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Content
June 1986, Volume 10, Issue 2
- 203-218 Variable-rate deposit insurance: A re-examination
by Goodman, Laurie S. & Santomero, Anthony M.
- 219-230 The large-small bank dichotomy in the federal funds market
by Allen, Linda & Saunders, Anthony
- 231-241 An economic assessment of capital requirements in the banking industry
by Crouhy, Michel & Galai, Dan
- 243-253 Information reusability, competition and bank asset quality
by Chan, Yuk-Shee & Greenbaum, Stuart I. & Thakor, Anjan V.
- 255-265 Optimal borrowing and bank lending policies: An interactive approach
by Lieber, Zvi & Orgler, Yair E.
- 267-280 The economics of loan commitment contracts: Credit pricing and utilization
by Melnik, Arie & Plaut, Steven E.
- 281-293 Lending with costly enforcement of repayment and potential fraud
by Eaton, Jonathan
- 295-307 Bank asset management and financial insurance
by Szego, Giorgio P.
- 309-325 Term structure intermediation by depository institutions
by Jaffee, Dwight M.
March 1986, Volume 10, Issue 1
- 7-20 Swaps, expectations, and exchange rates
by Mahajan, Arvind & Mehta, Dileep
- 21-36 Market structure : The specialist as dealer and broker
by Conroy, Robert M. & Winkler, Robert L.
- 37-54 A model of the financial firm with imperfect asset and deposit elasticities
by Hancock, Diana
- 55-73 The reaction of bank stock prices to the international debt crisis
by Cornell, Bradford & Shapiro, Alan C.
- 75-97 Disclosure policy and international banking
by Guttentag, Jack & Herring, Richard
- 99-114 Deposit rates, credit rates and bank capital : The Klein-Monti Model Revisited
by Dermine, J.
- 115-132 Systematic risk, total risk and size as determinants of stock market returns
by Lakonishok, Josef & Shapiro, Alan C.
- 133-141 Another look at implied tax rates
by Dymits, Lee & Murray, Michael L.
- 143-144 A multiple discriminant analysis of BHC commercial paper ratings
by Murphy, James M. & Rappaport, Allen
- 145-146 A multiple discriminant analysis of BHC commercial paper ratings : A reply
by Peavy, John III & Michael Edgar, S.
- 147-156 A note on interest on required reserves as an instrument of monetary control
by Van Hoose, David D.
- 157-161 Option pricing : Robert Jarrow and Andrew Rudd, (Irwin, Homewood, IL, 1983) pp. xxii + 235, $25.00
by Lord, Richard
- 161-163 Thrifts in crisis: Structural transformation of the savings and loan industry : Fredriick E. Balderston, (Bellinger, Cambridge, MA, 1985) pp. 191, $29.95
by Duett, Edwin H.
- 164-164 Trade policy issues and developments : Shailendra J. Anjaria, Naheed Kirmani and Arne B. Petersen, IMF Occasional Paper No. 38 (International Monetary Fund, Washington, DC, 1985) pp. 161
by Cerbaf
- 164-165 Euronotes : Lloyd Bankson and Michael Lee, eds., (Euromoney Publications, London, 1985) pp. 183
by Cerbaf
- 165-166 German bond markets : Uta Kempf, (Euromoney Publications, London, 1985) pp. 178
by Cerbaf
December 1985, Volume 9, Issue 4
- 477-490 Portfolio separation for stockholder owned depository financial intermediaries
by Sealey, C. Jr.
- 491-498 Expected inflation and the real rate of interest : A Note
by Day, Theodore E.
- 499-515 On the precautionary demand for assets
by Sprenkle, Case M.
- 517-534 On syndicate sharing rules for unanimous project rankings
by Gandhi, Devinder K. & Hausmann, Robert Jr. & Saunders, Anthony
- 535-552 Commercial bank refinancing and economic stability : An analysis of european features
by Langohr, Herwig & Santomero, Anthony M.
