Journal of Banking and Finance, April
2020 
Green Tables of Contents
Political uncertainty, market anomalies and Presidential
honeymoons
     Kam
Fong Chan, Philip Gray, Stephen Gray, Angel Zhong
     Article
105749
Capital flows in the euro area and TARGET2 balances
     Nikolay
Hristov, Oliver Hülsewig, Timo Wollmershäuser
     Article
105734
Public knowledge about and attitudes towards central bank
independence in New Zealand
     Bernd
Hayo, Florian Neumeier
     Article
105737
I am a blockchain too: How does the market respond to companies’
interest in blockchain?
     Daniel
Cahill, Dirk G. Baur, Zhangxin (Frank) Liu, Joey W. Yang
     Article
105740
Voting methods for director election, monitoring costs, and
institutional ownership
     Kee
H. Chung, Choonsik Lee
     Article
105738
Back to the future: Backtesting systemic risk measures during
historical bank runs and the great depression
     Christian
Brownlees, Ben Chabot, Eric Ghysels, Christopher Kurz
     Article
105736
Number of brothers, risk sharing, and stock market participation
     Geng
Niu, Qi Wang, Han Li, Yang Zhou
     Article
105757
Currency matching by non-financial corporations
     Péter
Harasztosi, Gábor Kátay
     Article
105739
Ultimate ownership, crash risk, and split share structure reform
in China
     Quanxi Liang, Donghui Li, Wenlian Gao
     Article 105751
Corporate relationship spending and stock price crash risk:
Evidence from China's anti-corruption campaign
     Juncheng
Hu, Xiaorong Li, Keith Duncan, Jia Xu
     Article
105758
Governance, board inattention, and the appointment of
overconfident CEOs
     Suman
Banerjee, Lili Dai, Mark Humphery-Jenner, Vikram Nanda
     Article
105733
Does competition enhance the double-bottom-line performance of
microfinance institutions?
     Shahadat
Hossain, Jeremy Galbreath, Mostafa Monzur Hasan, Trond Randøy
     Article
105765
Debiased expert forecasts in continuous-time asset allocation
     Mark Davis, Sébastien Lleo
     Article 105759
Know thy neighbor: Political uncertainty and the informational
advantage of local institutional investors
     Tom
Aabo, Suin Lee, Christos Pantzalis, Jung Chul Park
     Article
105762
Directors who serve multiple pension funds: Are they conflicted or
skilled?
     Elizabeth
Ooi
     Article
105764
Does mortgage lending impact business credit? Evidence from a new
disaggregated bank credit data set
     Dirk
Bezemer, Anna Samarina, Lu Zhang
     Article
105760
Monetary policy announcements and market interest rates’ response:
Evidence from China
     Rongrong
Sun
     Article
105766
Procyclical leverage: Evidence from banks’ lending and financing
decisions
     H. Özlem Dursun-de Neef, Alexander
Schandlbauer
     Article 105756
Equity market integration and portfolio rebalancing
     Kyungkeun
Kim, Dongwon Lee
     Article
105775
Impacts of interest rate caps on the payday loan market: Evidence
from Rhode Island
     Amir
Fekrazad
     Article
105750
How does bank ownership affect firm investment? Evidence from
China
     Hongjian
Wang, Tianpei Luo, Gary Gang Tian, Huanmin Yan
     Article
105741
Market in Financial Instruments Directive (MiFID), stock price
informativeness and liquidity
     Daniel
Aghanya, Vineet Agarwal, Sunil Poshakwale
     Article
105730
Why do private firms hold less cash than public firms?
International evidence on cash holdings and borrowing costs
     Sandra Mortal, Vikram Nanda, Natalia Reisel
     Article 105722
Curve momentum
     Raphael
Paschke, Marcel Prokopczuk, Chardin Wese Simen
     Article
105718
Analyzing and Modelling Spillovers - Editorial to the Journal of
Banking and Finance Special Section on Financial Globalization and Its
Spillovers
     Harald
Sander, Joscha Beckmann, Stefanie Kleimeier
     Article
105781
Aftershocks of monetary unification: Hysteresis with a financial
twist
     Tamim
Bayoumi, Barry Eichengreen
     Article
105365
Cross-border transmission of emergency liquidity
     Thomas
Kick, Michael Koetter, Manuela Storz
     Article
105300
International effects of a compression of euro area yield curves
     Martin
Feldkircher, Thomas Gruber, Florian Huber
     Article
105533
How connected is the global sovereign credit risk network?
     Gorkem
Bostanci, Kamil Yilmaz
     Article
105761
The distributional effects of conventional monetary policy and
quantitative easing: Evidence from an estimated DSGE model
     Stefan Hohberger, Romanos Priftis, Lukas
Vogel
     Article 105483