Journal of Banking and Finance, September
2020
Green Tables of Contents
Geographic spillover of dominant firms’ shocks
Sima
Jannati
Article
105844
Government financial institutions and capital allocation
efficiency in Japan
Masami
Imai
Article
105854
Modeling asset returns under time-varying semi-nonparametric
distributions
Ángel León, Trino-Manuel Ñíguez
Article 105870
A historical loss approach to community bank stress testing
Cao
Fang, Timothy J. Yeager
Article
105831
Intangible assets and capital structure
Steve
C. Lim, Antonio J. Macias, Thomas Moeller
Article
105873
Liquidity at risk: Joint stress testing of solvency and liquidity
Rama Cont, Artur Kotlicki, Laura Valderrama
Article 105871
Bank relationship loss: The moderating effect of information
opacity
Yuqian
Xu, Anthony Saunders, Binqing Xiao, Xindan Li
Article
105872
Foreign Lenders’ adoption of performance pricing provisions in
syndicated loans
Edward Lee, Kostas Pappas, Alice Liang Xu
Article 105869
Short selling threat and corporate financing decisions
Rong
Gong
Article
105853
Do conventional monetary policy instruments matter in
unconventional times?
Manuel
Buchholz, Kirsten Schmidt, Lena Tonzer
Article
105858
Comparing high-dimensional conditional covariance matrices:
Implications for portfolio selection
Guilherme V. Moura, André A.P. Santos, Esther
Ruiz
Article 105882
(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
Where do banks value corporate social responsibility more?
Evidence on the role of national culture
Yan-Leung
Cheung, Weiqiang Tan, Wenming Wang
Article
105810
Political event portfolios
Michael
Hanke, Sebastian Stöckl, Alex Weissensteiner
Article
105883
Does Information Asymmetry Impede Market Efficiency? Evidence from
Analyst Coverage
Keming
Li
Article
105856
The Shareholder's response to a firm's first international
acquisition
Krishnan Dandapani, Ann Marie Hibbert, Edward
R. Lawrence
Article 105852
The economic record of the government and sovereign bond and stock
returns around national elections
Stefan
Eichler, Timo Plaga
Article
105832
Foreign ownership and market power: The special case of European
banks
Panayotis D. Alexakis, Ioannis G. Samantas
Article 105857
Up- and downside variance risk premia in global equity markets
Matthias
Held, Julia Kapraun, Marcel Omachel, Julian Thimme
Article
105875
Optimal fees in hedge funds with first-loss compensation
M.
Escobar-Anel, Y. Havrylenko, R. Zagst
Article
105884
Interactions between bank levies and corporate taxes: How is bank
leverage affected?
Franziska
Bremus, Kirsten Schmidt, Lena Tonzer
Article
105874
Systematic stress tests on public data
Thomas
Breuer, Martin Summer
Article
105886
Easy money? Managerial power and the option backdating game
revisited
Graeme
Guthrie, Tom Stannard
Article
105887
Risk shifting and the allocation of capital: A Rationale for
macroprudential regulation
Michael
Kogler
Article
105890
Mortgage arrears, regulation and institutions: Cross-country
evidence
Irina
Stanga, Razvan Vlahu, Jakob de Haan
Article
105889
Stock market listing and the persistence of bank performance
across crises
Alexandre Garel, José M. Martín-Flores,
Arthur Petit-Romec
Article 105885
Foreign ownership in Chinese credit ratings industry: Information
revelation or certification?
Xiaolu
Hu, Jing Shi, Lafang Wang, Jing Yu
Article 105891
Reserve balances, the federal funds market and arbitrage in the
new regulatory framework
Ayelen
Banegas, Manjola Tase
Article
105893
Affine multivariate GARCH models
Marcos
Escobar-Anel, Javad Rastegari, Lars Stentoft
Article
105895
Geostatistical modeling of dependent credit spreads: Estimation of
large covariance matrices and imputation of missing data
Amelie
Hüttner, Matthias Scherer, Benedikt Gräler
Article
105897
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
Inside the director network: When directors trade or hold inside,
interlock, and unconnected stocks
Henk
Berkman, Paul Koch, P. Joakim Westerholm
Article
105892
Time since targets’ initial public offerings, asymmetric information,
uncertainty, and acquisition pricing
Jan Jindra, Thomas Moeller
Article 105896
The Complexity of Bank Holding Companies: A Topological Approach
Mark
D. Flood, Dror Y. Kenett, Robin L. Lumsdaine, Jonathan K. Simon
Article
105789