- 553-560 New evidence on beta stationarity and forecast for belgian common stocks
by Hawawini, Gabriel A. & Michel, Pierre A. & Corhay, Albert
- 561-575 The behavior of stock prices on LDC markets
by Errunza, Vihang R. & Losq, Etienne
- 577-580 The dynamic behavior of business loans and the prime rate : A comment
by Angeloni, Ignazio
- 581-584 The dynamic behavior of business loans and the prime rate : Reply
by Kling, John L.
- 585-595 A note on deposit rate deregulation, Super NOWs, and bank security returns
by Fraser, Donald R. & Richards, R. Malcolm & Fosberg, Richard H.
- 597-600 The Saudi financial system/in the context of Western and Islamic finance : Adnan M. Abdeen and Dale N. Shook, (John Wiley & Sons, 1984) pp. 287, $34.95
by Abghari, Mohammad Hosein
- 600-603 Bond portfolio immunization : Michael R. Granito, (Lexington Books, Lexington, MA, 1984) pp. 245, $25.00
by Robinson, R. M.
- 603-605 Banking and electronic fund transfers : J.R.S. Revell, (OECD, Paris, 1983) pp. 190
by Cerbaf
September 1985, Volume 9, Issue 3
- 351-362 The characteristics of takeover targets and other measures
by Hasbrouck, Joel
- 363-385 Differential taxation and the equilibrium structure of interest rates
by Torous, Walter N.
- 387-399 Ex post stockholder unanimity : A Complete and Simplified Treatment
by Ohlson, James A.
- 401-419 The theory of collateral
by Plaut, Steven E.
- 421-442 The dynamic behavior of business loans and the prime rate
by Kling, John L.
- 443-460 Adjusting for the intervalling effect bias in beta : A Test using Paris Bourse Data
by Fung, William K. H. & Schwartz, Robert A. & Whitcomb, David K.
- 461-461 Financial market trends, no. 27, special feature on `The obstacles to international exchanges of banking services' : Organization for Economic Cooperation and Development, (OECD, Paris, 1984) pp. 201
by Cerbaf
- 461-461 Financial market trends, no. 28, special feature on `The impact of the new financial instruments and intermediation techniques on financial market' : Organization for Economic Cooperation and Development, (OECD, Paris, 1984) pp. 148
by Cerbaf
- 463-463 Financial market trends no. 29, special feature on `Banking and monetary policy' : Organization for Economic Cooperation and Development, (OECD, Paris, 1984) pp. 251
by Cerbaf
- 463-463 Financial market trends no. 30, special feature on `Recent trends in the international financial situation of eastern Europe' : Organization for Economic Cooperation and Development, (OECD, Paris, 1985) pp. 176
by Cerbaf
- 463-464 Costs and margins in banking, statistical 1, Supplement978-1982 : J.R.S. Revell, (OECD, Paris, 1985) pp. 111
by Cerbaf
- 464-465 Emerging securities market: Investment banking opportunities in the developing world : Antoine W. van Agtamael, (Euromoney Publications, London, 1984) pp. 308
by Cerbaf
- 465-466 The wardley guide to world money and securities markets : Lynette J. Kemp, (Euromoney Publications, London, 1984) pp. 472
by Cerbaf
- 466-468 Sovereign lending: Managing legal risk : Michael Gruson and R. Reisner, eds., (Euromoney Publications, London, 1984) pp. 257
by Cerbaf
- 468-469 Banking on the act of state: International lending and the act of state doctrine : Carsten-Thomas Ebenroth, (Universitatsverlag Konstanz, Konstanz, 1985) pp. 116
by Cerbaf
- 469-469 Italian credit structures: Efficiency, competition and controls : Banca d'Italia, (Euromoney Publications, London, 1984) pp. 280
by Szego, Giorgio
- 469-472 Portfolio theory with application to bank asset management : Giorgio P. Szego, (Academic Press, New York, 1980) pp. 215
by Jahera, John Jr.
- 472-472 Costs and margins in banking : J.R.S. Revell, (OECD, Paris, 1980) pp. 307
by Cerbaf
June 1985, Volume 9, Issue 2
- 177-191 Branching, scale economies, and banking costs
by Nelson, Richard W.
