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Elsevier Journal of Banking & Finance Contact information of
Elsevier: Web page: http://www.elsevier.com/locate/jbf
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(Heidi Boesdal) Series handle: repec:eee:jbfina
More pages of listings: 0 |1 |2 |3 |4 |5 |6 |7 |8 |9 |10 |11 |12 |13 2009, Volume 33, Issue 10
1739-1740 International financial integration by Lucey, Brian M. [Downloadable! (restricted)]
1741-1754 Does the law of one price hold in international financial markets? Evidence from tick data by Akram, Q. Farooq & Rime, Dagfinn & Sarno, Lucio [Downloadable! (restricted)]
1755-1769 Financial reforms and time-varying microstructures in emerging equity markets by Lagoarde-Segot, Thomas [Downloadable! (restricted)]
1770-1780 Markets and institutions in financial intermediation: National characteristics as determinants by Aggarwal, Raj & Goodell, John W. [Downloadable! (restricted)]
1781-1792 Entry mode choice of multinational banks by Lehner, Maria [Downloadable! (restricted)]
1793-1803 How much intraregional exchange rate variability could a currency union remove? The case of ASEAN+3 by Qin, Duo & Tan, Tao [Downloadable! (restricted)]
1804-1816 Ownership changes and access to external financing by Knyazeva, Anzhela & Knyazeva, Diana & Stiglitz, Joseph [Downloadable! (restricted)]
1817-1828 Propping and tunneling: Empirical evidence from Japanese keiretsu by Dow, Sandra & McGuire, Jean [Downloadable! (restricted)]
1829-1841 Operating performance changes associated with corporate mergers and the role of corporate governance by Carline, Nicholas F. & Linn, Scott C. & Yadav, Pradeep K. [Downloadable! (restricted)]
1842-1850 The joint estimation of bank-level market power and efficiency by Delis, Manthos D. & Tsionas, Efthymios G. [Downloadable! (restricted)]
1851-1859 Measuring performance in a dynamic world: Conditional mean-variance fundamentals by Jha, Ranjini & Korkie, Bob & Turtle, Harry J. [Downloadable! (restricted)]
1860-1873 Financial dollarization: Short-run determinants in transition economies by Neanidis, Kyriakos C. & Savva, Christos S. [Downloadable! (restricted)]
1874-1883 An evaluation of contingent immunization by Díaz, Antonio & González, María de la O & Navarro, Eliseo & Skinner, Frank S. [Downloadable! (restricted)]
1884-1897 Does competition from new equity mitigate bank rent extraction? Insights from Japanese data by Wu, Xueping & Sercu, Piet & Yao, Jun [Downloadable! (restricted)]
1898-1908 The market reaction to cross-listings: Does the destination market matter? by Roosenboom, Peter & van Dijk, Mathijs A. [Downloadable! (restricted)]
1909-1919 The pricing of deposit insurance considering bankruptcy costs and closure policies by Hwang, Dar-Yeh & Shie, Fu-Shuen & Wang, Kehluh & Lin, Jung-Chu [Downloadable! (restricted)]
1920-1931 The determinants of net interest income in the Mexican banking system: An integrated model by Maudos, Joaquín & Solís, Liliana [Downloadable! (restricted)]
1932-1947 Do financial factors affect the capital-labour ratio? Evidence from UK firm-level data by Spaliara, Marina-Eliza [Downloadable! (restricted)]
2009, Volume 33, Issue 9 1555-1562 On the integrability of money-demand functions by the Sidrauski and the shopping-time models by Cysne, Rubens Penha & Turchick, David [Downloadable! (restricted)]
1563-1574 Stock market crashes, firm characteristics, and stock returns by Wang, Jia & Meric, Gulser & Liu, Zugang & Meric, Ilhan [Downloadable! (restricted)]
1575-1585 A momentum trading strategy based on the low frequency component of the exchange rate by Harris, Richard D.F. & Yilmaz, Fatih [Downloadable! (restricted)]
1586-1596 Evaluation of linear asset pricing models by implied portfolio performance by Balvers, Ronald J. & Huang, Dayong [Downloadable! (restricted)]
