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Content
2025, Volume 78, Issue C
- S1572308925000191 Macroprudential policy and systemic risk: The role of corporate and household credit booms
by Karlström, Peter
- S1572308925000208 Suspensions of payments and their consequences
by Chen, Qian & Koch, Christoffer & Richardson, Gary & Sharma, Padma
- S1572308925000245 Bank recovery and resolution planning, liquidity management and fragility
by Deidda, Luca G. & Panetti, Ettore
- S1572308925000257 Determinants of global loan pricing: Creditor rights or country size?
by Delis, Manthos D. & Iosifidi, Maria
- S1572308925000324 The origin of financial instability and systemic risk: Do bank business models matter?
by Ayadi, Rym & Bongini, Paola & Casu, Barbara & Cucinelli, Doriana
- S1572308925000336 Regional bank failures and volatility transmission
by Lastrapes, William D. & Wiesen, Thomas F.P.
- S1572308925000348 CFO social networks and corporation taxation
by Fang, Ming & Wu, Qiang & Xu, Xin (Emma) & Zhou, Zejiang
- S1572308925000361 The impact of country- and firm-level governance on capital allocation efficiency: New evidence from India
by Yadav, Akash Singh & Yadav, Inder Sekhar
- S1572308925000373 Geopolitical risk and corporate maturity mismatch
by Wang, Man & Wang, Xueting
- S1572308925000385 Central banks’ financial stability orientation and bank risk-taking
by Mariana, Christy Dwita & Raz, Arisyi F.
- S1572308925000397 Board gender diversity at target firms and acquisition decisions of gender diverse bidders
by Gunasekarage, Abeyratna & Minnick, Kristina & Shams, Syed
- S1572308925000403 The paradox of macroprudential policy and sovereign risk
by Afonso, António & Teixeira, André
- S1572308925000415 Dating housing booms fueled by credit: A Markov switching approach
by Cañizares Martínez, Carlos
- S1572308925000427 What drives U.S. corporate private equity? An historical perspective
by Duca, John V. & Sanchez-Colburn, Franklin
- S1572308925000439 Digital currency and banking-sector stability
by Chen, William & Phelan, Gregory
- S1572308925000440 Idiosyncratic contagion between ETFs and stocks: A high dimensional network perspective
by Wang, Yu & Sun, Yiguo
- S1572308925000452 How do EU banks’ funding costs respond to the CRD IV? An assessment based on the banking union directives database
by Krause, Thomas & Sfrappini, Eleonora & Tonzer, Lena & Zgherea, Cristina
- S1572308925000464 Do small bank deposits run more than large ones? Three event studies of contagion and financial inclusion
by Canlas, Dante B. & Ravalo, Johnny Noe E. & Remolona, Eli M.
- S157230892500035X Movable assets as collateral in debt financing and effects on trade credit: Evidence from collateral law reforms
by Li, Xiao & Ng, Jeffrey & Saffar, Walid
2025, Volume 77, Issue C
- S1572308925000130 Organization capital and labor investment efficiency
by Chowdhury, Hasibul & Le, Trinh Hue & Tan, Kelvin Jui Keng
- S1572308925000142 Too big to fail? Asymmetric effects of quantitative easing
by Chen, Hsuan-Chi & Chou, Robin K. & Lin, Chih-Yung & Lu, Chien-Lin
- S1572308925000154 A network approach to interbank contagion risk in South Africa
by Mananga, Pierre Nkou & Lin, Shiqiang & Zhang, Hairui
- S1572308925000166 The ECB’s APP’s impact on non-financial firms’ cost of borrowing and debt choice
by Kanda, Joana F. & Pinto, João M. & Silva, Beatriz P.
