Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G20: General
2015
- Nellie Zhang, 2015, "Changes in Payment Timing in Canada’s Large Value Transfer System," Staff Working Papers, Bank of Canada, number 15-20, DOI: 10.34989/swp-2015-20.
- Martin Kuncl, 2015, "Securitization under Asymmetric Information over the Business Cycle," Staff Working Papers, Bank of Canada, number 15-9, DOI: 10.34989/swp-2015-9.
- François Koulischer, 2015, "Asymmetric shocks in a currency union: The role of central bank collateral policy," Working papers, Banque de France, number 554.
- Fourel, G. & Potier, V., 2015, "Fonds d’investissement non monétaires français Faits saillants pour l’année 2014 et le premier trimestre 2015," Bulletin de la Banque de France, Banque de France, issue 201, pages 41-49.
- Bui Quang, P., 2015, "Le portefeuille-titres des résidents entre 2008 et 2015," Bulletin de la Banque de France, Banque de France, issue 202, pages 35-42.
- Anna Kovner & Josh Lerner, 2015, "Doing Well by Doing Good? Community Development Venture Capital," Journal of Economics & Management Strategy, Wiley Blackwell, volume 24, issue 3, pages 643-663, September, DOI: 10.1111/jems.12100.
- Ivan Diaz-Rainey & John Ashton & Maz Yap & Murat Genc & Rosalind Whiting, 2015, "The determinants of regulatory responses to risks from financial innovation: Survey evidence from G20," Working Papers, Bangor Business School, Prifysgol Bangor University (Cymru / Wales), number 15001, Jan.
- Yenner Altunbas & John Thornton & Chrysovalantis Vasilakis, 2015, "More foreign aid, less financial development," Working Papers, Bangor Business School, Prifysgol Bangor University (Cymru / Wales), number 15007, Jun.
- Faidon Kalfaoglou, 2015, "Alternative approaches to NPLs resolution. Case studies," Economic Bulletin, Bank of Greece, issue 41, pages 45-70, July.
- Se-Jik Kim & Seungki Hong, 2015, "The Value-Added and the Productivity of Korean Banking Industry (in Korean)," Economic Analysis (Quarterly), Economic Research Institute, Bank of Korea, volume 21, issue 3, pages 35-74, September.
- Senay Agca & Gianni De Nicolò & Enrica Detragiache, 2015, "Financial reforms, financial openness, and corporate debt maturity: International evidence," Borsa Istanbul Review, Research and Business Development Department, Borsa Istanbul, volume 15, issue 2, pages 61-75, June.
- Jacobi Osnat & Sher Noam, 2015, "A Commitment Mechanism to Eliminate Willful Contract Litigation," Review of Law & Economics, De Gruyter, volume 11, issue 2, pages 231-266, July, DOI: 10.1515/rle-2015-0019.
- Iori Giulia & Kapar Burcu & Olmo Jose, 2015, "Bank characteristics and the interbank money market: a distributional approach," Studies in Nonlinear Dynamics & Econometrics, De Gruyter, volume 19, issue 3, pages 249-283, June, DOI: 10.1515/snde-2014-0030.
- Nadja Dwenger & Frank M Fossen & Martin Simmler, 2015, "From financial to real economic crisis: evidence from individual firm¨Cbank relationships in Germany," Working Papers, Oxford University Centre for Business Taxation, number 1516.
- Simplice A. Asongu, 2015, "May the Soul of the IFS Financial System Definition RIP in Developing Countries," The International Journal of Economic Behavior - IJEB, Faculty of Business and Administration, University of Bucharest, volume 5, issue 1, pages 15-30, December.
- Hubert de Vauplane, 2015, "Les nouveaux acteurs de la finance," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 27-35.
- Carlos Pardo & Thomas Valli, 2015, "Rôle des sociétés de gestion dans le financement de l’économie de la zone euro : changement de paradigme ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 147-158.
- Bertrand Lavayssière, 2015, "Les modèles économiques bouleversés par le digital," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 57-66.
- Jean-Marc Boyer, 2015, "La tarification et le big data : quelles opportunités ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 81-92.
- Jean-Yves Forel, 2015, "Les moyens de paiement, quelle innovation ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 93-104.
- François R. Velde, 2015, "Bitcoin pour remplacer les devises ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 105-112.
- Fany Declerck & Laurence Lescourret, 2015, "Dark pools et trading haute fréquence : une évolution utile ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 113-126.
- Holton, Sarah & Rodriguez d’Acri, Costanza, 2015, "Jagged Cliffs and Stumbling Blocks: Interest Rate Pass-through Fragmentation during the Euro Area Crisis," Research Technical Papers, Central Bank of Ireland, number 01/RT/15, Jun.