1597-1609 The bright and dark side of staging: Investment performance and the varying motivations of private equity firms by Krohmer, Philipp & Lauterbach, Rainer & Calanog, Victor [Downloadable! (restricted)]
1610-1623 Equity market valuation of human capital and stock returns by Pantzalis, Christos & Park, Jung Chul [Downloadable! (restricted)]
1624-1635 Asymmetric effects of the business cycle on bank credit risk by Marcucci, Juri & Quagliariello, Mario [Downloadable! (restricted)]
1636-1651 Information, sophistication, and foreign versus domestic investors' performance by Chen, Li-Wen & Johnson, Shane A. & Lin, Ji-Chai & Liu, Yu-Jane [Downloadable! (restricted)]
1652-1663 Overvaluation and earnings management by Chi, Jianxin (Daniel) & Gupta, Manu [Downloadable! (restricted)]
1664-1676 The value of coskewness in mutual fund performance evaluation by Moreno, David & Rodríguez, Rosa [Downloadable! (restricted)]
1677-1687 The impact of banking sector reform in a transition economy: Evidence from Kyrgyzstan by Brown, Martin & Maurer, Maria Rueda & Pak, Tamara & Tynaev, Nurlanbek [Downloadable! (restricted)]
1688-1699 Asset allocation and location over the life cycle with investment-linked survival-contingent payouts by Horneff, Wolfram J. & Maurer, Raimond H. & Mitchell, Olivia S. & Stamos, Michael Z. [Downloadable! (restricted)]
1700-1708 The effects of default and call risk on bond duration by Xie, Yan Alice & Liu, Sheen & Wu, Chunchi & Anderson, Bing [Downloadable! (restricted)]
1709-1729 Crises, contagion and cross-listings by Chandar, Nandini & Patro, Dilip K. & Yezegel, Ari [Downloadable! (restricted)]
1730-1738 Catering effects in corporate dividend policy: The international evidence by Ferris, Stephen P. & Jayaraman, Narayanan & Sabherwal, Sanjiv [Downloadable! (restricted)]
2009, Volume 33, Issue 8 1361-1375 Varying risk premia in international bond markets by Kessler, Stephan & Scherer, Bernd [Downloadable! (restricted)]
1376-1387 Are interest rate options important for the assessment of interest rate risk? by Almeida, Caio & Vicente, José [Downloadable! (restricted)]
1388-1399 The wandering weekday effect in major stock markets by Doyle, John R. & Chen, Catherine Huirong [Downloadable! (restricted)]
1400-1412 The long-term performance of acquiring firms: A re-examination of an anomaly by Dutta, Shantanu & Jog, Vijay [Downloadable! (restricted)]
1413-1422 The identification of technology regimes in banking: Implications for the market power-fragility nexus by Koetter, Michael & Poghosyan, Tigran [Downloadable! (restricted)]
1423-1433 Does concurrent management of mutual and hedge funds create conflicts of interest? by Chen, Li-Wen & Chen, Fan [Downloadable! (restricted)]
1434-1445 The effects of regulation on industry structure and trade generation in the US securities industry by Choi, Hyung Suk & Clarke, Jonathan & Ferris, Stephen P. & Jayaraman, Narayanan [Downloadable! (restricted)]
1446-1453 Regional growth and finance in Europe: Is there a quality effect of bank efficiency? by Hasan, Iftekhar & Koetter, Michael & Wedow, Michael [Downloadable! (restricted)]
1454-1463 Demutualization: Determinants and consequences of the mutual holding company choice by Carow, Kenneth A. & Cox, Steven R. & Roden, Dianne M. [Downloadable! (restricted)]
1464-1471 Did the repeated debt ceiling controversies embed default risk in US Treasury securities? by Liu, Pu & Shao, Yingying & Yeager, Timothy J. [Downloadable! (restricted)]
1472-1480 The announcement impact of seasoned equity offerings on bondholder wealth by Elliott, William B. & Prevost, Andrew K. & Rao, Ramesh P. [Downloadable! (restricted)]
1481-1493 Stock price reaction following large one-day price changes: UK evidence by Mazouz, Khelifa & Joseph, Nathan L. & Joulmer, Joulmer [Downloadable! (restricted)]
1494-1506 The safety first expected utility model: Experimental evidence and economic implications by Levy, Haim & Levy, Moshe [Downloadable! (restricted)]
