Contact information of Elsevier
Serial Information
Download restrictions: Full text for ScienceDirect subscribers only
Editor: Elu von Thadden
The email address of this editor does not seem to be valid any more. Please ask Elu von Thadden to have the entry updated or send us the correct address.
Additional information is available for the following registered editor(s):
Anjan V. Thakor , Ernst-Ludwig von Thadden .
Series handle: RePEc:eee:jfinin
ISSN: 1042-9573
Citations RSS feed: at CitEc
Impact factors
Access and download statisticsTop item:
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:jfinin. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/inca/622875 .
Content
January 2003, Volume 12, Issue 1
October 2002, Volume 11, Issue 4
- 351-352 In Memoriam
by Smith, Bruce D.
- 353-353 Foreword
by Thakor, Anjan V.
- 354-361 Financial Infrastructure in Emerging Economies
by Moskow, Michael
- 362-365 Banking in Emerging Markets
by Bolton, Patrick
- 366-397 Banks as Catalysts for Industrialization
by Da Rin, Marco & Hellmann, Thomas
- 398-428 Bank-Based or Market-Based Financial Systems: Which Is Better?
by Levine, Ross
- 429-454 Financial Architecture and Economic Performance: International Evidence
by Tadesse, Solomon
- 455-485 The Costs, Wealth Effects, and Determinants of International Capital Raising: Evidence from Public Yankee Bonds
by Miller, Darius P. & Puthenpurackal, John J.
July 2002, Volume 11, Issue 3
- 232-268 Monetary Policy and Government Credit Programs
by Espinosa-Vega, Marco A. & Smith, Bruce D. & Yip, Chong K.
- 269-296 Information-Based Trading in the Treasury Note Interdealer Broker Market
by Huang, Roger D. & Cai, Jun & Wang, Xiaozu
- 297-319 The Economics of Stock Exchange Listing Fees and Listing Requirements
by Macey, Jonathan R. & O'Hara, Maureen
- 320-343 Deregulation, Correspondent Banking, and the Role of the Federal Reserve
by McAndrews, James J. & Strahan, Philip E.
April 2002, Volume 11, Issue 2
January 2002, Volume 11, Issue 1
- 1-1 Foreword
by Thakor, Anjan V.
- 2-8 New Technologies, Financial Innovation, and Intermediation
by Chemmanur, Thomas J. & Wilhelm, William Jr.
- 9-36 IPO Auctions: English, Dutch, ... French, and Internet
by Biais, Bruno & Faugeron-Crouzet, Anne Marie
- 37-60 Implications of a Reduction in Tick Size on Short-Sell Order Execution
by Alexander, Gordon J. & Peterson, Mark A.
- 61-86 Information Externalities and the Role of Underwriters in Primary Equity Markets
by Benveniste, Lawrence M. & Busaba, Walid Y. & Wilhelm, William Jr.
- 87-121 A Model of Competition in Banking: Bank Capital vs Expertise
by Almazan, Andres
July 2001, Volume 10, Issue 3-4
- 209-248 Who Disciplines Management in Poorly Performing Companies?
by Franks, Julian & Mayer, Colin & Renneboog, Luc
- 249-270 The Anatomy of a Call Market
by Kehr, Carl-Heinrich & Krahnen, Jan P. & Theissen, Erik
- 276-305 Choice of Financing Source in International Debt Markets
by Esho, Neil & Lam, Yung & Sharpe, Ian G.
- 306-330 Effects of Asset Securitization on Seller Claimants
by Thomas, Hugh
April 2001, Volume 10, Issue 2
January 2001, Volume 10, Issue 1
October 2000, Volume 9, Issue 4
- 321-321 JFI Most Significant Paper Prize for Volume 8
by Thakor, Anjan V.
- 323-362 Conglomeration versus Strategic Focus: Evidence from the Insurance Industry
by Berger, Allen N. & Cummins, J. David & Weiss, Mary A. & Zi, Hongmin
- 363-403 Asymmetric Information and News Disclosure Rules
by Spiegel, Matthew & Subrahmanyam, Avanidhar
- 404-426 Syndicated Loans
by Dennis, Steven A. & Mullineaux, Donald J.
- 427-453 Debt Structure Adjustments and Long-Run Stock Price Performance
by Datta, Sudip & Iskandar-Datta, Mai & Raman, Kartik
- 454-457 2000 Journal of Financial Intermediation Symposium: New Technologies, Financial Innovation, and Intermediation: Presented by Financial Service Research Center & The Wallace E. Carroll School of Management at Boston College
by Chemmanur, Thomas J. & Wilhelm, William Jr.