- 193-205 Asymmetric information and a theory of compensating balances
by Sealey, C. Jr. & Heinkel, Robert
- 207-219 The early exercise of American puts
by Geske, Robert & Shastri, Kuldeep
- 221-231 Optimal hedging of uncertain and long-term foreign exchange exposure
by Eaker, Mark R. & Grant, Dwight
- 233-251 The effect of stock-for-debt swaps on bank holding companies
by Scott, Jonathan A. & Hempel, George H. & Peavy, John III
- 253-266 A factor-analytic approach to bank condition
by West, Robert Craig
- 267-273 Performance measurement of early warning models : Comments on west and other weakness/failure prediction models
by Korobow, Leon & Stuhr, David
- 275-288 Direct price controls as a source of instability in the interest rate/inflation rate relationship
by Granziol, Markus J.
- 289-295 A Clower constraint model of unbacked money
by Bryant, John
- 297-315 Bank branch operating efficiency : Evaluation with Data Envelopment Analysis
by Sherman, H. David & Gold, Franklin
- 317-321 A note on factor analysis and arbitrage pricing theory
by Raveh, Adi
- 323-331 A note on managing deposit flows with cash and futures market decisions
by Koppenhaver, G. D.
- 333-333 International capital markets: Developments and prospects 1984 : Maxwell Watson, Peter Keller and Donald Mathieson, occasional paper no. 31 (IMF, Washington, DC, 1984) pp. 112
by Cerbaf
- 333-333 The exchange rate system : John Williamson, study no. 4, Institute for International Economics, Washington, DC (MIT Press, Cambridge, MA, 1983) pp. 85
by Cerbaf
- 336-336 Issues in the assessment of the exchange rates of industrial countries : International Monetary Fund, occasional paper no. 29 (IMF, Washington, DC, 1984) pp. 30
by Cerbaf
- 336-337 Exchange rate volatility and world trade : International Monetary Fund, occasional paper no. 28 (IMF, Washington, DC, 1984) pp. 62
by Cerbaf
- 338-338 The exchange rate system: Lessons of the past and options for the future : International Monetary Fund, occasional paper no. 30 (IMF, Washington, DC, 1984) pp. 64
by Cerbaf
- 339-340 International debt and the stability of the world economy : William R. Cline, study no. 5, Institute for International Economics, Washington, DC (MIT Press, Cambridge, MA, 1983) pp. 134
by Cerbaf
- 341-342 International debt banks and the LDCs : American Express International Banking Corporation, The Amex Bank review special paper no. 10 (AEIBC, London, 1984) pp. 222
by Cerbaf
- 342-343 International financial law: Lending, capital transfers and institutions : Robert S. Rendell, ed., second ed. (Euromoney Publications, London, 1983) vol. 1, pp. 200; vol. 2, pp. 287
by Cerbaf
- 343-343 Default and rescheduling: Corporate and sovereign borrowers : David Suratgar, ed., (Euromoney Publications, London, 1984) pp. 163
by Cerbaf
- 343-344 Country risk : Pancras J. Nagy, (Euromoney Publications, London, 1984) pp. 195
by Cerbaf
- 344-345 The Mexican rescue : Joseph Kraft, (Group of Thirty, New York, 1984) pp. 66
by Cerbaf
March 1985, Volume 9, Issue 1
- 5-34 Equilibrium traits of durable commodity money
by Taub, Bart
- 35-54 Using linear and goal programming to immunize bond portfolios
by Alexander, Gordon J. & Resnick, Bruce G.
- 55-72 The behavior of intra-daily exchange rates
by Wasserfallen, Walter & Zimmermann, Heinz
- 73-99 An empirical examination of the implications of arbitrage pricing theory
by Dhrymes, Phoebus J. & Friend, Irwin & Gultekin, N. Bulent & Gultekin, Mustafa N.
- 101-113 An empirical investigation of the EOE gold options market
by Ball, Clifford A. & Torous, Walter N. & Tschoegl, Adrian E.