1507-1519 Compensation committee governance quality, chief executive officer stock option grants, and future firm performance by Sun, Jerry & Cahan, Steven F. & Emanuel, David [Downloadable! (restricted)]
1520-1530 Bank credit risk and structural credit models: Agency and information asymmetry perspectives by Liao, Hsien-Hsing & Chen, Tsung-Kang & Lu, Chia-Wu [Downloadable! (restricted)]
1531-1542 Dealer attention, the speed of quote adjustment to information, and net dealer revenue by Boulatov, Alex & Hatch, Brian C. & Johnson, Shane A. & Lei, Adam Y.C. [Downloadable! (restricted)]
1543-1553 Endless leverage certificates by Rossetto, Silvia & Bommel, Jos van [Downloadable! (restricted)]
2009, Volume 33, Issue 7 1187-1195 The impact of FX central bank intervention in a noise trading framework by Beine, Michel & Grauwe, Paul De & Grimaldi, Marianna [Downloadable! (restricted)]
1196-1210 Market power in local banking monopolies by Coccorese, Paolo [Downloadable! (restricted)]
1211-1220 Private equity and regulatory capital by Bongaerts, Dion & Charlier, Erwin [Downloadable! (restricted)]
1221-1229 Decision-making under uncertainty - A field study of cumulative prospect theory by Gurevich, Gregory & Kliger, Doron & Levy, Ori [Downloadable! (restricted)]
1230-1241 Modeling CO2 emission allowance prices and derivatives: Evidence from the European trading scheme by Daskalakis, George & Psychoyios, Dimitris & Markellos, Raphael N. [Downloadable! (restricted)]
1242-1254 Portfolio performance evaluation with generalized Sharpe ratios: Beyond the mean and variance by Zakamouline, Valeri & Koekebakker, Steen [Downloadable! (restricted)]
1255-1265 Does the market dole out collective punishment? An empirical analysis of industry, geography, and Arthur Andersen's reputation by Huang, Roger D. & Li, Hang [Downloadable! (restricted)]
1266-1273 Regulation of credit rating agencies by Stolper, Anno [Downloadable! (restricted)]
1274-1284 Monetary policy implementation and the federal funds rate by Nautz, Dieter & Schmidt, Sandra [Downloadable! (restricted)]
1285-1298 Overreaction in the thrift IPO aftermarket by Friesen, Geoffrey C. & Swift, Christopher [Downloadable! (restricted)]
1299-1311 Consolidation in banking and financial stability in Europe: Empirical evidence by Uhde, André & Heimeshoff, Ulrich [Downloadable! (restricted)]
1312-1324 Foreign institutional ownership and stock market liquidity: Evidence from Indonesia by Rhee, S. Ghon & Wang, Jianxin [Downloadable! (restricted)]
1326-1339 Market microstructure of the Pink Sheets by Bollen, Nicolas P.B. & Christie, William G. [Downloadable! (restricted)]
1340-1350 Strong boards, CEO power and bank risk-taking by Pathan, Shams [Downloadable! (restricted)]
1351-1360 Causality in quantiles and dynamic stock return-volume relations by Chuang, Chia-Chang & Kuan, Chung-Ming & Lin, Hsin-Yi [Downloadable! (restricted)]
2009, Volume 33, Issue 6 985-995 Investor protection and convertible debt design by Lee, Cheng-Few & Lee, Kin-Wai & Yeo, Gillian Hian-Heng [Downloadable! (restricted)]
996-1004 News and the cross-section of expected corporate bond returns by Abhyankar, Abhay & Gonzalez, Angelica [Downloadable! (restricted)]
1005-1013 From boom [`]til bust: How loss aversion affects asset prices by Berkelaar, Arjan & Kouwenberg, Roy [Downloadable! (restricted)]
1014-1021 Time-varying market integration and stock and bond return concordance in emerging markets by Panchenko, Valentyn & Wu, Eliza [Downloadable! (restricted)]
1022-1032 Determinants of domestic and cross-border bank acquisitions in the European Union by Hernando, Ignacio & Nieto, Mara J. & Wall, Larry D. [Downloadable! (restricted)]
1033-1038 The jump component of S&P 500 volatility and the VIX index by Becker, Ralf & Clements, Adam E. & McClelland, Andrew [Downloadable! (restricted)]
1039-1047 Is the market valuation of banks' loan loss provision conditional on auditor reputation? by Kanagaretnam, Kiridaran & Krishnan, Gopal V. & Lobo, Gerald J. [Downloadable! (restricted)]
