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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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1991, Volume 15, Issue 4-5
753-783 The limitations of market value accounting and a more realistic alternative by Berger, Allen N. & King, Kathleen Kuester & O'Brien, James M. [Downloadable! (restricted)]
785-804 A framework for assessing credit risk in depository institutions: Toward regulatory reform by Chirinko, Robert S. & Guill, Gene D. [Downloadable! (restricted)]
805-824 Capital controls and bank risk by Gennotte, Gerard & Pyle, David [Downloadable! (restricted)]
825-846 Off-balance sheet liabilities, deposit insurance and capital regulation by Boot, Arnoud W. A. & Thakor, Anjan V. [Downloadable! (restricted)]
847-874 Risk-based capital and deposit insurance reform by Avery, Robert B. & Berger, Allen N. [Downloadable! (restricted)]
875-893 Risk weights, risk-based capital and deposit insurance by Bradley, Michael G. & Wambeke, Carol A. & Whidbee, David A. [Downloadable! (restricted)]
895-915 Risk-shifting incentives of depository institutions: A new perspective on federal deposit insurance reform by John, Kose & John, Teresa A. & Senbet, Lemma W. [Downloadable! (restricted)]
917-938 The effects of closure policies on bank risk-taking by Davies, Sally M. & McManus, Douglas A. [Downloadable! (restricted)]
939-953 The effect of subordinated debt and surety bonds on the cost of capital for banks and the value of federal deposit insurance by Osterberg, William P. & Thomson, James B. [Downloadable! (restricted)]
955-974 Market-based, risk-adjusted examination schedules for depository institutions by King, Kathleen Kuester & O'Brien, James M. [Downloadable! (restricted)]
975-998 Pricing deposit insurance when the insurer measures bank risk with error by Flannery, Mark J. [Downloadable! (restricted)]
999-1018 A simple approach to better deposit insurance pricing by Kendall, Sarah B. & Levonian, Mark E. [Downloadable! (restricted)]
1019-1037 Aggregate deposit insurance funding and taxpayer bailouts by Shaffer, Sherrill [Downloadable! (restricted)]
1991, Volume 15, Issue 6 1041-1056 Small business bank shopping in Canada by Haines, George & Riding, Allan & Thomas, Roland [Downloadable! (restricted)]
1057-1080 A comparison of foreign exchange forward and futures prices by Polakoff, Michael A. & Grier, Paul C. [Downloadable! (restricted)]
1081-1091 Interstate banking in rural markets: The evidence from the corn belt by Lawrence, David B. & Klugman, Marie R. [Downloadable! (restricted)]
1093-1112 Foreign bank activity in the United States: An analysis by country of origin by Grosse, Robert & Goldberg, Lawrence G. [Downloadable! (restricted)]
1113-1130 Federal financial guarantees and the occasional market pricing of default risk: Evidence from insured deposits by Cook, Douglas O. & Spellman, Lewis J. [Downloadable! (restricted)]
1131-1142 Financial institution structures in a developing two-tier banking system: An empirical perspective from Eastern Europe by Murphy, A. & Sabov, Z. [Downloadable! (restricted)]
1143-1170 Regulation, taxes and the market for corporate control in Belgium by Hulle, Cynthia Van & Vermaelen, Theo & Wouters, Paul de [Downloadable! (restricted)]
1171-1182 A note on REIT bankruptcy and intraindustry information transfers: An empirical analysis by Asness, Cliff & Smirlock, Michael [Downloadable! (restricted)]
1183-1194 A note on the use of industry-relative ratios in bankruptcy prediction by Platt, Harlan D. & Platt, Marjorie B. [Downloadable! (restricted)]
1195-1202 A note on the effect of controlling for transaction costs on the small firm anomaly: Additional Australian evidence by Aitken, Michael & Ferris, George [Downloadable! (restricted)]
1203-1206 Japanese Financial Growth : Charles A. Goodhart and George Sutija (New York University Press, 1990) pp. 202, $62.50 by Maquieira, Carlos P. [Downloadable! (restricted)]