- 115-136 A time series/cross section analysis of the determinants of Australian trading bank loan/deposit interest margins: 1962-1981
by McShane, R. W. & Sharpe, I. G.
- 137-156 Interest-risk sensitive deposit insurance premia : Stable ACH estimates
by McCulloch, J. Huston
- 157-165 Cyclical variability of bond risk premia : A note
by Gehrlein, William V. & McInish, Thomas H.
- 170-170 Guide to computer-assisted investment analysis : W.B. Riley, Jr. and A.H. Montgomery, Jr., [McGraw-Hill, New York, 1982 (Finance Guide Series)]
by Cerbaf
- 171-171 Option pricing: Theory and applications : M. Brenner, ed., (Lexington Books, Lexington, MA, 1983)
by Cerbaf
- 171-172 The political economy of monetary policy: National and international aspects : Donald R. Hodgman, ed., Proceedings of a conference held in Perugia, Italy in July 1983 (Conference series, no. 26, Federal Reserve Bank of Boston, Boston, MA, 1983) pp. 358
by Cerbaf
- 172-173 The fund, commercial banks, and member countries : Paul Mentre, (Occasional paper, no. 26, IMF, Washington, DC, 1984)
by Cerbaf
June 1984, Volume 8, Issue 2
- 151-151 Introduction: Company and country risk models
by Altman, Edward I.
- 153-169 Applying portfolio theory to global bank lending
by Bennett, Paul
- 171-198 The success of business failure prediction models : An international survey
by Altman, Edward I.
- 199-227 Empirical models for the monitoring of UK corporations
by Taffler, Richard J.
- 229-247 Corporate bankruptcy prediction in Japan
by Takahashi, Kichinosuke & Kurokawa, Yukiharu & Watase, Kazunori
- 249-268 The prognosis and surveillance of risks from commercial credit borrowers
by von Stein, Johann Heinrich & Ziegler, Werner
- 269-279 Identifying unsound firms in Italy : An attempt to use trend variables
by Appetiti, Sandro
- 281-291 Analysis of business failures in France
by Micha, Bernard
- 293-302 The use of a bankruptcy forecasting model to analyze corporate behavior in Israel
by Tamari, Meir
- 303-320 Corporate distress in Australia
by Izan, H. Y.
- 321-340 An empirical study of the usefulness of accounting ratios to describe levels of insolvency risk
by Lincoln, Mervyn
- 341-356 A survey of the quantitative approaches to country risk analysis
by Saini, Krishan G. & Bates, Philip S.
- 357-370 Early warning of debt rescheduling
by Schmidt, Reinhart
- 371-374 Ronald L. Schillereff, multibank holding company performance : UMI Research Press, Ann Arbor, MI, 1982 pp. 110
by Cooper, Kerry
- 374-375 Henry Louberge, economie et Finance de l'Assurance et de la Reassurance : Dalioz, Paris, 1981
by Coppini, M. A.
- 376-379 Joseph F. Sinkey Jr., commercial bank financial management : Macmillan, New York, and Collier Macmillan, London, 1983
by McKinney, George Jr.
- 379-380 R.M. Pecchioli, The internationalisation of banking: The policy issues : OCDE, Paris, 1983 pp. 219
by Cerbaf
- 380-383 M. Desmond Fitzgerald, financial futures : Euromoney Publications London, 1983 pp. 202
by Cerbaf
- 383-386 Robert P. McDonald, international syndicated loans : Euromoney Publications, London, 1982 pp. 264
by Cerbaf
- 386-387 Michael T. Skully, ed., financial institutions and markets in the far east : St. Martin's Press, New York, 1982 pp. xiii + 220
by Chiong, Winston R.
December 1983, Volume 7, Issue 4
- 447-451 Introduction
by Orgler, Yair E.
- 453-463 The role of banks in the international financial system
by Teeters, Nancy
- 465-466 The role of banks in the international financial system : by Nancy Teeters
by Melnik, Arie
- 467-480 Liquidity, credit creation and international banking : An econometric investigation
by McKenzie, George & Thomas, Stephen
- 481-482 Liquidity, credit creation and international banking: An econometric investigation : by George McKenzie and Stephen Thomas
by Pindyck, Robert S.
