Journal of Banking and Finance, September 2020
Green Tables of Contents

 

Geographic spillover of dominant firms’ shocks

     Sima Jannati

     Article 105844

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Government financial institutions and capital allocation efficiency in Japan

     Masami Imai

     Article 105854

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Modeling asset returns under time-varying semi-nonparametric distributions

     Ángel León, Trino-Manuel Ñíguez

     Article 105870

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A historical loss approach to community bank stress testing

     Cao Fang, Timothy J. Yeager

     Article 105831

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Intangible assets and capital structure

     Steve C. Lim, Antonio J. Macias, Thomas Moeller

     Article 105873

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Liquidity at risk: Joint stress testing of solvency and liquidity

     Rama Cont, Artur Kotlicki, Laura Valderrama

     Article 105871

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Bank relationship loss: The moderating effect of information opacity

     Yuqian Xu, Anthony Saunders, Binqing Xiao, Xindan Li

     Article 105872

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Foreign Lenders’ adoption of performance pricing provisions in syndicated loans

     Edward Lee, Kostas Pappas, Alice Liang Xu

     Article 105869

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Short selling threat and corporate financing decisions

     Rong Gong

     Article 105853

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Do conventional monetary policy instruments matter in unconventional times?

     Manuel Buchholz, Kirsten Schmidt, Lena Tonzer

     Article 105858

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Comparing high-dimensional conditional covariance matrices: Implications for portfolio selection

     Guilherme V. Moura, André A.P. Santos, Esther Ruiz

     Article 105882

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(Un)intended consequences? The impact of the 2017 tax cuts and jobs act on shareholder wealth

     Ivalina Kalcheva, James M. Plečnik, Hai Tran, Jason Turkiela

     Article 105860

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Where do banks value corporate social responsibility more? Evidence on the role of national culture

     Yan-Leung Cheung, Weiqiang Tan, Wenming Wang

     Article 105810

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Political event portfolios

     Michael Hanke, Sebastian Stöckl, Alex Weissensteiner

     Article 105883

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Does Information Asymmetry Impede Market Efficiency? Evidence from Analyst Coverage

     Keming Li

     Article 105856

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The Shareholder's response to a firm's first international acquisition

     Krishnan Dandapani, Ann Marie Hibbert, Edward R. Lawrence

     Article 105852

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The economic record of the government and sovereign bond and stock returns around national elections

     Stefan Eichler, Timo Plaga

     Article 105832

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Foreign ownership and market power: The special case of European banks

     Panayotis D. Alexakis, Ioannis G. Samantas

     Article 105857

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Up- and downside variance risk premia in global equity markets

     Matthias Held, Julia Kapraun, Marcel Omachel, Julian Thimme

     Article 105875

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Optimal fees in hedge funds with first-loss compensation

     M. Escobar-Anel, Y. Havrylenko, R. Zagst

     Article 105884

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Interactions between bank levies and corporate taxes: How is bank leverage affected?

     Franziska Bremus, Kirsten Schmidt, Lena Tonzer

     Article 105874

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Systematic stress tests on public data

     Thomas Breuer, Martin Summer

     Article 105886

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Easy money? Managerial power and the option backdating game revisited

     Graeme Guthrie, Tom Stannard

     Article 105887

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Risk shifting and the allocation of capital: A Rationale for macroprudential regulation

     Michael Kogler

     Article 105890

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Mortgage arrears, regulation and institutions: Cross-country evidence

     Irina Stanga, Razvan Vlahu, Jakob de Haan

     Article 105889

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Stock market listing and the persistence of bank performance across crises

     Alexandre Garel, José M. Martín-Flores, Arthur Petit-Romec

     Article 105885

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Foreign ownership in Chinese credit ratings industry: Information revelation or certification?

     Xiaolu Hu, Jing Shi, Lafang Wang, Jing Yu

     Article 105891

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Reserve balances, the federal funds market and arbitrage in the new regulatory framework

     Ayelen Banegas, Manjola Tase

     Article 105893

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Affine multivariate GARCH models

     Marcos Escobar-Anel, Javad Rastegari, Lars Stentoft

     Article 105895

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Geostatistical modeling of dependent credit spreads: Estimation of large covariance matrices and imputation of missing data

     Amelie Hüttner, Matthias Scherer, Benedikt Gräler

     Article 105897

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Do the most prominent firms really make the worst deals? How selection issues affect inferences from M&A studies

     Josh Austin, Jeremiah Harris, William O'Brien

     Article 105888

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Inside the director network: When directors trade or hold inside, interlock, and unconnected stocks

     Henk Berkman, Paul Koch, P. Joakim Westerholm

     Article 105892

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Time since targets’ initial public offerings, asymmetric information, uncertainty, and acquisition pricing

     Jan Jindra, Thomas Moeller

     Article 105896

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The Complexity of Bank Holding Companies: A Topological Approach

     Mark D. Flood, Dror Y. Kenett, Robin L. Lumsdaine, Jonathan K. Simon

     Article 105789

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