1207-1208 The economic organisation of a financial system : Edwin H. Neave, Routledge, London and New York, 1991) pp. xii + 198, [UK pound]35, ISBN 0-415-05353-6 by Scholtens, Lambertus J. R. [Downloadable! (restricted)]
1991, Volume 15, Issue 3 471-483 Analysing stock market behaviour in a small capital market by Alexakis, Panayotis & Petrakis, Panayotis [Downloadable! (restricted)]
485-499 Towards an equilibrium model of the mutual funds industry by Dermine, Jean & Neven, Damien & Thisse, Jacques F. [Downloadable! (restricted)]
501-519 Portfolio rebalancing and the effective taxation of dividends and capital gains following the Tax Reform Act of 1986 by Fedenia, Mark & Grammatikos, Theoharry [Downloadable! (restricted)]
521-533 An empirical examination of the pricing of European bond options by Rindell, Krister & Sandas, Patrik [Downloadable! (restricted)]
535-557 An empirical investigation of the determinants of the supply of bank loans to less developed countries by Thapa, Samanta B. & Mehta, Dileep R. [Downloadable! (restricted)]
559-580 International bank capital standards and the costs of issuing capital securities by Japanese banks by Pettway, Richard H. & Kaneko, Takashi & Young, Michael T. [Downloadable! (restricted)]
581-604 Credit rationing, concessionary lending, and debt maturity by Sharpe, Steven A. [Downloadable! (restricted)]
605-632 Credible commitments, contract enforcement problems and banks: Intermediation as credibility assurance by Boot, Arnoud W. A. & Thakor, Anjan V. & Udell, Gregory F. [Downloadable! (restricted)]
647-664 The effects of option listing on the underlying stocks' return processes by Damodaran, Aswath & Lim, Joseph [Downloadable! (restricted)]
665-682 Convertible debt: Valuation and conversion in complex capital structures by Lewis, Craig M. [Downloadable! (restricted)]
683-698 The price effects of secondary offerings of senior securities and warrants by Linn, Scott C. & Pinegar, J. Michael [Downloadable! (restricted)]
717-727 Bayesian and CAPM estimators of the means: Implications for portfolio selection by Jorion, Philippe [Downloadable! (restricted)]
1991, Volume 15, Issue 2 237-255 Restructuring transactions by bank holding companies: The valuation effects of sale-and-leasebacks and divestitures by Slovin, Myron B. & Sushka, Marie E. & Polonchek, John A. [Downloadable! (restricted)]
257-271 Policy impacts under rational expectations by F. Darrat, Ali [Downloadable! (restricted)]
273-295 Common stock returns in corporate takeover bids: Evidence from interstate bank mergers by Millon Cornett, Marcia & De, Sankar [Downloadable! (restricted)]
297-314 Duration mapping of thrift institution value paths: Tests of completeness by Simonson, Donald G. & Stock, Duane R. [Downloadable! (restricted)]
315-327 Standby letters of credit and large bank capital: An empirical analysis by Koppenhaver, G. D. & Stover, Roger D. [Downloadable! (restricted)]
329-341 Secrecy, signalling and the accuracy of expectations during the borrowed reserves operating regime by Simon, David P. [Downloadable! (restricted)]
343-365 Bank behavior, interest rate determination, and monetary policy in a financial system with an intraday federal funds market by Van Hoose, David D. [Downloadable! (restricted)]
367-381 A note on the stock market effects of the adoption of risk-based capital requirements on international banks in different countries by Cooper, Kerry & Kolari, James & Wagster, John [Downloadable! (restricted)]
383-405 The medium of exchange in mergers and acquisitions by Peterson, David R. & Peterson, Pamela P. [Downloadable! (restricted)]
407-423 Private information and weekend volatility in the Tokyo and New York stock markets by Puffer, Marlene K. [Downloadable! (restricted)]
425-448 Bank acquisitions and ownership structure: Theory and evidence by Alien, Linda & Cebenoyan, A. Sinan [Downloadable! (restricted)]