- Svetozar Tanasković & Maja Jandrić, 2015, "Macroeconomic and Institutional Determinants of Non-performing Loans," Journal of Central Banking Theory and Practice, Central bank of Montenegro, volume 4, issue 1, pages 47-62.
- Alessandro Barattieri & Maya Eden & Dalibor Stevanovic, 2015, "Financial Sector Interconnectedness and Monetary Policy Transmission," Carlo Alberto Notebooks, Collegio Carlo Alberto, number 436.
- Thorsten V. Koeppl & James MacGee, 2015, "Mortgage Insurance as a Macroprudential Tool: Dealing with the Risk of a Housing Market Crash in Canada," C.D. Howe Institute Commentary, C.D. Howe Institute, issue 430, July.
- John Chant, 2015, "Money in Motion: Modernizing Canada’s Payment System," C.D. Howe Institute Commentary, C.D. Howe Institute, issue 432, August.
- Anderson Cavalcante & João Pedro Figueira Amorim Parga, 2015, "BNDES e a balança comercial: estudo dos impactos do crédito sobre as exportações brasileiras," Textos para Discussão Cedeplar-UFMG, Cedeplar, Universidade Federal de Minas Gerais, number 530, Dec.
- Gabriela Kuvikova, 2015, "Credit Ratings and Their Information Value: Evidence from the Recent Financial Crisis," CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague, number wp544, Jun.
- Yunus Aksoy & Henrique S. Basso, 2015, "Securitization and Asset Prices," CESifo Working Paper Series, CESifo, number 5213.
- Gianni De Nicolò & Marcella Lucchetta, 2015, "Forecasting Tail Risks," CESifo Working Paper Series, CESifo, number 5286.
- Christopher Gandrud & Mark Hallerberg, 2015, "What is a Financial Crisis? Efficiently Measuring Real-Time Perceptions of Financial Market Stress with an Application to Financial Crisis Budget Cycles," CESifo Working Paper Series, CESifo, number 5632.
- Carmen M. Reinhart & Christoph Trebesch, 2015, "The International Monetary Fund: 70 Years of Reinvention," CESifo Working Paper Series, CESifo, number 5673.
- Christian Ochsner, 2015, "Sonderprogramm – sachsenfrei? KfW-Mittelstandsbankkredite nach regionaler Gliederung," ifo Dresden berichtet, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 22, issue 05, pages 25-31, October.
- Buch M. Claudia & Ursula Vogel, 2015, "Die grenzüberschreitenden Implikationen makroprudenzieller Politik," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 68, issue 17, pages 22-28, September.
- Nick Butt & Rohan Churm & Michael McMahon & Arpad Morotz & Jochen Schanz, 2015, "QE and the Bank Lending Channel in the United Kingdom," Discussion Papers, Centre for Macroeconomics (CFM), number 1523, Oct.
- Briana Chang & Shengxing Zhang, 2015, "Endogenous Market Making and Network Formation," Discussion Papers, Centre for Macroeconomics (CFM), number 1534, Nov.
- Butt, Nick & Churm, Rohan & McMahon, Michael & Morotz, Arpad & Schanz, Jochen, 2015, "QE and the Bank Lending Channel in the United Kingdom," CAGE Online Working Paper Series, Competitive Advantage in the Global Economy (CAGE), number 244.
- Oana Mihaela MARIOARA (ORHEIAN), 2015, "Sovereign Risk And Cds. The Case Of Romania," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 7, pages 51-56, April.
- Ciprian-Dan COSTEA, 2015, "Accounting Information Relevance On Capital Markets," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 8, pages 235-240, June.
- Leticia Estévez Cerqueira & María Isabel Cambón Murcia, 2015, "A Spanish Financial Market Stress Indicator (FMSI)," CNMV Working Papers, CNMV- Spanish Securities Markets Commission - Research and Statistics Department, number CNMV Working Papers no 60.
- Massa, Massimo & Zhou, Xiaolan, 2015, "Are LPs Funds of Funds? Relationship Building in the Private Equity Industry," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10448, Mar.
- Grüner, Hans Peter & Siemroth, Christoph, 2015, "Cutting out the Middleman: Crowdinvesting, Efficiency, and Inequality," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10488, Mar.
- Taylor, Alan M., 2015, "Credit, Financial Stability, and the Macroeconomy," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10511, Mar.
- Konrad, Kai A. & Stolper, Tim, 2015, "Coordination and the fight against tax havens," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10519, Mar.
- Crinò, Rosario & Ogliari, Laura, 2015, "Financial Frictions, Product Quality, and International Trade," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10555, Apr.
