Journal of Banking & Finance, February 2019
Green Table of Contents
Volume 99
Pages 1-274
A non-structural investigation of VIX risk neutral density
Andrea Barletta, Paolo Santucci de Magistris, Francesco Violante
Pages 1-20
Collective bargaining and mergers and acquisitions activity around the world
Muhammad Farooq Ahmad, Thomas Lambert
Pages 21-44
Jump activity analysis for affine jump-diffusion models: Evidence from the commodity market
José Da Fonseca, Katja Ignatieva
Pages 45-62
Politicians’ promotion incentives and bank risk exposure in China
Li Wang, Lukas Menkhoff, Michael Schröder, Xian Xu
Pages 63-94
Corporate pyramids, geographical distance, and investment efficiency of Chinese state-owned enterprises
Wei Opie, Gary Gang Tian, Hong Feng Zhang
Pages 95-120
Credit constraints, firm investment and employment: Evidence from survey data
Miguel García-Posada Gómez
Pages 121-141
Political influence and financial flexibility: Evidence from China
Xian Gu, Iftekhar Hasan, Yun Zhu
Pages 142-156
Ultra-fast activity and intraday market quality
Álvaro Cartea, Richard Payne, José Penalva, Mikel Tapia
Pages 157-181
Portfolio sales and signaling
Spiros Bougheas, Tim Worrall
Pages 182-191
Cash versus card: Payment discontinuities and the burden of holding coins
Heng Chen, Kim P. Huynh, Oz Shy
Pages 192-201
Risk mitigation by institutional participants in the secondary market: Evidence from foreign Rule 144A debt market
Alan G. Huang, Madhu Kalimipalli, Subhankar Nayak, Latha Ramchand
Pages 202-221
Do financial crises cleanse the banking industry? Evidence from US commercial bank exits
Laima Spokeviciute, Kevin Keasey, Francesco Vallascas
Pages 222-236
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Competition and credit procyclicality in European banking
Aurélien Leroy, Yannick Lucotte
Pages 237-251
Testing for cojumps in high-frequency financial data: An approach based on first-high-low-last prices
Yin Liao, Heather M. Anderson
Pages 252-274