449-460 Risk return and the three-moment capital asset pricing model: another look by Tan, Kai-Jiaw [Downloadable! (restricted)]
463-466 Understanding swap finance : John F. Marshall and Kenneth R. Kapner (South-Western Publishing Co., Cincinnati, OH, 1990), pp. xvii + 155, $12.00 by Cromwell, Nancy O. [Downloadable! (restricted)]
467-468 The impact of regulation on bank equity infusions by Dahl, Drew & Shrieves, Ronald E. [Downloadable! (restricted)]
1991, Volume 15, Issue 1 5-27 Ability and willingness to service debt as explanation for commercial and official rescheduling cases by Lee, Suk Hun [Downloadable! (restricted)]
29-41 Debt-equity swaps as bond conversions: implications for pricing by Blake, David & Pradhan, Mahmood [Downloadable! (restricted)]
43-52 The impact of credit risk on the pricing and duration of floating-rate notes by Kaufold, Howard & Smirlock, Michael [Downloadable! (restricted)]
53-71 Identification of problem banks and binary choice models by Espahbodi, Pouran [Downloadable! (restricted)]
73-90 A contingent claim analysis of a regulated depository institution by Crouhy, Michel & Galai, Dan [Downloadable! (restricted)]
91-107 Economies of scale and scope in the securities industry by Goldberg, Lawrence G. & Hanweck, Gerald A. & Keenan, Michael & Young, Allan [Downloadable! (restricted)]
109-116 Interest rates, inflation expectations and the inverted Fisher hypothesis by Gupta, Kanhaya L. [Downloadable! (restricted)]
117-131 Differential information and timing ability by Elton, Edwin J. & Gruber, Martin J. [Downloadable! (restricted)]
133-149 Bank commercial loan markets and the role of market structure: evidence from surveys of commercial lending by Hannan, Timothy H. [Downloadable! (restricted)]
151-163 Reaction of British bank share prices to Citicorp's announced $3 billion increase in loan-loss reserves by Madura, Jeff & White, Ann Marie & McDaniel, Wm R. [Downloadable! (restricted)]
165-172 On the gains to acquiring capital-stock savings and loan associations in merger conversions: a re-examination of the regulatory-approval hypothesis by Shilling, James D. [Downloadable! (restricted)]
173-192 Loan commitments and bank risk exposure by Avery, Robert B. & Berger, Allen N. [Downloadable! (restricted)]
207-223 The growth of the world's 300 largest banking organizations by country by G. Goldberg, Lawrence & Hanweck, Gerald A. [Downloadable! (restricted)]
1990, Volume 14, Issue 2-3 237-253 The determinants of corporate ownership : An empirical study on Swedish data by Bergstrom, Clas & Rydqvist, Kristian [Downloadable! (restricted)]
255-269 Ownership of equity in dual-class firms by Bergstrom, Clas & Rydqvist, Kristian [Downloadable! (restricted)]
273-289 The October 1987 stock market crash : An exploratory analysis of share price models by Limmack, R. J. & Ward, C. W. R. [Downloadable! (restricted)]
291-309 Underpricing and the new issue process in Singapore by Saunders, Anthony & Lim, Joseph [Downloadable! (restricted)]
311-326 Market values, earnings' yields and stock returns : Evidence from Singapore by Wong, Kie Ann & Lye, Meng Siong [Downloadable! (restricted)]
327-350 Equity markets and personal taxation : The ex-dividend day behaviour of Finnish stock prices by Hietala, Pekka T. [Downloadable! (restricted)]
351-369 Asset pricing and risk aversion in the Spanish stock market by Alonso, Aurora & Rubio, Gonzalo & Tusell, Fernando [Downloadable! (restricted)]
399-421 Volatility forecasting without data-snooping by Dimson, Elroy & Marsh, Paul [Downloadable! (restricted)]
423-440 Stock market microstructure and return volatility : Evidence from Italy by Amihud, Yakov & Mendelson, Haim & Murgia, Maurizio [Downloadable! (restricted)]
441-458 An analysis of transactions data for the Toronto Stock Exchange : Return patterns and end-of-the-day effect by McInish, Thomas H. & Wood, Robert A. [Downloadable! (restricted)]