- S1572308925000178 Stress testing OTC derivatives: Clearing reforms and market frictions
by Casu, Barbara & Kalotychou, Elena & Katsoulis, Petros
- S1572308925000221 The digital dilemma: Corporate digital transformation and default risk
by Wu, Kai & Lu, Yufei
- S1572308925000233 The performance of FDIC-identified community banks
by Petropoulou, Athina & Pappas, Vasileios & Ongena, Steven & Gounopoulos, Dimitrios & Fairchild, Richard
- S157230892500018X Stock liquidity and corporate climate performance: evidence from China
by Muchenje, Linda Tinofirei
- S157230892500021X Bank diversity and financial contagion
by Caiazzo, Emmanuel & Zazzaro, Alberto
2025, Volume 76, Issue C
- S1572308924001268 Financial subsidies, female employment, and plant performance — Evidence from a quasi-experiment
by García, Raffi E. & López Rago, Ricardo A.
- S1572308924001335 Political governance and firm performance in China: Evidence from a quasi-natural experiment
by Cheng, Lei
- S1572308924001347 Bank lending to fossil fuel firms
by Demetriades, Elias & Politsidis, Panagiotis N.
- S1572308924001359 Unlocking strategic alliances: The role of common institutional blockholders in promoting collaboration and trust
by Chemmanur, Thomas J. & Shen, Yao & Xie, Jing
- S1572308924001360 Lending standards and output growth
by Kirti, Divya
- S1572308924001372 Robust-less-fragile: Tackling systemic risk and financial contagion in a macro agent-based model
by Pallante, Gianluca & Guerini, Mattia & Napoletano, Mauro & Roventini, Andrea
- S1572308924001384 Banks, freedom, and political connections: New evidence from around the world
by Cegłowski, Bartłomiej & Jackowicz, Krzysztof & Kozłowski, Łukasz & Kuchciak, Iwa
- S1572308924001451 Does FinTech Increase Bank Risk-taking?
by Elekdag, Selim & Emrullahu, Drilona & Ben Naceur, Sami
- S1572308924001463 The impact of policy uncertainty on shareholder wealth: Evidence from bank M&A
by Kiosses, Nikolaos & Leventis, Stergios & Subeniotis, Demetres & Tampakoudis, Ioannis
- S1572308924001475 Bubbles, banking and monetary policy
by Shim, Jae Hun
- S1572308924001487 Sectoral credit allocation and systemic risk
by Andrieş, Alin Marius & Ongena, Steven & Sprincean, Nicu
- S1572308924001499 The effect of religiosity on trust and altruism: Evidence from China’s household borrowing
by Jiao, Jie & Yan, An & Yin, Wei
- S1572308924001505 Banking supervisory architecture and sovereign risk
by Cuadros-Solas, Pedro J. & Salvador, Carlos & Suárez, Nuria
- S1572308924001517 Institutional ownership and bank failure
by Elyasiani, Elyas & Jia, Jingyi
- S1572308924001529 Regulatory uncertainty and TARP
by Lin, Yupeng & Liu, Xin & Srinivasan, Anand
- S1572308924001530 Digital transformation and debt financing cost: A threefold risk perspective
by Liu, Ethan Xin & Dang, Lily
- S1572308924001542 Asset class liquidity risk indicators. Timing the risk in the European and US equity and bond markets
by Coppola, Anna & Urga, Giovanni & Varaldo, Alessandro
- S1572308924001554 The flight home effect during the COVID-19 pandemic: Evidence from syndicated loans
by Bampinas, Georgios & Blomkvist, Magnus & Demetriades, Elias & Politsidis, Panagiotis N.