- 483-495 International lending and income redistribution : An alternative view of country risk
by Agmon, Tamir & Deitrich, J. Kimball
- 497-518 The role of international banking in the `oil surplus' adjustment process
by Szego, Giorgio P.
- 519-520 The role of international banking in the `oil surplus' adjustment process : by Giorgio P. Szego
by Sheffer, Eliezer
- 521-536 North-South : The implications for multinational banking
by Lessard, Donald
- 537-551 Financial innovation, multinational banking, and monetary policy
by Niehans, Jurg
- 553-558 Bank lending to third world countries in the 1980's
by Greene, James
- 559-560 Bank lending to third world countries in the 1980's : by James Greene
by Messer, Oded
- 561-565 U.S. financial deregulation : Upheaval and promise
by Torell, John III
- 567-568 U.S. financial deregulation: Upheaval and promise : by John R. Torell
by Sassoon, David M.
- 569-580 U.S. banking regulations and foreign banks' entry into the United States
by Walker, David A.
- 581-582 U.S. banking regulations and foreign banks' entry into the United States : by David A. Walker
by Goldschmidt, A.
- 583-595 International banks as leaders or followers of international business : An historical perspective
by Kindleberger, Charles P.
- 597-609 Protectionism and international banking : Sectorial efficiency, competitive structure and National policy
by Walter, Ingo & Gray, H. Peter
- 611-614 Protectionism and international banking: Sectoral efficiency, competitive structure and National policy : by Ingo Walter and H. Peter Gray
by Heth, Meir
- 615-621 The effects of political, economic and institutional development on international banks
by Heimann, John G.
- 623-624 The effects of political, economic and institutional developments on International banks : by John G. Heimann
by Flanders, M. June
- 625-637 The effects of the current turbulent times on American multinational banking : An overview
by Zecher, J. Richard
- 639-639 The effects of the current turbulent times on American multinational banking: An overview : by J. Richard Zecher
by Wei, Jakob
- 641-642 Closing address
by Meir, Aharon
September 1983, Volume 7, Issue 3
- 307-322 Compensating balances, deficiency fees, and lines of credit
by Lam, Chun H. & Boudreaux, Kenneth J.
- 323-337 Pricing of optional bonds
by Galai, Dan
- 339-354 Portfolio management of islamic banks : `Certainty model'
by Bashir, B. A.
- 355-382 Interbank : A bank management simulation exercise
by Galitz, Lawrence C.
- 383-404 Monetary policy under alternative bank market structures
by VanHoose, David D.
- 405-416 Credit rationing and non-price loan terms : A re-examination
by Koskela, Erkki
- 417-426 The performance of U.K. investment trusts as internationally diversified portfolios over the period 1968 to 1977
by Woodward, R. S.
- 427-437 Concentration of world banking and the role of U.S. banks among the 100 largest, 1956-1980
by Rhoades, Stephen A.
June 1983, Volume 7, Issue 2
- 161-173 A multiple discriminant analysis of BHC commercial paper ratings
by Peavy, John III & Michael Edgar, S.
- 175-188 Valuation of controlling shares in closely held banks
by Meeker, Larry G. & Maurice Joy, O. & Cogger, Kenneth O.
- 189-196 `Managerialism', `ownerism' and risk
by Amihud, Yakov & Kamin, Jacob Y. & Ronen, Joshua
- 197-212 Operating leverage, financial leverage, and equity risk
by Huffman, Lucy
- 213-230 Bank acquisition of non-bank firms An empirical analysis of administrative decisions
by Swary, Itzhak
- 231-252 Optimum consumption and portfolio rules with money as an asset
by Poncet, Patrice
- 253-272 Departures from interest rate parity further evidence
by Browne, F. X.
- 273-284 On the nature of credit demand and credit rationing in competitive credit markets
by Hansen, Robert S. & Thatcher, John G.