461-468 Day-of-the-week effect on the Paris Bourse by Solnik, Bruno & Bousquet, Laurence [Downloadable! (restricted)]
469-481 Overreaction in the Spanish equity market by Alonso, Aurora & Rubio, Gonzalo [Downloadable! (restricted)]
483-510 The italian stock market : Efficiency and calendar anomalies by Barone, E. [Downloadable! (restricted)]
513-538 Industry rotation in the U.S. stock market : 1934-1986 returns on passive, semi-passive, and active strategies by Grauer, Robert R. & Hakansson, Nils H. & Shen, Frederick C. [Downloadable! (restricted)]
539-558 Performance of currency portfolios chosen by a Bayesian technique: 1967-1985 by Dumas, Bernard [Downloadable! (restricted)]
559-581 The performance of published Dutch stock recommendations by Wijmenga, R. Th. [Downloadable! (restricted)]
583-609 A characteristics definition of financial markets by Heffernan, Shelagh A. [Downloadable! (restricted)]
613-635 The money and bond markets in France : Segmentation vs. integration by Dumas, Bernard & Jacquillat, Bertrand [Downloadable! (restricted)]
649-672 Valuing Swiss default-free callable bonds : Theory and empirical evidence by Gibson-Asner, Rajna [Downloadable! (restricted)]
1990, Volume 14, Issue 6 1113-1131 Technology, debt and the exploitation of growth options by Kim, Moshe & Maksimovic, Vojislav [Downloadable! (restricted)]
1133-1142 The impact of international listings on risk : Implications for capital market integration by Howe, John S. & Madura, Jeff [Downloadable! (restricted)]
1143-1150 Generalized solutions of higher-order duration measures by Nawalkha, Sanjay K. & Lacey, Nelson J. [Downloadable! (restricted)]
1151-1162 Branching restrictions and banking costs by Buono, Mark J. & Eakin, B. Kelly [Downloadable! (restricted)]
1163-1170 Interest rates and inflationary expectations : Long-run equilibrium and short-run adjustment by Moazzami, Bakhtiar [Downloadable! (restricted)]
1171-1187 Market expectations of the effects of the Tax Reform Act of 1986 on banking organizations by Grammatikos, Theoharry & Yourougou, Pierre [Downloadable! (restricted)]
1189-1208 Statistical study of foreign exchange rates, empirical evidence of a price change scaling law, and intraday analysis by Muller, Ulrich A. & Dacorogna, Michel M. & Olsen, Richard B. & Pictet, Olivier V. & Schwarz, Matthias & Morgenegg, Claude [Downloadable! (restricted)]
1209-1228 The impact of regulation on bank equity infusions by Dahl, Drew & Shrieves, Ronald E. [Downloadable! (restricted)]
1229-1242 Hostile bank takeover offers : Analysis and implications by Baradwaj, Babu G. & Fraser, Donald R. & Furtado, Eugene P. H. [Downloadable! (restricted)]
1243-1253 Tests of stability for variances and means of overnight/intraday returns during bull and bear markets by Lockwood, Larry J. & McInish, Thomas H. [Downloadable! (restricted)]
1990, Volume 14, Issue 5 839-843 Introduction to special issue on 'real and nominal exchange rates' by Stein, Jerome L. [Downloadable! (restricted)]
845-876 The private ECU markets : What they are, why they exist, and where they may go by Allen, Polly Reynolds [Downloadable! (restricted)]
877-887 The customs union argument for a monetary union by van Marrewijk, Charles & de Vries, Casper G. [Downloadable! (restricted)]
889-908 The dynamics of the EMS in the light of European financial integration : Some reflections from a French perspective by de Boissieu, Christian [Downloadable! (restricted)]
909-928 Capital market integration by Allen, Polly Reynolds & Stein, Jerome L. [Downloadable! (restricted)]
929-946 The transmission of foreign disturbances under different exchange rate regimes by Argy, Victor E. [Downloadable! (restricted)]
947-963 External adjustment in large countries : Is the exchange rate irrelevant? by Boughton, James M. [Downloadable! (restricted)]