- S1572308924001566 Ancestors and corporate performance: Evidence from the Italian Mass Migration
by Cheng, Mingying & Florio, Erminia & Manfredonia, Stefano
- S1572308925000014 Analyzing and forecasting China's financial resilience: Measurement techniques and identification of key influencing factors
by Chen, Yilin & Sun, Chentong & Zhang, Xu
- S1572308925000026 Do portfolio companies learn from their peers? Evidence from venture capital funding
by Chahine, Salim & Daher, Mai
- S1572308925000038 Does digital transformation enhance bank soundness? Evidence from Chinese commercial banks
by Hu, Haifeng & Wei, Tao & Wang, Aiping
2024, Volume 75, Issue C
- S1572308924001098 Independent directors’ connectedness and bank risk-taking
by Amin, Abu & Mollah, Sabur & Kamal, Syed & Zhao, Yang & Simsek, Rasim
- S1572308924001190 Do repeated government infusions help financial stability? Evidence from an emerging market
by Kalimipalli, Madhu & Morohunfolu, Olaleye & Ramachandran, Shankar
- S1572308924001207 Capital controls in China: A necessity for macroeconomic stability
by Zhou, Cheng
- S1572308924001219 Estimating the impact of supply chain network contagion on financial stability
by Tabachová, Zlata & Diem, Christian & Borsos, András & Burger, Csaba & Thurner, Stefan
- S1572308924001220 A dealer’s funding liquidity risk and its money market trades in the 2007/08 crisis
by Fecht, Falko & Reitz, Stefan & Weber, Patrick
- S1572308924001232 The sale of failed banks: The importance of their branch networks and of the acquirers’ financial strength
by Abedifar, Pejman & Abdollahzadeh, Morteza & Tarazi, Amine & White, Lawrence J.
- S1572308924001244 Estimating systemic risk for non-listed Euro-area banks
by Engle, Robert F. & Emambakhsh, Tina & Manganelli, Simone & Parisi, Laura & Pizzeghello, Riccardo
- S1572308924001256 Macroprudential policy and systemic risk in G20 nations
by Narayan, Shivani & Kumar, Dilip
- S1572308924001281 International transmission of monetary policy shocks and the bank lending channel: Evidence from Australia
by Yahyaei, Hamid & Singh, Abhay & Smith, Tom
- S1572308924001293 The impact of CSR-engagement, board gender, and stock price synchronicity on female analyst stock coverage decisions
by McGuinness, Paul B. & Vieito, João Paulo & Wang, Mingzhu
- S1572308924001311 Irrelevant answers in customers’ earnings communication conferences and suppliers’ cash holdings
by Wang, Xunxiao & Li, Luxi & Bian, Shibo
- S1572308924001323 The spillover effect of constituency statutes along supply chains: Evidence from supplier commitment
by Bao, Dichu & Fang, Ruirui & Su, Lixin (Nancy)
- S157230892400127X Funding deposit insurance
by Oosthuizen, Dick & Zalla, Ryan
- S157230892400130X Does climate risk influence analyst forecast accuracy?
by Kim, Incheol & Lee, Suin & Ryou, Jiwoo
2024, Volume 74, Issue C
- S1572308920300930 The effectiveness of FX interventions: A meta-analysis
by Arango-Lozano, Lucía & Menkhoff, Lukas & Rodríguez-Novoa, Daniela & Villamizar-Villegas, Mauricio
- S1572308920301169 Effectiveness of FX intervention and the flimsiness of exchange rate expectations
by Vargas-Herrera, Hernando & Villamizar-Villegas, Mauricio
- S1572308920301340 The benefits are at the tail: Uncovering the impact of macroprudential policy on growth-at-risk
by Galán, Jorge E.
- S1572308920301364 The leverage ratio, risk-taking and bank stability
by Acosta-Smith, Jonathan & Grill, Michael & Lang, Jan Hannes
- S1572308921000127 Shifts in global credit and corporate access to finance
by Banti, Chiara & Bose, Udichibarna
- S1572308921000449 Market reaction to the expected loss model in banks
by Onali, Enrico & Ginesti, Gianluca & Cardillo, Giovanni & Torluccio, Giuseppe
- S1572308921000516 Bank capital regulation and risk after the Global Financial Crisis
by Anginer, Deniz & Bertay, Ata Can & Cull, Robert & Demirgüç-Kunt, Asli & Mare, Davide S.