- 285-287 The demand for and supply of deposits by credit unions : The Caisses populaires' case correction and comment
by Smith, Donald J.
- 289-293 The demand for and supply of deposits by credit unions : The Caisses Populaires' case reply and comments
by Chateau, John-Peter D.
- 295-303 A comparison of the APT and CAPM a note
by Jarrow, Robert & Rudd, Andrew
March 1983, Volume 7, Issue 1
- 5-16 Testing the CAPM with broader market indexes : A problem of mean-deficiency
by Stambaugh, Robert F.
- 17-29 An empirical test of the efficiency of the ADR market
by Rosenthal, Leonard
- 31-44 The pricing of capital assets in a multiperiod world
by Blume, Marshall E.
- 45-67 Optimal capital structure : A multi-period programming model for use in financial planning
by Brick, Ivan E. & Mellon, W. G. & Surkis, Julius & Mohl, Murray
- 69-82 Nominal contracting in a world of uncertainty
by Shapiro, Alan C.
- 83-99 Correspondent services and cost economies in commercial banking
by Flannery, Mark J.
- 101-109 A note on reserve requirements and monetary control with a flexible deposit rate
by Froyen, Richard T. & Kopecky, Kenneth J.
- 111-118 Natural hazards and deposit behavior at financial institutions : A note
by Steindl, Frank G. & Weinrobe, Maurice D.
- 119-133 Reorganization in bankruptcy and the issue of strategic risk
by Aivazian, Varouj A. & Callen, Jeffrey L.
- 135-146 A simple examination of the empirical relationship between dividend yields and deviations from the CAPM
by Elton, Edwin & Gruber, Martin & Rentzler, Joel
- 147-152 Financial institutions, markets, and economic activity : Tim Campbell, (McGraw-Hill Book Company, New York, 1982)
by Morgan, George Emir
- 152-154 Options as a strategic investment : Lawrence G. McMillan, (New York Institute of Finance, New York, 1980)
by Martell, Terrence F.
- 155-156 Money and banking: analysis and policy in the Nigerian context : Simeon I. Ajayi and Oladeji O. Ojo, (George Allen and Unwin, London, 1981) pp. 274
by Umoh, Peter N.
September 1982, Volume 6, Issue 3
June 1982, Volume 6, Issue 2
- 145-159 Implied tax rates and the valuation of discount bonds
by Van Horne, James C.
- 161-178 The pricing of risky assets on the Belgian stock market
by Hawawini, Gabriel A. & Michel, Pierre A.
- 179-193 The NOW account experiment and the demand for money
by Frodin, Joanna H. & Startz, Richard
- 195-213 Correspondent balances, services, and the money supply
by Meinster, David R. & Severn, Alan K.
- 215-231 Money illusion, distribution effects and the household and business demands for money
by Katsimbris, George M. & Miller, Stephen M.
- 233-254 Pricing, operating efficiency, and profitability among large commercial banks
by Kwast, Myron L. & Rose, John T.
- 255-262 Comparing bank concentration across countries
by Honohan, Patrick & Kinsella, R. P.
- 263-275 Generalized separation of the portfolio decision process under uncertain inflation and asset pricing implications
by Senbet, Lemma W.
- 277-296 The pricing of the prime rate
by Goldberg, Michael A.
- 297-304 Alternative approaches to the theory of the banking firm : A note
by Langohr, Herwig
- 305-307 Principles of corporate finance : Richard Brealey and Stewart Myers, (Mcgraw-Hill Book Company, New York, 1981) pp. xxii + 794
by Miles, James A.
- 308-309 Investments: Analysis and Management : Jack Clark Francis, Third Edition, (McGraw-Hill Book Company, New York, 1980), pp. xviii+779
by Jordan, James V.
- 309-312 Risk and capital adequacy in commercial banks : Sherman J. Maisel, ed., (The University of Chicago Press, Chicago, IL, 1981) pp. 436, $42.00
by Sinkey, Joseph Jr.
March 1982, Volume 6, Issue 1