965-992 Exchange rate determination: Single-equation or economy-wide models? : A test against the random walk by Gandolfo, Giancarlo & Padoan, Pietro Carlo & Paladino, Giovanna [Downloadable! (restricted)]
993-1021 Exchange-rate management under floating exchange rates : A skeptical Swiss view by Rich, Georg [Downloadable! (restricted)]
1023-1044 Systematic movements in real exchange rates in the G-5 : Evidence on the integration of internal and external markets by Marston, Richard C. [Downloadable! (restricted)]
1045-1078 The real exchange rate by Stein, Jerome L. [Downloadable! (restricted)]
1079-1101 Japanese capital outflows by Ueda, Kazuo [Downloadable! (restricted)]
1990, Volume 14, Issue 4 677-689 Loan commitments and monetary policy by Sofianos, George & Wachtel, Paul & Melnik, Arie [Downloadable! (restricted)]
691-716 The market making of forward contracts with premature delivery provision by Kraizerg, Elli [Downloadable! (restricted)]
717-728 Valuation of 'capped' variable rate loan commitments by Chateau, John-Peter D. [Downloadable! (restricted)]
729-740 Bank lending and initial public offerings by Slovin, Myron B. & Young, John E. [Downloadable! (restricted)]
741-760 An ex post valuation of the quality option implicit in the treasury bond futures contract by Hegde, Shantaram P. [Downloadable! (restricted)]
761-780 The impact of sovereign risk on the market valuation of U.S. bank equities by Kyle, Steven C. & Wirick, Ronald G. [Downloadable! (restricted)]
781-801 Option listing and stock returns : An empirical analysis by Detemple, Jerome & Jorion, Philippe [Downloadable! (restricted)]
803-820 Interest-rate risk and the pricing of depository financial intermediary common stock : Empirical evidence by Yourougou, Pierre [Downloadable! (restricted)]
821-825 The evolution of central banks : Charles Goodhart, (The MIT Press: Cambridge, MA and London, UK, 1988) pp. viii + 205, US $22.50 (hard-bound), US $11.95 (paperback) by Timberlake, Richard H. [Downloadable! (restricted)]
825-828 Managing financial risk : Clifford W. Smith, Jr., Charles W. Smithson and D. Sykes Wilford (Harper & Row, New York, NY, 1990) pp. xvi + 416, US $45.00 by Boehmer, Ekkehart [Downloadable! (restricted)]
828-831 Investment banking in Europe: Restructuring for the 1990s : Ingo Walter and Roy C. Smith, (Basil Blackwell, Oxford, 1990) pp. xii + 169, [UK pound]30.00 by van Houwelingen, Willem H. [Downloadable! (restricted)]
1990, Volume 14, Issue 1 11-31 Financial contracts and international lending by O'Hara, Maureen [Downloadable! (restricted)]
33-39 Bond pricing in markets with taxes : The tax-clientele model vs. the non-clientele model by Prisman, Eliezer Z. [Downloadable! (restricted)]
41-53 The effects of domestic and foreign yield curves on the value of currency American call options by Choi, Jongmoo Jay & Hauser, Shmuel [Downloadable! (restricted)]
55-68 The PBGC's flat fee schedule, moral hazard, and promised pension benefits by Niehaus, Gregory R. [Downloadable! (restricted)]
69-84 A reexamination of mean-variance analysis of bank capital regulation by Keeley, Michael C. & Furlong, Frederick T. [Downloadable! (restricted)]
85-98 Bank debt, insider trading, and the return to corporate selloffs by Hirschey, Mark & Slovin, Myron B. & K. Zaima, Janis [Downloadable! (restricted)]
99-112 A transactions data analysis of the variability of common stock returns during 1980-1984 by H. McInish, Thomas & Wood, Robert A. [Downloadable! (restricted)]
113-129 A pricing method for options based on average asset values by Kemna, A. G. Z. & Vorst, A. C. F. [Downloadable! (restricted)]
131-143 An empirical examination of bank reserve management behavior by Evanoff, Douglas D. [Downloadable! (restricted)]
145-154 More on monetarist arithmetic by Papadia, Francesco & Rossi, Salvatore [Downloadable! (restricted)]
155-177 Assets, aggregates and optimal monetary control by Sprenkle, Case M. & Turnovsky, Stephen J. & Fujihara, Roger A. [Downloadable! (restricted)]