- S1572308922000729 Sudden yield reversals and financial intermediation in emerging markets
by Sarmiento, Miguel
- S1572308924000767 Banking and macro risks
by Degryse, Hans & Wagner, Wolf
- S1572308924000779 Bank capital requirements and risk-taking: Evidence from basel III
by Anguren, Rebeca & Jiménez, Gabriel & Peydró, José-Luis
- S1572308924000858 Price exuberance episodes in private real estate
by Cincinelli, Peter & Tsolacos, Sotiris & Urga, Giovanni
- S1572308924000871 Leadership vacuum and corporate investment
by Cheng, Maoyong & Meng, Yu & Jin, Justin & Nainar, S.M. Khalid
- S1572308924000883 Firm-level political risk and stock price crashes
by Makrychoriti, Panagiota & Pyrgiotakis, Emmanouil G.
- S1572308924000986 Bank deregulation and corporate social responsibility
by Liu, Frank Hong & Wu, Qiang & Zhou, Yue
- S1572308924000998 Green-adjusted share prices: A comparison between standard investors and investors with green preferences
by Quaye, Enoch & Tunaru, Diana & Tunaru, Radu
- S1572308924001001 Climate change exposure, financial development, and the cost of debt: Evidence from EU countries
by Trinh, Vu Quang & Trinh, Hai Hong & Li, Teng & Vo, Xuan Vinh
- S1572308924001013 Lobbying and liquidity requirements: Large versus small banks
by Shy, Oz & Stenbacka, Rune
- S1572308924001025 Does being a responsible bank pay off? Evidence from the COVID-19 pandemic
by Kara, Alper & Ongena, Steven & Yildiz, Yilmaz
- S1572308924001037 Employee lawsuits and business downsizing: Evidence from labor unions
by Unsal, Omer
- S1572308924001049 Automatic versus manual investing: Role of past performance
by Kaawach, Said & Kowalewski, Oskar & Talavera, Oleksandr
- S1572308924001050 The effect of collateral on small business rationing of term loans and lines of credit
by Cole, Rebel A. & Cowling, Marc & Liu, Weixi
- S1572308924001062 Policy rules and forward guidance following the Covid-19 recession
by Papell, David H. & Prodan-Boul, Ruxandra
- S1572308924001074 The dynamic effects of debtor bankruptcy on unsecured creditors' stock liquidity
by Nguyen, Dinh Trung & Pham, Thu Phuong & Tran, Ngoc Anh & Zurbruegg, Ralf
- S1572308924001086 Bank runs and media freedom: What you don’t know won’t hurt you?
by Semenova, Maria & Sokolov, Vladimir & Benov, Alexander
- S157230892030142X Sowing the seeds of financial imbalances: The role of macroeconomic performance
by Afanasyeva, Elena & Jerow, Sam & Lee, Seung Jung & Modugno, Michele
- S157230892400086X What charge-off rates are predictable by macroeconomic latent factors?
by Kim, Hyeongwoo & Son, Jisoo
2024, Volume 73, Issue C
- S1572308924000482 Excessive bank risk-taking in an infinite horizon economy
by Pozo, Jorge
- S1572308924000512 Desirable banking competition and stability
by Benchimol, Jonathan & Bozou, Caroline
- S1572308924000548 Accounting for climate transition risk in banks’ capital requirements
by Alessi, Lucia & Di Girolamo, Erica Francesca & Pagano, Andrea & Giudici, Marco Petracco
- S1572308924000573 Structural shifts in bank credit ratings
by Ballis, Antonis & Ioannidis, Christos & Sifodaskalakis, Emmanouil
- S1572308924000585 Too-systemic-to-fail: Empirical comparison of systemic risk measures in the Eurozone financial system
by Armanious, Amir
- S1572308924000652 Opportunities and challenges associated with the development of FinTech and Central Bank Digital Currency
by Claessens, Stijn & Cong, Lin William & Moshirian, Fariborz & Park, Cyn-Young
- S1572308924000664 How do private digital currencies affect government policy?