July 2000, Volume 9, Issue 3
- 213-239 Tick Size, Spreads, and Liquidity: An Analysis of Nasdaq Securities Trading near Ten Dollars
by Bessembinder, Hendrik
- 240-273 Market Discipline and Incentive Problems in Conglomerate Firms with Applications to Banking
by Boot, Arnoud W. A. & Schmeits, Anjolein
- 274-297 The Design of Private Reinsurance Contracts
by Jean-Baptiste, Eslyn L. & Santomero, Anthony M.
- 298-319 The Market Reaction to the Disclosure of Supervisory Actions: Implications for Bank Transparency
by Jordan, John S. & Peek, Joe & Rosengren, Eric S.
April 2000, Volume 9, Issue 2
- 111-111 Foreword
by Thakor, Anjan V.
- 113-116 The Interactions of Law, Finance, and Markets
by Macey, Jonathon H. & O'Hara, Maureen
- 117-148 Business Groups, Bank Control, and Large Shareholders: An Analysis of German Takeovers
by Boehmer, Ekkehart
- 149-168 Bias of Damage Awards and Free Options in Securities Litigation
by Dybvig, Philip H. & Gong, Ning & Schwartz, Rachel
- 169-183 Incomplete Financial Contracts and Non-contractual Legal Rules: The Case of Debt Capacity and Fraudulent Conveyance Law
by Heaton, J. B.
- 184-212 Indicating Ahead: Best Execution and the NASDAQ Preopening
by Ciccotello, Conrad S. & Hatheway, Frank M.
January 2000, Volume 9, Issue 1
October 1999, Volume 8, Issue 4
- 241-269 Optimal Incentive Contracts When Agents Can Save, Borrow, and Default
by Bizer, David S. & DeMarzo, Peter M.
- 270-316 The Use of Debt and Equity in Optimal Financial Contracts
by Boyd, John H. & Smith, Bruce D.
- 317-352 The Impact of Capital-Based Regulation on Bank Risk-Taking
by Calem, Paul & Rob, Rafael
- 353-377 A General Equilibrium Analysis of Check Float
by McAndrews, James & Roberds, William
July 1999, Volume 8, Issue 3
- 121-121 JFI Most Significant Paper Prize for Volume 7
by Thakor, Anjan V.
- 123-140 Execution Costs of Institutional Equity Orders
by Jones, Charles M. & Lipson, Marc L.
- 141-173 Minimum Price Variations, Time Priority, and Quote Dynamics
by Cordella, Tito & Foucault, Thierry
- 174-204 Disentangling Value: Financing Needs, Firm Scope, and Divestitures
by Nanda, Vikram & Narayanan, M. P.
- 205-231 Asymmetric Information, Corporate Myopia, and Capital Gains Tax Rates: An Analysis of Policy Prescriptions
by Chemmanur, Thomas J. & Ravid, S. Abraham
January 1999, Volume 8, Issue 1-2
- 1-1 Foreword
by Thakor, Anjan V.
- 5-7 GUEST EDITOR'S INTRODUCTION: The Design of Financial Systems and Markets
by Allen, Franklin
- 8-35 Law, Finance, and Economic Growth
by Levine, Ross
- 36-67 Disintermediation and the Role of Banks in Europe: An International Comparison
by Schmidt, Reinhard H. & Hackethal, Andreas & Tyrell, Marcel
- 68-89 Diversity of Opinion and Financing of New Technologies
by Allen, Franklin & Gale, Douglas
- 90-116 Short Selling on the New York Stock Exchange and the Effects of the Uptick Rule
by Alexander, Gordon J. & Peterson, Mark A.
October 1998, Volume 7, Issue 4
- 331-337 A Brief Retrospective and Prospective Look atThe Journal of Financial Intermediation: 1990-1998
by Thakor, Anjan V.
- 338-358 Order Flow Distribution, Bid-Ask Spreads, and Liquidity Costs: Merrill Lynch's Decision to Cease Routinely Routing Orders to Regional Stock Exchanges
by Battalio, Robert & Greene, Jason & Jennings, Robert
- 359-392 The Winner's Curse in Banking
by Shaffer, Sherrill
- 393-417 The Role of Tick Size in Upstairs Trading and Downstairs Trading
by Griffiths, Mark D. & Smith, Brian F. & Turnbull, D. Alasdair S. & White, Robert W.
July 1998, Volume 7, Issue 3
April 1998, Volume 7, Issue 2
January 1998, Volume 7, Issue 1
- 3-31 Contagion and Efficiency in Gross and Net Interbank Payment Systems
by Freixas, Xavier & Parigi, Bruno
- 32-59 Agency Problems, Information Asymmetries, and Convertible Debt Security Design
by Lewis, Craig M. & Rogalski, Richard J. & Seward, James K.
- 60-90 The Choice between Firm-Commitment and Best-Efforts Offering Methods in IPOs: The Effect of Unsuccessful Offers
by Dunbar, Craig G.