- McMahon, Michael & Morotz, Arpad & Butt, Nicholas & Schanz, Jochen & Churm, Rohan, 2015, "QE and the Bank Lending Channel in the United Kingdom," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10875, Oct.
- Donatella Baiardi & Claudio Morana, 2015, "Financial deepening and income distribution inequality in the euro area," CeRP Working Papers, Center for Research on Pensions and Welfare Policies, Turin (Italy), number 153, Dec.
- Rosario Crinò & Laura Ogliari, 2015, "Financial Frictions, Product Quality, and International Trade," DISCE - Working Papers del Dipartimento di Economia e Finanza, Università Cattolica del Sacro Cuore, Dipartimenti e Istituti di Scienze Economiche (DISCE), number def030, Sep.
- Thomas Walther & Tony Klein, 2015, "Contingent convertible bonds and their impact on risk-taking of managers," Cuadernos de Economía - Spanish Journal of Economics and Finance, Asociación Cuadernos de Economía, volume 38, issue 106, pages 54-64, Abril.
- Ting Luo & Zhiguo Xiao, 2015, "Selective Disclosure Associated with Institutional Investors: Evidence Based on Chinese Stock Market," Annals of Economics and Finance, Society for AEF, volume 16, issue 2, pages 515-542, November.
- Emine Ebru AKSOY & Erginbay U URLU, 2015, "How did the 2007-2008 Financial Crisis Influence Turkish Firms," Journal of Economics and Political Economy, EconSciences Journals, volume 2, issue 4, pages 494-506, December.
- Selvakumar MARIMUTHU & Jacob MATHAN & Sathyalakshmi VELUSAMY, 2015, "Rural Perspective towards Financial Inclusion," Journal of Economic and Social Thought, EconSciences Journals, volume 2, issue 2, pages 106-120, June.
- Tai-Yuen HON, 2015, "An Overview Online Securities Trading Service in Hong Kong," Journal of Economics Bibliography, EconSciences Journals, volume 2, issue 4, pages 201-207, December.
- Jesper Rudiger & Adrien Vigier, 2015, "Pundits and Quacks," Cowles Foundation Discussion Papers, Cowles Foundation for Research in Economics, Yale University, number 1997, Mar.
- Sergio Masciantonio, 2015, "Identifying and Tracking Global, EU, and Eurozone Systemically Important Banks with Public Data," Applied Economics Quarterly (formerly: Konjunkturpolitik), Duncker & Humblot GmbH, Berlin, volume 61, issue 1, pages 25-64, DOI: 10.3790/aeq.61.1.25.
- Nadja Dwenger & Frank M. Fossen & Martin Simmler, 2015, "Bankkredite wichtig für Unternehmensinvestitionen," DIW Wochenbericht, DIW Berlin, German Institute for Economic Research, volume 82, issue 40, pages 899-903.
- Nadja Dwenger & Frank M. Fossen & Martin Simmler, 2015, "From Financial to Real Economic Crisis: Evidence from Individual Firm-Bank Relationships in Germany," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1510.
- Lescourret, Laurence & Moinas, Sophie, 2015, "Liquidity Supply across Multiple Trading Venues," ESSEC Working Papers, ESSEC Research Center, ESSEC Business School, number WP1505, Mar.
- Martin , Thorsten & Sonnenburg , Florian, 2015, "Managerial Ownership Changes and Mutual Fund Performance," HEC Research Papers Series, HEC Paris, number 1102, Aug.
- Holton, Sarah & d’Acri, Costanza Rodriguez, 2015, "Jagged cliffs and stumbling blocks: interest rate pass-through fragmentation during the Euro area crisis," Working Paper Series, European Central Bank, number 1850, Sep.
- Peltonen, Tuomas A. & Sarlin, Peter & Rancan, Michela, 2015, "Interconnectedness of the banking sector as a vulnerability to crises," Working Paper Series, European Central Bank, number 1866, Nov.
- Reinhart, Carmen & Trebesch, Christoph, 2015, "The International Monetary Fund: 70 Years of Reinvention," Working Paper Series, Harvard University, John F. Kennedy School of Government, number 15-077, Dec.
- Werner, Ingrid M. & Wen, Yuanji & Rindi, Barbara & Consonni, Francesco & Buti, Sabrina, 2015, "Tick Size: Theory and Evidence," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2015-04, Mar.
- Doidge, Craig & Karolyi, George Andrew & Stulz, Rene M., 2015, "The U.S. Listing Gap," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2015-07, May.
- Berk, Jonathan B. & van Binsbergen, Jules H., 2015, "Assessing Asset Pricing Models Using Revealed Preference," Research Papers, Stanford University, Graduate School of Business, number 3130, Mar.