by Raskin, Max & Saleh, Fahad & Yermack, David
- S1572308924000676 A simple model of a central bank digital currency
by Mishra, Bineet & Prasad, Eswar
- S1572308924000688 The impact of CBDC on a deposit-dependent banking system
by Vollmar, Steffen & Wening, Fabian
- S1572308924000706 Volatile safe-haven asset: Evidence from Bitcoin
by Yae, James & Tian, George Zhe
- S1572308924000718 Decentralization illusion in Decentralized Finance: Evidence from tokenized voting in MakerDAO polls
by Sun, Xiaotong & Stasinakis, Charalampos & Sermpinis, Georgios
- S1572308924000731 Are ICOs the best? A comparison of different fundraising models in blockchain-based fundraising
by Sun, Yan & Yang, Sung-Byung
- S1572308924000743 Climate policy uncertainty and bank systemic risk: A creative destruction perspective
by Liu, Yulin & Wang, Junbo & Wen, Fenghua & Wu, Chunchi
- S1572308924000755 The impact of fintech lending on credit access for U.S. small businesses
by Cornelli, Giulio & Frost, Jon & Gambacorta, Leonardo & Jagtiani, Julapa
- S1572308924000780 Open-economy macroeconomics with financial frictions: A simple model with flexible exchange rates
by Agénor, Pierre-Richard
- S1572308924000792 When banks become pure creditors: The effects of declining shareholding by Japanese banks on bank lending and firms’ risk-taking
by Ono, Arito & Suzuki, Katsushi & Uesugi, Iichiro
- S1572308924000809 Funding liquidity creation by banks
by Thakor, Anjan & Yu, Edison G.
- S1572308924000810 Societal trust and corporate bankruptcy
by Jha, Anand & Oyotode-Adebile, Renee & Raja, Zubair Ali
- S1572308924000822 Comparable but is it informative?Accounting information comparability and price synchronicity
by Liu, Desheng & Wang, Yiqing & Li, Mingsheng
- S1572308924000834 Corporate disclosure behavior during financial crises: Evidence from Korea
by Kim, Yeonghyeon & Lee, Junyong & Lee, Kyounghun & Oh, Frederick Dongchuhl
- S1572308924000846 The role of loan loss provisions in income inequality: Evidence from a sample of banking institutions
by Apergis, Nicholas
- S157230892400069X How do machine learning and non-traditional data affect credit scoring? New evidence from a Chinese fintech firm
by Gambacorta, Leonardo & Huang, Yiping & Qiu, Han & Wang, Jingyi
- S157230892400072X Digital payments and bank competition
by Verdier, Marianne
2024, Volume 72, Issue C
- S1572308924000068 Spillovers in Europe: The role of ESG
by Bax, Karoline & Bonaccolto, Giovanni & Paterlini, Sandra
- S1572308924000202 Sovereign credit spreads, banking fragility, and global factors
by Chari, Anusha & Garcés, Felipe & Martínez, Juan Francisco & Valenzuela, Patricio
- S1572308924000214 Bank runs, prudential tools and social welfare in a global game general equilibrium model
by Ikeda, Daisuke
- S1572308924000299 Loan guarantees in a crisis: An antidote to a credit crunch?
by Marsh, W. Blake & Sharma, Padma
- S1572308924000305 Government debt and stock price crash risk: International Evidence
by Ben-Nasr, Hamdi & Boubaker, Sabri
- S1572308924000329 The demand for central clearing: To clear or not to clear, that is the question!
by Bellia, Mario & Girardi, Giulio & Panzica, Roberto & Pelizzon, Loriana & Peltonen, Tuomas
- S1572308924000330 A model of managerial compensation, firm leverage and credit stimulus
by Chakraborti, Rajdeep & Dahiya, Sandeep & Ge, Lei & Gete, Pedro
- S1572308924000342 Distance lending & social connectedness
by Kariya, Ankitkumar & Shekhawat, Chhavi
- S1572308924000354 Impact of higher capital buffers on banks’ lending and risk-taking in the short- and medium-term: Evidence from the euro area experiments
by Cappelletti, Giuseppe & Ponte Marques, Aurea & Varraso, Paolo
- S1572308924000366 Cryptocurrency use and tax collections: Direct and indirect channels of influence
by Goel, Rajeev K. & Mazhar, Ummad
- S1572308924000378 Financial contagion among the GSIBs and regulatory interventions
by Lai, Jennifer & McNelis, Paul D.