179-197 The wealth effects of the risk-based capital requirement in banking : The evidence from the capital market by Eyssell, Thomas & Arshadi, Nasser [Downloadable! (restricted)]
199-214 A cointegration analysis of the relatonship between bank reserves, deposits and loans : The case of Italy, 1965-1987 by Corradi, Valentina & Galeotti, Marzio & Rovelli, Riccardo [Downloadable! (restricted)]
215-225 A note on the variance of spot interest rates by Brooks, Robert & Livingston, Miles [Downloadable! (restricted)]
1989, Volume 13, Issue 4-5 487-513 Forwards and futures in tokugawa-period Japan:A new perspective on the Dojima rice market by Schaede, Ulrike [Downloadable! (restricted)]
515-536 The German depression and the stock market crash of the thirties: The role of macropolicies and of the international business cycle by Sommariva, Andrea & Tullio, Giuseppe [Downloadable! (restricted)]
537-570 The Japanese equity market:Past and present by Takagi, Shinji [Downloadable! (restricted)]
571-585 The long-run relationship between interest rates and inflation: Some cross-country evidence by Viren, Matti [Downloadable! (restricted)]
589-612 Stock prices, asset portfolios and macroeconomic variables in ten European countries by Asprem, Mads [Downloadable! (restricted)]
613-626 Macroeconomics news and the stock market: Evidence from Europe by Wasserfallen, Walter [Downloadable! (restricted)]
627-640 Potential gains from international portfolio diversification and inter-temporal stability and seasonality in international stock market relationships by Meric, Ilhan & Meric, Gulser [Downloadable! (restricted)]
641-650 A twist on the Monday effect in stock prices: Evidence from the U.S. and foreign stock markets by Jaffe, Jeffrey F. & Westerfield, Randolph & Ma, Christopher [Downloadable! (restricted)]
651-671 The effect of asset and ownership structure on political risk: Some evidence from Mitterrand's election in France by Phillips-Patrick, Frederick J. [Downloadable! (restricted)]
675-696 Stock market anomalies: A re-assessment based on the UK evidence by Levis, Mario [Downloadable! (restricted)]
697-708 Market structure and transaction costs: Implied spreads in the German stock market by Haller, Andreas & Stoll, Hans R. [Downloadable! (restricted)]
709-745 The Italian market for `premium' contracts: An application of option pricing theory by Barone, E. & Cuoco, D. [Downloadable! (restricted)]
747-772 Risk capital financing and the separation of ownership and control in business groups by Brioschi, Francesco & Buzzacchi, Luigi & Colombo, Massimo G. [Downloadable! (restricted)]
773-782 Options on stock indices and options on futures by Brenner, Menachem & Courtadon, Georges & Subrahmanyam, Marti [Downloadable! (restricted)]
1989, Volume 13, Issue 6 797-810 Bank spread with uncertain deposit level and risk aversion by Zarruk, Emilio R. [Downloadable! (restricted)]
811-830 Speculative and precautionary balances as complements in the portfolio : The case of the U.K. banking sector 1972-1980 by Spencer, P. D. [Downloadable! (restricted)]
831-838 Tax arbitrage restrictions and financial leverage clienteles by Talmor, Eli [Downloadable! (restricted)]
839-851 Predicting currency return volatility by Scott, Elton & Tucker, Alan L. [Downloadable! (restricted)]
853-868 Debt-equity swaps, regulation K, and bank stock returns by Eyssell, Thomas H. & Fraser, Donald R. & Rangan, Nanda K. [Downloadable! (restricted)]
869-881 Overdraft banking: An empirical analysis by Zilberfarb, Ben Zion [Downloadable! (restricted)]
883-891 Capital regulation and bank risk-taking: A note by Furlong, Frederick T. & Keeley, Michael C. [Downloadable! (restricted)]
1989, Volume 13, Issue 3 339-354 The differential impact of two significant court decisions concerning banking consolidation by Dubofsky, David A. & Fraser, Donald R. [Downloadable! (restricted)]
