Journal of Financial Stability
Green Table of Contents
Volume
51
December
2020
Watch out for bailout: TARP and bank earnings management
Yaoyao Fan, Yichu Huang, Yuxiang Jiang, Frank Hong Liu
Article 100785
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A zero-risk weight channel of sovereign risk spillovers
Karolin Kirschenmann, Josef Korte, Sascha
Steffen
Article 100780
Do political connections shield from negative shocks?
Evidence from rating changes in advanced emerging economies
Krzysztof Jackowicz, Łukasz Kozłowski, Błażej Podgórski, Tadeusz Winkler-Drews
Article 100786
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Policy uncertainty and bank stress testing
Paul H. Kupiec
Article 100761
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The contribution of shadow insurance to systemic risk
Soon Heng Leong, Carlo Bellavite
Pellegrini, Giovanni Urga
Article 100778
Labor unions and bank risk culture: evidence from the
financial crisis
Dien Giau Bui, Yan-Shing Chen, Hsing-Hua Hsu, Chih-Yung Lin
Article 100782
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Avoiding the fall into the loop: Isolating the transmission
of bank-to-sovereign distress in the Euro Area
Hannes Böhm, Stefan Eichler
Article 100763
A cautionary tale of two extremes: The provision of
government liquidity support in the banking sector
Christina Bui,
Harald Scheule, Eliza Wu
Article 100784
Environmental regulation and the cost of bank loans:
International evidence
Amirhossein Fard, Siamak Javadi,
Incheol Kim
Article 100797
Financial stability with sovereign debt
Ryuichiro Izumi
Article 100795
Supply chain hierarchical position and firms’ information
quality
Xuelian Bai, Ruirui Fang, Elaine
Henry, Nan Hu
Article 100815
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Does low synchronicity mean more or less informative prices?
Evidence from an emerging market
Mingsheng Li, Desheng Liu, Hongfeng Peng, Luxiu Zhang
Article 100817
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