- S1572308924000445 International financial stress spillovers during times of unconventional monetary policy interventions
by Apostolakis, George N. & Giannellis, Nikolaos
- S1572308924000457 Political connections and zombie firms: The role of the 2008 stimulus plan in China
by Li, Jie & Guo, Xiaowei & Huang, Bihong & Zhou, Tianhang
- S1572308924000469 Central banks’ corporate asset purchase programmes and risk-taking by bond funds in the aftermath of market stress
by Branzoli, Nicola & Gallo, Raffaele & Ilari, Antonio & Portioli, Dario
- S1572308924000470 The macroeconomic costs of the bank tax
by Borsuk, Marcin & Przeworska, Joanna & Saunders, Anthony & Serwa, Dobromił
- S1572308924000494 Zero-risk weights and capital misallocation
by Fueki, Takuji & Hürtgen, Patrick & Walker, Todd B.
- S1572308924000500 Bank capital, liquidity creation and the moderating role of bank culture: An investigation using a machine learning approach
by Thi Nguyen, Loan Quynh & Matousek, Roman & Muradoglu, Gulnur
- S1572308924000524 Investor flows, performance, and fragility of U.S. municipal bond mutual funds
by Peterson, Mark A.
- S1572308924000536 Testing the boundaries of applicability of standard Stochastic Discount Factor models
by Pezzo, Luca & Zhu, Yinchu & Hassan, M. Kabir & Tian, Jiayuan
- S1572308924000561 Strategic alliances and shared auditors
by Baxamusa, Mufaddal & Jha, Anand & Raman, K.K.
- S157230892400055X Asset redeployability and green innovation
by Do, Trung K.
2024, Volume 71, Issue C
- S1572308924000020 Bridging the information gap: How digitalization shapes stock price informativeness
by Li, Weiping & Li, Tingyu & Jiang, Dequan & Zhang, Xuezhi
- S1572308924000044 Stock price crash risk and firms’ operating leverage
by Chang, Xin & Cheng, Louis T.W. & Kwok, Wing Chun & Wong, George
- S1572308924000056 Isolating defensive corporate ESG effects: Evidence from purely domestic anti-COVID-19 measures
by Goodell, John W. & Corbet, Shaen & Hou, Yang (Greg) & Hu, Yang & Oxley, Les
- S1572308924000081 Do interbank markets price systemic risk?
by Sigmund, Michael & Siebenbrunner, Christoph
- S1572308924000093 Temporal networks and financial contagion
by Franch, Fabio & Nocciola, Luca & Vouldis, Angelos
- S1572308924000111 Uncertainty, non-linear contagion and the credit quality channel: An application to the Spanish interbank market
by Carro, Adrian & Stupariu, Patricia
- S1572308924000123 “Thank me later”: Why is (macro)prudence desirable?
by Cokayne, Graeme & Gerba, Eddie & Kuchler, Andreas & Pank Roulund, Rasmus
- S1572308924000135 Financial stability through the lens of complex systems
by Hałaj, Grzegorz & Martinez-Jaramillo, Serafin & Battiston, Stefano
- S1572308924000147 Assessing the systemic risk impact of bank bail-ins
by Siebenbrunner, Christoph & Hafner-Guth, Martin & Spitzer, Ralph & Trappl, Stefan
- S1572308924000159 The role of banks’ technology adoption in credit markets during the pandemic
by Branzoli, Nicola & Rainone, Edoardo & Supino, Ilaria
- S1572308924000160 Modelling fire sale contagion across banks and non-banks
by Caccioli, Fabio & Ferrara, Gerardo & Ramadiah, Amanah
- S1572308924000172 Over with carbon? Investors’ reaction to the Paris Agreement and the US withdrawal
by Alessi, Lucia & Battiston, Stefano & Kvedaras, Virmantas
- S1572308924000184 The double materiality of climate physical and transition risks in the euro area
by Gourdel, Régis & Monasterolo, Irene & Dunz, Nepomuk & Mazzocchetti, Andrea & Parisi, Laura