1048-1057 Extreme coexceedances in new EU member states' stock markets by Christiansen, Charlotte & Ranaldo, Angelo [Downloadable! (restricted)]
1058-1068 Deposit guarantee evaluation and incentives analysis in a mutual guarantee system by De Giuli, Maria Elena & Maggi, Mario Alessandro & Paris, Francesco Maria [Downloadable! (restricted)]
1069-1078 The slicing approach to valuing tax shields by Liu, Yuan-Chi [Downloadable! (restricted)]
1079-1088 Health status and portfolio choice: Causality or heterogeneity? by Fan, Elliott & Zhao, Ruoyun [Downloadable! (restricted)]
1089-1100 Price trends and patterns in technical analysis: A theoretical and empirical examination by Friesen, Geoffrey C. & Weller, Paul A. & Dunham, Lee M. [Downloadable! (restricted)]
1101-1111 Time diversification: Definitions and some closed-form solutions by Chung, Kee H. & Smith, William T. & Wu, Tao L. [Downloadable! (restricted)]
1112-1128 Political regimes, business cycles, seasonalities, and returns by Powell, John G. & Shi, Jing & Smith, Tom & Whaley, Robert E. [Downloadable! (restricted)]
1129-1143 American GARCH employee stock option valuation by Len, Angel & Vaello-Sebasti, Antoni [Downloadable! (restricted)]
1144-1155 Inside the black box: Bank credit allocation in China's private sector by Firth, Michael & Lin, Chen & Liu, Ping & Wong, Sonia M.L. [Downloadable! (restricted)]
1156-1165 The dynamics of the volatility skew: A Kalman filter approach by Bedendo, Mascia & Hodges, Stewart D. [Downloadable! (restricted)]
1166-1176 New strategies and a new paradigm for Shariah-compliant portfolio optimization by Derigs, Ulrich & Marzban, Shehab [Downloadable! (restricted)]
1177-1185 Extending the Basel II approach to estimate capital requirements for equity investments by Johnston, Mark [Downloadable! (restricted)]
2009, Volume 33, Issue 5 775-787 On the power of cross-sectional and multivariate tests of the CAPM by Grauer, Robert R. & Janmaat, Johannus A. [Downloadable! (restricted)]
788-799 Loss given default of high loan-to-value residential mortgages by Qi, Min & Yang, Xiaolong [Downloadable! (restricted)]
800-809 Competitive inventory management in Treasury markets by Chatrath, Arjun & Christie-David, Rohan A. & Lee, Kiseop & Moore, William T. [Downloadable! (restricted)]
810-818 Financial markets, financial dependence, and the allocation of capital by Pang, Jiaren & Wu, Haibin [Downloadable! (restricted)]
819-828 Ineffective corporate governance: Director busyness and board committee memberships by Jiraporn, Pornsit & Singh, Manohar & Lee, Chun I. [Downloadable! (restricted)]
829-841 Family control and dilution in mergers by Basu, Nilanjan & Dimitrova, Lora & Paeglis, Imants [Downloadable! (restricted)]
842-849 A study on long-run inefficiency levels of a panel dynamic cost frontier under the framework of forward-looking rational expectations by Huang, Tai-Hsin & Chen, Ying-Hsiu [Downloadable! (restricted)]
850-860 The determinants of household risky asset holdings: Australian evidence on background risk and other factors by Cardak, Buly A. & Wilkins, Roger [Downloadable! (restricted)]
861-873 What makes a bank risky? Insights from the optimal capital structure of banks by Koziol, Christian & Lawrenz, Jochen [Downloadable! (restricted)]
874-882 The price-setting behavior of banks: An analysis of open-end leverage certificates on the German market by Entrop, Oliver & Scholz, Hendrik & Wilkens, Marco [Downloadable! (restricted)]
883-891 Liquidity shocks, size and the relative performance of hedge fund strategies by Ding, Bill & Shawky, Hany A. & Tian, Jianbo [Downloadable! (restricted)]
892-903 Investor sentiment as conditioning information in asset pricing by Ho, Chienwei & Hung, Chi-Hsiou [Downloadable! (restricted)]
904-913 Intervention policy of the BoJ: A unified approach by Beine, Michel & Bernal, Oscar & Gnabo, Jean-Yves & Lecourt, Christelle [Downloadable! (restricted)]