355-366 New banking powers : A portfolio analysis of bank investment in real estate by Rosen, Richard J. & Lloyd-Davies, Peter R. & Kwast, Myron L. & Humphrey, David B. [Downloadable! (restricted)]
367-382 Loan quality, commercial loan review and loan officer contracting by Udell, Gregory F. [Downloadable! (restricted)]
383-396 Factors affecting the foreign banking presence in the U.S by Hultman, Charles W. & Randolph McGee, L. [Downloadable! (restricted)]
397-419 The effect of block transactions on share prices : Australian evidence by Ball, Ray & Finn, Frank J. [Downloadable! (restricted)]
421-442 An equilibrium debt option pricing model in discrete time by Maloney, Kevin J. & Byrne, Mark J. [Downloadable! (restricted)]
443-461 Valuation effects of commercial bank securities offerings : A test of the information hypothesis by Polonchek, John & Slovin, Myron B. & Sushka, Marie E. [Downloadable! (restricted)]
463-471 A note on the distribution types of financial ratios in the commercial banking industry by Kolari, James & McInish, Thomas H. & Saniga, Erwin M. [Downloadable! (restricted)]
1989, Volume 13, Issue 2 171-179 Money, banking and intertemporal substitution by Bryant, John [Downloadable! (restricted)]
181-190 A note on the pricing of double choice bonds by Biger, Nahum & Israel, Ronen [Downloadable! (restricted)]
191-205 Money and corporate profits in a developing country : Theory and evidence by Dadkhah, Kamran M. & Mookerjee, Rajen [Downloadable! (restricted)]
207-219 Bid-ask spreads and volatility estimates : The implications for option pricing by Choi, J. Y. & Shastri, Kuldeep [Downloadable! (restricted)]
221-235 Equilibrium loan pricing under the bank-client relationship by Greenbaum, Stuart I. & Kanatas, George & Venezia, Itzhak [Downloadable! (restricted)]
237-244 Is there a monthly effect in stock market returns? : Evidence from foreign countries by Jaffe, Jeffrey & Westerfield, Randolph [Downloadable! (restricted)]
245-260 An empirical analysis of term premiums using stochastic dominance by Levy, Haim & Brooks, Robert [Downloadable! (restricted)]
261-270 Interest rate swaps in an agency theoretic model with uncertain interest rates by Wall, Larry D. [Downloadable! (restricted)]
271-277 The motivations for loan commitments backing commercial paper : A comment on `commercial paper, bank reserve requirements, and the informational role of loan commitments' by Calomiris, Charles W. [Downloadable! (restricted)]
279-281 A reply to Calomiris' comment on : `Commercial paper, bank reserve requirements and the informational role of loan commitments' by Kanatas, George [Downloadable! (restricted)]
283-309 Explaining differences in corporate capital structure : Theory and new evidence by Chatterjee, Sris & Scott, James Jr. [Downloadable! (restricted)]
311-320 A note on fiscal agent pricing of federal agency debt by Puglisi, Donald J. & D'Souza, Rudolph E. [Downloadable! (restricted)]
321-326 A simple linear weighting scheme for Black-Scholes implied volatilities : A note by Finucane, Thomas J. [Downloadable! (restricted)]
1989, Volume 13, Issue 1 9-20 Financial intermediation : Delegated monitoring and long-term relationships by Haubrich, Joseph G. [Downloadable! (restricted)]
21-29 Risk-based capital adequacy standards for a sample of 43 major banks by Ronn, Ehud I. & Verma, Avinash K. [Downloadable! (restricted)]
31-36 Bank reserve adjustment process and the use of reserve carryover as a reserve management tool : A comment by Vogt, Michael G. [Downloadable! (restricted)]
37-40 Bank reserve adjustment process and the use of reserve carryover as a reserve management tool : A reply by Spindt, Paul A. & Tarhan, Vefa [Downloadable! (restricted)]
41-64 Estimating betas on daily data for a small stock market by Berglund, Tom & Liljeblom, Eva & Loflund, Anders [Downloadable! (restricted)]