- S1572308924000196 Shock amplification in an interconnected financial system of banks and investment funds
by Sydow, Matthias & Schilte, Aurore & Covi, Giovanni & Deipenbrock, Marija & Del Vecchio, Leonardo & Fiedor, Pawel & Fukker, Gábor & Gehrend, Max & Gourdel, Régis & Grassi, Alberto & Hilberg, Björn & Kaijser, Michiel & Kaoudis, Georgios & Mingarelli, Luca & Montagna, Mattia & Piquard, Thibaut & Salakhova, Dilyara & Tente, Natalia
- S157230892400007X The topological structure of panel variance decomposition networks
by Celani, Alessandro & Cerchiello, Paola & Pagnottoni, Paolo
- S157230892400010X On the optimal control of interbank contagion in the euro area banking system
by Fukker, Gábor & Kok, Christoffer
2024, Volume 70, Issue C
- S1572308923000918 Social responsibility and bank resiliency
by Gehrig, Thomas & Iannino, Maria Chiara & Unger, Stephan
- S1572308923000931 How does the repo market behave under stress? Evidence from the COVID-19 crisis
by Hüser, Anne-Caroline & Lepore, Caterina & Veraart, Luitgard Anna Maria
- S1572308923000943 Direct and indirect impacts of natural disasters on banks: A spatial framework
by Barth, James R. & Hu, Qinyou & Sickles, Robin & Sun, Yanfei & Yu, Xiaoyu
- S1572308923000955 From liquidity risk to systemic risk: A use of knowledge graph
by Chen, Ren-Raw & Zhang, Xiaohu
- S1572308923000967 Portfolio choice algorithms, including exact stochastic dominance
by Vinod, H.D.
- S1572308923001055 Hedging inflation expectations in the cryptocurrency futures market
by Liu, Jinan & Valcarcel, Victor J.
- S1572308923001067 ESG activity and bank lending during financial crises
by Danisman, Gamze Ozturk & Tarazi, Amine
- S1572308923001079 Investment deregulation and innovation performance of Chinese private firms
by Zhang, Jianhong & Jiang, Jiangang
- S1572308923001080 Are green loans less risky? Micro-evidence from a European Emerging Economy
by Neagu, Florian & Tatarici, Luminița & Dragu, Florin & Stamate, Amalia
- S1572308923001092 A thousand words tell more than just numbers: Financial crises and historical headlines
by Ristolainen, Kim & Roukka, Tomi & Nyberg, Henri
- S1572308923001109 Bubble occurrence and landing
by Wan, Junmin
- S1572308923001110 Bank opacity, systemic risk and financial stability
by Mies, Michael
- S1572308923001122 Climate-change regulations: Bank lending and real effects
by Miguel, Faruk & Pedraza, Alvaro & Ruiz-Ortega, Claudia
- S1572308923001134 What broke the pearl of the Indian ocean? The causes of the Sri Lankan economic crisis and its policy implications
by Samarakoon, Lalith P.
- S1572308923001146 Auditor certification and long-run performance of IPO stocks
by Datta, Sudip & Gruskin, Mark & Iskandar-Datta, Mai
- S1572308923001158 Mispricing of debt expansion in the eurozone sovereign credit market
by Lotfi, Somayyeh & Milidonis, Andreas & Zenios, Stavros A.
- S1572308924000019 Endogenous bank regulation and supervision: Long term implications
by Karakoyun, Oğuz Kaan & Karakaplan, Mustafa U. & Neyaptı, Bilin
- S157230892300089X The impact of COVID-19 on sovereign contagion
by Drakos, Anastasios & Moratis, Georgios
- S157230892300092X External wealth of nations and systemic risk
by Andrieş, Alin Marius & Chiper, Alexandra Maria & Ongena, Steven & Sprincean, Nicu
2023, Volume 69, Issue C
- S1572308923000645 Optimal capital ratios for banks in the euro area
by Soederhuizen, Beau & van Heuvelen, Gerrit Hugo & Luginbuhl, Rob & Stiphout-Kramer, Bert van
- S1572308923000761 Who consumes the credit union subsidies?
by Goddard, John & McKillop, Donal G. & Wilson, John O.S.