914-924 Buy high, sell low: How listed firms price asset transfers in related party transactions by Cheung, Yan-Leung & Qi, Yuehua & Raghavendra Rau, P. & Stouraitis, Aris [Downloadable! (restricted)]
925-933 Derivative use, fund flows and investment manager performance by Frino, Alex & Lepone, Andrew & Wong, Brad [Downloadable! (restricted)]
934-943 Testing the expectations hypothesis when interest rates are near integrated by Beechey, Meredith & Hjalmarsson, Erik & sterholm, Pr [Downloadable! (restricted)]
944-957 Leveraged carry trade portfolios by Darvas, Zsolt [Downloadable! (restricted)]
958-970 Economic linkages across commodity futures: Hedging and trading implications by Chng, Michael T. [Downloadable! (restricted)]
971-984 Why has the investment-cash flow sensitivity declined so sharply? Rising R&D and equity market developments by Brown, James R. & Petersen, Bruce C. [Downloadable! (restricted)]
2009, Volume 33, Issue 4 589-599 Mutual fund volatility timing and management fees by Giambona, Erasmo & Golec, Joseph [Downloadable! (restricted)]
600-608 Interest rate changes and the timing of debt issues by Barry, Christopher B. & Mann, Steven C. & Mihov, Vassil & Rodríguez, Mauricio [Downloadable! (restricted)]
609-618 What do investment banks charge to underwrite American Depositary Receipts? by Chen, Hsuan-Chi & Fauver, Larry & Yang, Pei-Ching [Downloadable! (restricted)]
619-626 Agency costs, governance, and organizational forms: Evidence from the mutual fund industry by Ferris, Stephen P. & Yan, Xuemin (Sterling) [Downloadable! (restricted)]
627-639 Institutional ownership, volatility and dividends by Rubin, Amir & Smith, Daniel R. [Downloadable! (restricted)]
640-651 Mitigating risks in cross-border acquisitions by Mantecon, Tomas [Downloadable! (restricted)]
652-661 Identifying volatility risk premia from fixed income Asian options by Almeida, Caio & Vicente, José [Downloadable! (restricted)]
662-669 Performance and governance in microfinance institutions by Mersland, Roy & Øystein Strøm, R. [Downloadable! (restricted)]
670-680 The stock-bond correlation and macroeconomic conditions: One and a half centuries of evidence by Yang, Jian & Zhou, Yinggang & Wang, Zijun [Downloadable! (restricted)]
681-693 What motivates a subprime borrower to default? by Daglish, Toby [Downloadable! (restricted)]
694-700 Debt, investment, and product market competition: A note on the limited liability effect by Clayton, Matthew J. [Downloadable! (restricted)]
701-708 A practical approach to validating a PD model by Medema, Lydian & Koning, Ruud H. & Lensink, Robert [Downloadable! (restricted)]
709-718 Irreversible investment, managerial discretion and optimal capital structure by Andrikopoulos, Andreas [Downloadable! (restricted)]
719-730 Accounting-based versus market-based cross-sectional models of CDS spreads by Das, Sanjiv R. & Hanouna, Paul & Sarin, Atulya [Downloadable! (restricted)]
731-746 Option trading and individual investor performance by Bauer, Rob & Cosemans, Mathijs & Eichholtz, Piet [Downloadable! (restricted)]
747-756 Interaction between housing prices and household borrowing: The Finnish case by Oikarinen, Elias [Downloadable! (restricted)]
757-764 Do informed option investors predict stock returns? Evidence from the Taiwan stock exchange by Chang, Chuang-Chang & Hsieh, Pei-Fang & Lai, Hung-Neng [Downloadable! (restricted)]
765-774 The impact of venture capital backing on the corporate governance of Australian initial public offerings by Suchard, Jo-Ann [Downloadable! (restricted)]
2009, Volume 33, Issue 3 443-455 Capital management in mutual financial institutions by Brown, Christine & Davis, Kevin [Downloadable! (restricted)]
456-463 Two counters of jumps by Câmara, António [Downloadable! (restricted)]
464-472 Common risk factors in bank stocks by Viale, Ariel M. & Kolari, James W. & Fraser, Donald R. [Downloadable! (restricted)]