65-79 Concentration and other determinants of bank profitability in Europe, North America and Australia by Bourke, Philip [Downloadable! (restricted)]
81-100 Stock market reactions to the depository institutions deregulation and monetary control act of 1980 by Millon-Cornett, Marcia H. & Tehranian, Hassan [Downloadable! (restricted)]
101-125 The impact of underwriting and dealing on bank returns and risks by Kwast, Myron L. [Downloadable! (restricted)]
127-135 A friction model of the prime by Forbes, Shawn M. & Mayne, Lucille S. [Downloadable! (restricted)]
137-149 Federal deficits and money growth in the United States : A vector autoregressive analysis by Barnhart, Scott W. & Darrat, Ali F. [Downloadable! (restricted)]
151-161 Interest rates and bank portfolio adjustments by Thistle, Paul D. & McLeod, Robert W. & Conrad, B. Lynne [Downloadable! (restricted)]
1988, Volume 12, Issue 4 523-535 The effects of shifts in monetary policy and reserve accounting regimes on bank reserve management behavior in the federal funds market by Saunders, Anthony & Urich, Thomas [Downloadable! (restricted)]
537-550 The measurement of option mispricing by French, Dan W. & Martin, Linda J. [Downloadable! (restricted)]
551-562 Bank acquisition and stockholders' wealth by Sushka, Marie E. & Bendeck, Yvette [Downloadable! (restricted)]
563-573 The international transmission of interest rates : A note on causal relationships between short-term external and domestic U.S. dollar returns by Swanson, Peggy E. [Downloadable! (restricted)]
575-584 Reserve regulation and recourse as a source of risk premia in the federal funds market by Barrett, W. Brian & Slovin, Myron B. & Sushka, Marie E. [Downloadable! (restricted)]
585-601 Risk premia and the pricing of primary issue bonds by Lamy, Robert E. & Thompson, G. Rodney [Downloadable! (restricted)]
604-608 Perspectives on safe & sound banking: Past, present, and future : George J. Benston, Robert A. Eisenbeis, Paul M. Horvitz, Edward J. Kane and George G. Kaufman (The MIT Press, Cambridge, MA, 1986) pp. xxi + 358, $19.95 by Collins, M. Cary [Downloadable! (restricted)]
608-610 Inside investment banking : Ernest Bloch, (Dow Jones-Irwin, Homewood, IL, 1986) pp. XIV + 321, $35.63 by Hood, William [Downloadable! (restricted)]
610-611 Electronic banking : Allen H. Lipis, Thomas R. Marschall and Jan H. Linker, (Wiley, New York, 1985) by Parkinson, John M. [Downloadable! (restricted)]
611-612 Rationing in a theory of the banking firm, studies in contemporary economics : Timothy M. Devinney, (Springer, New York, 1986) pp. VI + 102 by Lee, Bong Woo [Downloadable! (restricted)]
1988, Volume 12, Issue 3 317-331 The effects of DIDMCA on bank stockholders' returns and risk by Aharony, Joseph & Saunders, Anthony & Swary, Itzhak [Downloadable! (restricted)]
333-351 The performance of unseasoned new equity issues-cum-stock exchange listings in Australia by Finn, Frank J. & Higham, Ron [Downloadable! (restricted)]
353-378 Stock offerings in a different institutional setting : The Swiss case, 1973-1983 by Loderer, Claudio & Zimmermann, Heinz [Downloadable! (restricted)]
379-388 Deregulation and oligopolistic rivalry in bank deposit markets by VanHoose, David D. [Downloadable! (restricted)]
389-399 A note on banknote characteristics and the demand for currency by denomination by Kohli, Ulrich [Downloadable! (restricted)]
401-417 Interest rate dynamics and the term structure : A note by Babbel, David F. [Downloadable! (restricted)]
419-437 Savings and loan ownership structure and expense-preference by Akella, Srinivas R. & Greenbaum, Stuart I. [Downloadable! (restricted)]
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This page was last updated on 2008-7-15.
This information is provided to you by IDEAS at the Department of Economics , College of Liberal Arts and Sciences , University of Connecticut using RePEc data on a server sponsored by the Society for Economic Dynamics .