Journal of Banking and Finance, Febuary
2020
Green Tables of Contents
Do M&A exits have the same effect on venture capital
reputation than IPO exits?
Salma
Ben Amor, Maher Kooli
Article
105704
Liquidity risk and expected option returns
Siu
Kai Choy, Jason Wei
Article
105700
Dissecting long-term Bund yields in the run-up to the ECB’s public
sector purchase programme
Wolfgang
Lemke, Thomas Werner
Article
105682
Economic policy uncertainty, cost of capital, and corporate
innovation
Zhaoxia
Xu
Article
105698
Finance journal rankings: Active scholar assessment revisited
Russell
R. Currie, Gurupdesh S. Pandher
Article
105717
Business-linkage volatility spillovers between US industries
Linh Xuan Diep Nguyen, Simona Mateut, Thanaset
Chevapatrakul
Article 105699
Leverage, bank employee compensation and institutions
Ata
Can Bertay, Burak R. Uras
Article
105701
What drives the market for exchange-traded notes?
David
Rakowski, Sara Shirley
Article
105702
Asset pricing with mean reversion: The case of ships
Ioannis C. Moutzouris, Nikos K. Nomikos
Article 105708
Measuring banks’ liquidity risk: An option-pricing approach
Jinqing
Zhang, Liang He, Yunbi An
Article
105703
Compulsive gambling in the financial markets: Evidence from two
investor surveys
Ruben
Cox, Atcha Kamolsareeratana, Roy Kouwenberg
Article
105709
On Becoming an O-SII (“Other Systemically Important Institution”)
Alin
Marius Andrieș, Simona Nistor, Steven Ongena, Nicu Sprincean
Article
105723
How does background risk affect portfolio choice: An analysis
based on uncertain mean-variance model with background risk
Xiaoxia
Huang, Tingting Yang
Article
105726
Pricing individual stock options using both stock and market index
information
Jeroen
V.K. Rombouts, Lars Stentoft, Francesco Violante
Article
105727
Employment protection laws and corporate cash holdings
Ahmet
Karpuz, Kirak Kim, Neslihan Ozkan
Article
105705
The life of U’s: Order revisions on NASDAQ
Olena
Nikolsko-Rzhevska, Alex Nikolsko-Rzhevskyy, Jeffrey R. Black
Article
105724
Capital structure and corporate diversification: Is debt a panacea
for the diversification discount?
Gabriel de la Fuente, Pilar Velasco
Article 105728
Moment risk premia and the cross-section of stock returns in the
European stock market
Elyas
Elyasiani, Luca Gambarelli, Silvia Muzzioli
Article
105732
Contagion in a network of heterogeneous banks
Ramazan
Gençay, Hao Pang, Michael C. Tseng, Yi Xue
Article
105725
The price of boardroom social capital: The effects of corporate
demand for external connectivity
Stephen
P. Ferris, David Javakhadze, Yun Liu
Article
105729
Finance and development: Rethinking the role of financial
transparency
Burak
R. Uras
Article
105721