- S1572308923000840 Global lending conditions and international coordination of financial regulation policies
by Kharroubi, Enisse
- S1572308923000852 Gender diversity in leadership: Empirical evidence on firm credit risk
by Aguir, Iness & Boubakri, Narjess & Marra, Miriam & Zhu, Lu
- S1572308923000864 Social capital and dividend policies in US corporations
by Hoi, Chun Keung & Ke, Yun & Wu, Qiang & Zhang, Hao
- S1572308923000876 Financial Stability and Public Confidence in Banks
by Chernykh, Lucy & Davydov, Denis & Sihvonen, Jukka
- S1572308923000888 Central bank digital currencies and financial stability in a modern monetary system
by Tercero-Lucas, David
- S1572308923000906 Climate risks and financial stability: Evidence from the European financial system
by Chabot, Miia & Bertrand, Jean-Louis
2023, Volume 68, Issue C
2023, Volume 67, Issue C
- S1572308923000311 Bank credit, inflation, and default risks over an infinite horizon
by Goodhart, Charles A.E. & Tsomocos, Dimitrios P. & Wang, Xuan
- S1572308923000335 CEO power, bank risk-taking and national culture: International evidence
by Pour, Eilnaz Kashefi & Uddin, Moshfique & Murinde, Victor & Amini, Shima
- S1572308923000347 Bank regulations and surges and stops in credit: Panel evidence
by Thornton, John & Vasilakis, Chrysovalantis
- S1572308923000359 Does macroprudential policy affect wealth inequality? Evidence from synthetic controls
by Teixeira, André
- S1572308923000360 Bank risk-taking in emerging economies: Empirical evidence and theory
by Pozo, Jorge
- S1572308923000372 Global capital flows and the role of macroprudential policy
by Karmakar, Sudipto & Lima, Diogo
- S1572308923000384 Monetary policy uncertainty and corporate cash holdings: Evidence from China
by Han, Haozhe & Wang, Xingjian
- S1572308923000396 Reinforcement learning policy recommendation for interbank network stability
by Brini, Alessio & Tedeschi, Gabriele & Tantari, Daniele
- S1572308923000402 Asset securitization, cross holdings, and systemic risk in banking
by Xiao, Shuhua & Zhu, Shushang & Wu, Ying
- S1572308923000414 The role of credit lines and multiple lending in financial contagion and systemic events
by Cappelletti, Giuseppe & Mistrulli, Paolo Emilio
- S1572308923000426 Credit market development and corporate earnings management: Evidence from banking and branching deregulations
by Huang, Yichu & Liu, Frank Hong & Qiu, Buhui
- S1572308923000438 Do sovereign-bond issuers learn from peers?
by Chahine, Salim & Chidambaran, N.K.
- S1572308923000505 Fiscal support and banks’ loan loss provisions during the COVID-19 crisis
by Degryse, Hans & Huylebroek, Cédric
- S1572308923000517 Optimal monetary policy under bounded rationality
by Benchimol, Jonathan & Bounader, Lahcen
- S1572308923000529 Promoting financial stability of oil producers: Operational vs. financial hedging
by Fang, Yiwei & Kang, Sang Baum & Lu, You
- S1572308923000530 How effective are bad bank resolutions? New evidence from Europe
by Brei, Michael & Gambacorta, Leonardo & Lucchetta, Marcella & Parigi, Bruno Maria
- S1572308923000542 Top executive gender, corporate culture, and the value of corporate cash holdings
by Datta, Sudip & Doan, Trang & Toscano, Francesca
- S1572308923000554 Why are BHCs organized as parent-subsidiaries? How do they grow in value?
by Luciano, Elisa & Wihlborg, Clas
- S1572308923000566 Poverty and seeking bank advice: Evidence from a survey experiment
by DELIS, Manthos & GALARIOTIS, Emilios & IOSIFIDI, Maria & MONNE, Jerome