473-485 Linear-quadratic term structure models - Toward the understanding of jumps in interest rates by Jiang, George & Yan, Shu [Downloadable! (restricted)]
486-494 Dividends and price momentum by Asem, Ebenezer [Downloadable! (restricted)]
495-504 Executive compensation and competition in the banking and financial sectors by Cuñat, Vicente & Guadalupe, Maria [Downloadable! (restricted)]
505-513 Recovery rates of commercial lending: Empirical evidence for German companies by Grunert, Jens & Weber, Martin [Downloadable! (restricted)]
514-521 Does collateral fuel moral hazard in banking? by Niinimäki, J.-P. [Downloadable! (restricted)]
522-533 CEO turnover and bondholder wealth by Adams, John C. & Mansi, Sattar A. [Downloadable! (restricted)]
534-545 An analysis of the true notional bond system applied to the CBOT T-bond futures by Ben-Abdallah, Ramzi & Ben-Ameur, Hatem & Breton, Michèle [Downloadable! (restricted)]
546-556 Managers and efficiency in banking by Kauko, Karlo [Downloadable! (restricted)]
557-567 Efficiency and productivity growth in the banking industry of Central and Eastern Europe by Koutsomanoli-Filippaki, Anastasia & Margaritis, Dimitris & Staikouras, Christos [Downloadable! (restricted)]
568-572 Non-concavity problems in the dynamic macroeconomic models: A note by Hiraguchi, Ryoji [Downloadable! (restricted)]
573-577 A note on capital asset pricing and heterogeneous taxes by Eikseth, Hans Marius & Lindset, Snorre [Downloadable! (restricted)]
578-582 Is it the weather? Comment by Kamstra, Mark J. & Kramer, Lisa A. & Levi, Maurice D. [Downloadable! (restricted)]
583-587 Is it the weather? Response by Jacobsen, Ben & Marquering, Wessel [Downloadable! (restricted)]
2009, Volume 33, Issue 2 183-192 Information uncertainty and auditor reputation by Autore, Don M. & Billingsley, Randall S. & Schneller, Meir I. [Downloadable! (restricted)]
193-202 Do analyst recommendations reflect shareholder rights? by Autore, Don M. & Kovacs, Tunde & Sharma, Vivek [Downloadable! (restricted)]
203-210 Size matters: Economies of scale in European payments processing by Beijnen, Christine & Bolt, Wilko [Downloadable! (restricted)]
211-223 Predicting the bear stock market: Macroeconomic variables as leading indicators by Chen, Shiu-Sheng [Downloadable! (restricted)]
224-233 Do artificial income smoothing and real income smoothing contribute to firm value equivalently? by Huang, Pinghsun & Zhang, Yan & Deis, Donald R. & Moffitt, Jacquelyn S. [Downloadable! (restricted)]
234-243 Organizational distance and use of collateral for business loans by Jiménez, Gabriel & Salas, Vicente & Saurina, Jesús [Downloadable! (restricted)]
244-253 Explaining bank distress in Eastern European transition economies by Männasoo, Kadri & Mayes, David G. [Downloadable! (restricted)]
254-262 Does better corporate governance result in higher valuations in emerging markets? Another examination using a new data set by Morey, Matthew & Gottesman, Aron & Baker, Edward & Godridge, Ben [Downloadable! (restricted)]
263-271 The profitability of small single-market banks in an era of multi-market banking by Hannan, Timothy H. & Prager, Robin A. [Downloadable! (restricted)]
272-280 Performance evaluation of portfolio insurance strategies using stochastic dominance criteria by Annaert, Jan & Osselaer, Sofieke Van & Verstraete, Bert [Downloadable! (restricted)]
281-299 Credit risk drivers: Evaluating the contribution of firm level information and of macroeconomic dynamics by Bonfim, Diana [Downloadable! (restricted)]
300-307 Corporate trade credit and inventories: New evidence of a trade-off from accounts payable and receivable by Bougheas, Spiros & Mateut, Simona & Mizen, Paul [Downloadable! (restricted)]
308-316 Block ownership and firm-specific information by Brockman, Paul & Yan, Xuemin (Sterling) [Downloadable! (restricted)]
317-325 Governance quality and privately negotiated stock repurchases: Evidence of agency conflict by Harris, Oneil & Glegg, Charmaine [Downloadable! (restricted)]
