Journal of Banking & Finance, September 2019

Green Table of Contents

 

Volume 106

Pages 1-592

 

A comparison of community bank failures and FDIC losses in the 1986–92 and 2007–13 banking crises

Eliana Balla, Laurel C. Mazur, Edward Simpson Prescott, John R. Walter

Pages 1-15

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To stay or go? Consumer bank switching behaviour after government interventions

Maaike Diepstraten, Carin van der Cruijsen

Pages 16-33

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Federal reserve private information and the stock market

Aeimit Lakdawala, Matthew Schaffer

Pages 34-49

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Price discrimination against retail Investors: Evidence from mini options

Yubin Li, Chen Zhao, Zhaodong Zhong

Pages 50-64

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A concave security market line

Enrico G. De Giorgi, Thierry Post, Atakan Yalçın

Pages 65-81

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Local versus non-local effects of Chinese media and post-earnings announcement drift

Jeong-Bon Kim, Liuchuang Li, Zhongbo Yu, Hao Zhang

Pages 82-92

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Explaining CDS prices with Merton’s model before and after the Lehman default

Gordon Gemmill, Miriam Marra

Pages 93-109

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Supervisory enforcement actions and bank deposits

Manthos D. Delis, Panagiotis K. Staikouras, Chris Tsoumas

Pages 110-123

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Intraday liquidity facilities, late settlement fee and coordination

Thomas Nellen

Pages 124-131

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Information asymmetry and credit rating: A quasi-natural experiment from China

Xiaolu Hu, Haozhi Huang, Zheyao Pan, Jing Shi

Pages 132-152

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A new approach to optimal capital allocation for RORAC maximization in banks

Woo-Young Kang, Sunil Poshakwale

Pages 153-165

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The impact of interest rate ceilings on households’ credit access: Evidence from a 2013 Chilean legislation

Carlos Madeira

Pages 166-179

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Regulatory competition in capital standards: a ‘race to the top’ result

Andreas Haufler, Ulf Maier

Pages 180-194

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Tone at the top: CEOs’ religious beliefs and earnings management

Ye Cai, Yongtae Kim, Siqi Li, Carrie Pan

Pages 195-213

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Experimental evidence on bank runs with uncertain deposit coverage

Oana Peia, Radu Vranceanu

Pages 214-226

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Collectivism and the costs of high leverage

Sadok El Ghoul, Omrane Guedhami, Chuck C.Y. Kwok, Ying Zheng

Pages 227-245

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Director networks and initial public offerings

Yi Feng, Keke Song, Yisong S. Tian

Pages 246-264

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Passive mutual funds and ETFs: Performance and comparison

Edwin J. Elton, Martin J. Gruber, Andre de Souza

Pages 265-275

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Put-call parity violations and return predictability: Evidence from the 2008 short sale ban

George P. Nishiotis, Leonidas S. Rompolis

Pages 276-297

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Why do small and medium enterprises (SMEs) demand property liability insurance?

Yoshihiro Asai

Pages 298-304

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The effect of government contracts on corporate valuation

Omar A. Esqueda, Thanh Ngo, Jurica Susnjara

Pages 305-322

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What drives discretion in bank lending? Some evidence and a link to private information

Gene Ambrocio, Iftekhar Hasan

Pages 323-340

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Debt restructuring through equity issues

Woojin Kim, YoungKyung Ko, Shu-Feng Wang

Pages 341-356

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National culture and individual trading behavior

Gary Tan, Chee Seng Cheong, Ralf Zurbruegg

Pages 357-370

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Recovery rates: Uncertainty certainly matters

Paolo Gambetti, Geneviève Gauthier, Frédéric Vrins

Pages 371-383

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Corporate capital structure actions

Murray Z. Frank, Tao Shen

Pages 384-402

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Drivers of solvency risk – Are microfinance institutions different?

Markus Schulte, Adalbert Winkler

Pages 403-426

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What drives interbank loans? Evidence from Canada

Narayan Bulusu, Pierre Guérin

Pages 427-444

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Does efficiency help banks survive and thrive during financial crises?

A. George Assaf, Allen N. Berger, Raluca A. Roman, Mike G. Tsionas

Pages 445-470

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Does scale matter in community bank performance? Evidence obtained by applying several new measures of performance

Joseph P. Hughes, Julapa Jagtiani, Loretta J. Mester, Choon-Geol Moon

Pages 471-499

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Decomposing global yield curve co-movement

Joseph P. Byrne, Shuo Cao, Dimitris Korobilis

Pages 500-513

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Does your neighbour know you better? The supportive role of local banks in the financial crisis

Giorgia Barboni, Carlotta Rossi

Pages 514-526

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The information content of forward moments

Panayiotis C. Andreou, Anastasios Kagkadis, Dennis Philip, Abderrahim Taamouti

Pages 527-541

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Sentiment spillover effects for US and European companies

Francesco Audrino, Anastasija Tetereva

Pages 542-567

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Characterizing the financial cycle: Evidence from a frequency domain analysis

Till Strohsal, Christian R. Proaño, Jürgen Wolters

Pages 568-591

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