- 91-118 Liquidity Creation, Efficiency, and Free Banking
by Gersbachd, Hans
October 1997, Volume 6, Issue 4
July 1997, Volume 6, Issue 3
April 1997, Volume 6, Issue 2
January 1997, Volume 6, Issue 1
- 1-1 Foreword
by Thakor, Anjan V.
- 3-38 Price, Financial Quality, and Capital Flows in Insurance Markets
by Cummins, J. David & Danzon, Patricia M.
- 39-63 Reputation and Financial Intermediation: An Empirical Investigation of the Impact of IPO Mispricing on Underwriter Market Value
by Nanda, Vikram & Yun, Youngkeol
- 64-86 Thin Markets, Asymmetric Information, and Mortgage-Backed Securities
by Glaeser, Edward L. & Kallal, Hedi D.
October 1996, Volume 5, Issue 4
- 339-339 Foreword
by Thakor, Anjan V.
- 340-371 A Model of Trading Volume with Tax-Induced Heterogeneous Valuation and Transaction Costs
by Michaely, Roni & Vila, Jean-Luc & Wang, Jiang
- 372-408 Optimal Incorporation, Structure of Debt Contracts, and Limited-Recourse Project Financing
by Chemmanur, Thomas J. & John, Kose
- 409-423 Contagious Bank Runs: Evidence from the 1929-1933 Period
by Saunders, Anthony & Wilson, Berry
July 1996, Volume 5, Issue 3
April 1996, Volume 5, Issue 2
- 95-126 Pricing Errors at the NYSE Open and Close: Evidence from Internationally Cross-Listed Stocks
by Forster, Margaret M. & George, Thomas J.
- 127-159 The Marketing of Closed-end Fund IPOs: Evidence from Transactions Data
by Handley, Kathleen Weiss & Lee, Charles M. C. & Seguin, Paul L.
- 160-183 The Regulation of Bank Capital: Do Capital Standards Promote Bank Safety?
by Besanko, David & Kanatas, George
- 184-216 Competition for Deposits, Fragility, and Insurance
by Matutes, Carmen & Vives, Xavier
January 1996, Volume 5, Issue 1
- 2-22 Tick Size, Spread, and Volume
by Ahn, Hee-Joon & Cao, Charles Q. & Choe, Hyuk
- 23-48 The Performance and Market Impact of Dual Trading: CME Rule 552
by Chang, Eric C. & Loche, Peter R.
- 49-73 The Optimal Regulation of Insider Trading
by Shin, Jhinyoung
- 74-93 Reinsurance, Taxes, and Efficiency: A Contingent Claims Model of Insurance Market Equilibrium
by Garven, James R. & Louberge, Henri
October 1995, Volume 4, Issue 4
July 1995, Volume 4, Issue 3
April 1995, Volume 4, Issue 2
January 1995, Volume 4, Issue 1
September 1994, Volume 3, Issue 4
June 1994, Volume 3, Issue 3
March 1994, Volume 3, Issue 2
October 1993, Volume 3, Issue 1
December 1992, Volume 2, Issue 4
- 347-375 Adverse selection, contract design, and investment distortion
by Noe, Thomas H. & Rebello, Michael J.
- 376-400 Optimal capital structure for a hierarchical firm
by Garvey, Gerald & Swan, Peter L.
- 401-421 Borrower mobility, self-selection, and the relative prices of fixed- and adjustable-rate mortgages
by Brueckner, Jan K.
- 422-448 Security brokerage markets under price uncertainty
by Wu, Chunchi & Colwell, Peter F.
September 1992, Volume 2, Issue 3
- 237-254 Debt and warrants: Agency problems and mechanism design
by Chiesa, Gabriella
- 255-276 An incentive-based theory of bank regulation
by Campbell, Tim S. & Chan, Yuk-Shee & Marino, Anthony M.
- 277-307 Dutch auction versus fixed-price self-tender offers for common stock
by Kamma, Sreenivas & Kanatas, George & Raymar, Steven
- 308-345 Risk, managerial effort, and project choice
by Hirshleifer, David & Suh, Yoon
June 1992, Volume 2, Issue 2
March 1992, Volume 2, Issue 1
December 1991, Volume 1, Issue 4
June 1991, Volume 1, Issue 3
June 1990, Volume 1, Issue 2
March 1990, Volume 1, Issue 1
- 1-2 Foreword
by Greenbaum, Stuart I.
- 3-30 The market for information and the origin of financial intermediation
by Allen, Franklin
- 31-56 Incentive compatible financial contracts, asset prices, and the value of control
by Lacker, Jeffrey M. & Levy, Robert J. & Weinberg, John A.
- 57-79 Managerial incentives in an entrepreneurial stock market model
by Kihlstrom, Richard E. & Matthews, Steven A.
- 80-103 Liquidity without money: A General equilibrium model of market microstructure
by Peck, James