326-334 Disappearing internal capital markets: Evidence from diversified business groups in Korea by Lee, Sangwoo & Park, Kwangwoo & Shin, Hyun-Han [Downloadable! (restricted)]
335-346 An analysis of the liquidity benefits provided by secondary markets by Mantecon, Tomas & Poon, Percy [Downloadable! (restricted)]
347-357 Determinants of banks' risk exposure to new account fraud - Evidence from Germany by Hartmann-Wendels, Thomas & Mählmann, Thomas & Versen, Tobias [Downloadable! (restricted)]
358-366 Debit or credit? by Zinman, Jonathan [Downloadable! (restricted)]
367-379 From state to private ownership: Issues from strategic industries by Boubakri, Narjess & Cosset, Jean-Claude & Guedhami, Omrane [Downloadable! (restricted)]
380-389 Great expectations: Banks as equity underwriters by Chaplinsky, Susan & Erwin, Gayle R. [Downloadable! (restricted)]
390-404 Getting PPP right: Identifying mean-reverting real exchange rates in panels by Chortareas, Georgios & Kapetanios, George [Downloadable! (restricted)]
405-414 Regime switching in the relationship between equity returns and short-term interest rates in the UK by Henry, Ólan T. [Downloadable! (restricted)]
415-424 Are good or bad borrowers discouraged from applying for loans? Evidence from US small business credit markets by Han, Liang & Fraser, Stuart & Storey, David J. [Downloadable! (restricted)]
425-434 The role of bank monitoring in corporate governance: Evidence from borrowers' earnings management behavior by Ahn, Sungyoon & Choi, Wooseok [Downloadable! (restricted)]
435-442 The changing relationship between earnings expectations and earnings for value and growth stocks during Reg FD by de Jong, Pieter J. & Apilado, Vince P. [Downloadable! (restricted)]
2009, Volume 33, Issue 1 1-1 Editorial by Moshirian, Fariborz [Downloadable! (restricted)]
2-8 Can an Asia Pacific Community, similar to the European Community, emerge? by Moshirian, Fariborz [Downloadable! (restricted)]
9-19 Stock returns, order imbalances, and commonality: Evidence on individual, institutional, and proprietary investors in China by Bailey, Warren & Cai, Jun & Cheung, Yan Leung & Wang, Fenghua [Downloadable! (restricted)]
20-29 Bank ownership reform and bank performance in China by Lin, Xiaochi & Zhang, Yi [Downloadable! (restricted)]
30-38 Corporate tax, capital structure, and the accessibility of bank loans: Evidence from China by Wu, Liansheng & Yue, Heng [Downloadable! (restricted)]
39-52 The effects of reform on China's bank structure and performance by Fu, Xiaoqing (Maggie) & Heffernan, Shelagh [Downloadable! (restricted)]
53-62 Does the stock market affect firm investment in China? A price informativeness perspective by Wang, Yaping & Wu, Liansheng & Yang, Yunhong [Downloadable! (restricted)]
63-76 Regulations, earnings management, and post-IPO performance: The Chinese evidence by Kao, Jennifer L. & Wu, Donghui & Yang, Zhifeng [Downloadable! (restricted)]
77-87 The effect of ownership on the prudential behavior of banks - The case of China by Jia, Chunxin [Downloadable! (restricted)]
88-97 Marketability, control, and the pricing of block shares by Huang, Zhangkai & Xu, Xingzhong [Downloadable! (restricted)]
98-112 Effects of the volatility smile on exchange settlement practices: The Hong Kong case by Chang, Eric C. & Ren, Jinjuan & Shi, Qi [Downloadable! (restricted)]
113-130 Bank ownership and efficiency in China: What will happen in the world's largest nation? by Berger, Allen N. & Hasan, Iftekhar & Zhou, Mingming [Downloadable! (restricted)]
131-140 Are New Tigers supplanting Old Mammoths in China's banking system? Evidence from a sample of city commercial banks by Ferri, Giovanni [Downloadable! (restricted)]
141-156 Expropriation through loan guarantees to related parties: Evidence from China by Berkman, Henk & Cole, Rebel A. & Fu, Lawrence J. [Downloadable! (restricted)]
