on boards and bank earnings management: From zero to hero

Yaoyao Fan, Yuxiang Jiang, Xuezhi Zhang, Yue Zhou

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An equilibrium model of risk management spillover

Shiyang Huang, Ying Jiang, Zhigang Qiu, Zhiqiang Ye

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Competition and risk taking in banking: The charter value hypothesis revisited

Stefan Arping

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Determinants of intraday dynamics and collateral selection in centrally cleared and bilateral repos

Alfonso Dufour, Miriam Marra, Ivan Sangiorgi

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Activist investors and open market share repurchases

Don M. Autore, Nicholas Clarke, Baixiao Liu

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Incentives and culture in risk compliance

Elizabeth Sheedy, Le Zhang, Kenny Chi Ho Tam

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Financial market development and firm investment in tax avoidance: Evidence from credit default swap market

Hyun A. Hong, Gerald J. Lobo, Ji Woo Ryou

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Bank margins and profits in a world of negative rates

Philip Molyneux, Alessio Reghezza, Ru Xie

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Elite law firms in the IPO market

Pablo Moran, J. Ari Pandes

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Maturity mismatch and incentives: Evidence from bank issued wealth management products in China

Ronghua Luo, Hongyan Fang, Jinjin Liu, Senyang Zhao

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