Journal of Banking and Finance, March
2020
Green Tables of Contents
Challenges to global financial stability: Interconnections, credit
risk, business cycle and the role of market participants
Meryem
Duygun, Daniel Ladley, Mohamed Shaban
Article
105735
The interconnected nature of financial systems: Direct and common
exposures
P. Giudici, P. Sarlin, A. Spelta
Article 105149
Analysis of banks’ systemic risk contribution and contagion
determinants through the leave-one-out approach
Stefano
Zedda, Giuseppina Cannas
Article
105160
Centralized netting in financial networks
Rodney
Garratt, Peter Zimmerman
Article
105270
Are banking shocks contagious? Evidence from the eurozone
Mardi
Dungey, Thomas J. Flavin, Dolores Lagoa-Varela
Article
105386
Interbank contagion: An agent-based model approach to endogenously
formed networks
Anqi
Liu, Mark Paddrik, Steve Y. Yang, Xingjia Zhang
Article
105191
Is full banking integration desirable?
Iván Arribas, Jesús Peiró-Palomino, Emili Tortosa-Ausina
Article 105185
Bank loyalty, social networks and crisis
Sümeyra
Atmaca, Koen Schoors, Marijn Verschelde
Article
105269
March madness in Wall Street: (What) does the market learn from
stress tests?
Marcelo Fernandes, Deniz Igan, Marcelo
Pinheiro
Article 105250
The anatomy of financial vulnerabilities and banking crises
Seung
Jung Lee, Kelly E. Posenau, Viktors Stebunovs
Article
105334
Macroeconomic impact of Basel III: Evidence from a meta-analysis
Jarko
Fidrmuc, Ronja Lind
Article
105359
Government support, regulation, and risk taking in the banking
sector
Luis
Brandao-Marques, Ricardo Correa, Horacio Sapriza
Article
105284
The surface of implied firm’s asset volatility
Lidija
Lovreta, Florina Silaghi
Article
105253
Borrower distress and the efficiency of relationship banking
Han
Donker, Alex Ng, Pei Shao
Article
105275
Debt maturity and the cost of bank loans
Chih-Wei
Wang, Wan-Chien Chiu, Tao-Hsien Dolly King
Article
105235
Generalists and specialists in the credit market
Daniel
Fricke, Tarik Roukny
Article
105335
Bank credit rates across the business cycle: Evidence from a
French cooperative contracts database
Sébastien Dereeper, Frédéric Lobez,
Jean-Christophe Statnik
Article 105220
Government support of banks and bank lending
William
Bassett, Selva Demiralp, Nathan Lloyd
Article
105177
Macroeconomic effects and frailties in the resolution of
non-performing loans
Jennifer
Betz, Steffen Krüger, Ralf Kellner, Daniel Rösch
Article
105212
Gender gap in peer-to-peer lending: Evidence from China
Xiao
Chen, Bihong Huang, Dezhu Ye
Article
105633
Determinants of household broker choices and their impacts on
performance
Kingsley
Fong, Juliane D. Krug, Henry Leung, Joakim P. Westerholm
Article
105573
Market risk-based capital requirements, trading activity, and bank
risk
Dmytro Holod, Yuriy Kitsul, Gökhan
Torna
Article
105202
Too big to ignore? Hedge fund flows and bond yields
Olga
Kolokolova, Ming-Tsung Lin, Ser-Huang Poon
Article
105271
Does corporate social responsibility create shareholder value? The
importance of long-term investors
Phuong-Anh Nguyen, Ambrus Kecskés, Sattar
Mansi
Article 105217
Stock extreme illiquidity and the cost of capital
Mohamed
Belkhir, Mohsen Saad, Anis Samet
Article
105281
Home, safe home: Cross-country monitoring framework for
vulnerabilities in the residential real estate sector
Elias
Bengtsson, Magdalena Grothe, Etienne Lepers
Article
105268
The other (commercial) real estate boom and bust: The effects of
risk premia and regulatory capital arbitrage
John
V. Duca, David C. Ling
Article
105317
Return comovement
David
Parsley, Helen Popper
Article
105223
Sectoral risk-weights and macroprudential policy
Alexander
Hodbod, Stefanie J. Huber, Konstantin Vasilev
Article
105336