157-170 Institutional development, financial deepening and economic growth: Evidence from China by Hasan, Iftekhar & Wachtel, Paul & Zhou, Mingming [Downloadable! (restricted)]
171-181 Does the type of ownership control matter? Evidence from China's listed companies by Chen, Gongmeng & Firth, Michael & Xu, Liping [Downloadable! (restricted)]
2008, Volume 32, Issue 12 2501-2501 Editorial by Geman, Helyette [Downloadable! (restricted)]
2502-2519 Spot price modeling and the valuation of electricity forward contracts: The role of demand and capacity by Cartea, Álvaro & Villaplana, Pablo [Downloadable! (restricted)]
2520-2529 The price of power: The valuation of power and weather derivatives by Pirrong, Craig & Jermakyan, Martin [Downloadable! (restricted)]
2530-2540 Long term spread option valuation and hedging by Dempster, M.A.H. & Medova, Elena & Tang, Ke [Downloadable! (restricted)]
2541-2552 Computing the market price of volatility risk in the energy commodity markets by Doran, James S. & Ronn, Ehud I. [Downloadable! (restricted)]
2553-2559 WTI crude oil Futures in portfolio diversification: The time-to-maturity effect by Geman, Hélyette & Kharoubi, Cécile [Downloadable! (restricted)]
2560-2569 Credit derivatives and loan pricing by Norden, Lars & Wagner, Wolf [Downloadable! (restricted)]
2570-2580 Corporate governance in banking: The role of the board of directors by Andres, Pablo de & Vallelado, Eleuterio [Downloadable! (restricted)]
2581-2588 Liquidity in auction and specialist market structures: Evidence from the Italian bourse by Frino, Alex & Gerace, Dionigi & Lepone, Andrew [Downloadable! (restricted)]
2589-2596 Combining fair pricing and capital requirements for non-life insurance companies by Gatzert, Nadine & Schmeiser, Hato [Downloadable! (restricted)]
2597-2605 Determinants of yield spread dynamics: Euro versus US dollar corporate bonds by Landschoot, Astrid Van [Downloadable! (restricted)]
2606-2616 Macroeconomic cycles and the stock market's reaction to monetary policy by Basistha, Arabinda & Kurov, Alexander [Downloadable! (restricted)]
2617-2627 A first-passage-time model under regime-switching market environment by Kim, Mi Ae & Jang, Bong-Gyu & Lee, Ho-Seok [Downloadable! (restricted)]
2628-2635 Corporate restructuring in Japan: Who monitors the monitor? by Inoue, Kotaro & Kato, Hideaki Kiyoshi & Bremer, Marc [Downloadable! (restricted)]
2636-2645 Controlling-minority shareholder incentive conflicts and directors' and officers' liability insurance: Evidence from China by Zou, Hong & Wong, Sonia & Shum, Clement & Xiong, Jun & Yan, Jun [Downloadable! (restricted)]
2646-2654 The stocks at stake: Return and risk in socially responsible investment by Galema, Rients & Plantinga, Auke & Scholtens, Bert [Downloadable! (restricted)]
2655-2666 The dynamics of operational loss clustering by Chernobai, Anna & Yildirim, Yildiray [Downloadable! (restricted)]
2667-2673 Two-sided coherent risk measures and their application in realistic portfolio optimization by Chen, Zhiping & Wang, Yi [Downloadable! (restricted)]
2674-2683 Exploring the nexus between banking sector reform and performance: Evidence from newly acceded EU countries by Brissimis, Sophocles N. & Delis, Manthos D. & Papanikolaou, Nikolaos I. [Downloadable! (restricted)]
2684-2694 Bank concentration and financial constraints on firm-level investment in Europe by Ratti, Ronald A. & Lee, Sunglyong & Seol, Youn [Downloadable! (restricted)]
2695-2705 The role of no-arbitrage on forecasting: Lessons from a parametric term structure model by Almeida, Caio & Vicente, José [Downloadable! (restricted)]
2706-2715 Individual stock-option prices and credit spreads by Cremers, Martijn & Driessen, Joost & Maenhout, Pascal & Weinbaum, David [Downloadable! (restricted)]
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This page was last updated on 2009-11-7.
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