- He, Zhiguo & Krishnamurthy, Arvind, 2015, "A Macroeconomic Framework for Quantifying Systemic Risk," Research Papers, Stanford University, Graduate School of Business, number 3277, Mar.
- Bertomeu, Jeremy & Marinovic, Ivan, 2015, "A Theory of Hard and Soft Information," Research Papers, Stanford University, Graduate School of Business, number 3318, Mar.
- Bertomeu, Jeremy & Ma, Paul, 2015, "How Often Do Managers Withhold Information?," Research Papers, Stanford University, Graduate School of Business, number 3376.
- Marinovic, Ivan, 2015, "How Often Do Managers Withhold Information?," Research Papers, Stanford University, Graduate School of Business, number 3377, Dec.
- Gallardo, German Gutierrez & Schuermann, Til & Duane, Michael, 2015, "Stress Testing Convergence," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 15-11, Jul.
- Mehmet Islamo lu & Mehmet Apan & Adem Ayvali, 2015, "Determination of Factors Affecting Individual Investor Behaviours: A Study on Bankers," International Journal of Economics and Financial Issues, Econjournals, volume 5, issue 2, pages 531-543.
- Sufi Faizan Ahmed & Qaisar Ali Malik, 2015, "Credit Risk Management and Loan Performance: Empirical Investigation of Micro Finance Banks of Pakistan," International Journal of Economics and Financial Issues, Econjournals, volume 5, issue 2, pages 574-579.
- Wojahn, Oliver & Geister, Susanne & Richter, Julia, 2015, "The impact of analyst report complexity on trading decisions in an experimental setting," Journal of Behavioral and Experimental Finance, Elsevier, volume 7, issue C, pages 29-32, DOI: 10.1016/j.jbef.2015.05.002.
- Chan, Jackie M.L. & Manova, Kalina, 2015, "Financial development and the choice of trade partners," Journal of Development Economics, Elsevier, volume 116, issue C, pages 122-145, DOI: 10.1016/j.jdeveco.2015.04.002.
- Aymanns, Christoph & Farmer, J. Doyne, 2015, "The dynamics of the leverage cycle," Journal of Economic Dynamics and Control, Elsevier, volume 50, issue C, pages 155-179, DOI: 10.1016/j.jedc.2014.09.015.
- Figueroa, Nicolás & Leukhina, Oksana, 2015, "Lending terms and aggregate productivity," Journal of Economic Dynamics and Control, Elsevier, volume 59, issue C, pages 1-21, DOI: 10.1016/j.jedc.2015.07.001.
- Eeckhoudt, Louis R. & Laeven, Roger J.A., 2015, "The probability premium: A graphical representation," Economics Letters, Elsevier, volume 136, issue C, pages 39-41, DOI: 10.1016/j.econlet.2015.08.029.
- Hausenblas, Václav & Kubicová, Ivana & Lešanovská, Jitka, 2015, "Contagion risk in the Czech financial system: A network analysis and simulation approach," Economic Systems, Elsevier, volume 39, issue 1, pages 156-180, DOI: 10.1016/j.ecosys.2014.07.001.
- Acquaah, Moses, 2015, "Determinants of corporate listings on stock markets in Sub-Saharan Africa: Evidence from Ghana," Emerging Markets Review, Elsevier, volume 22, issue C, pages 154-175, DOI: 10.1016/j.ememar.2014.10.002.
- Kurronen, Sanna, 2015, "Financial sector in resource-dependent economies," Emerging Markets Review, Elsevier, volume 23, issue C, pages 208-229, DOI: 10.1016/j.ememar.2015.04.010.
- Castro, Fernanda & Kalatzis, Aquiles E.G. & Martins-Filho, Carlos, 2015, "Financing in an emerging economy: Does financial development or financial structure matter?," Emerging Markets Review, Elsevier, volume 23, issue C, pages 96-123, DOI: 10.1016/j.ememar.2015.04.012.
- Lamoureux, Christopher G. & Wang, Qin, 2015, "Measuring private information in a specialist market," Journal of Empirical Finance, Elsevier, volume 30, issue C, pages 92-119, DOI: 10.1016/j.jempfin.2014.10.002.
- Košak, Marko & Li, Shaofang & Lončarski, Igor & Marinč, Matej, 2015, "Quality of bank capital and bank lending behavior during the global financial crisis," International Review of Financial Analysis, Elsevier, volume 37, issue C, pages 168-183, DOI: 10.1016/j.irfa.2014.11.008.
- Chow, Victor & Lai, Christine W., 2015, "Conditional Sharpe Ratios," Finance Research Letters, Elsevier, volume 12, issue C, pages 117-133, DOI: 10.1016/j.frl.2014.11.001.
- Brawn, Derek & Sevǐc, Aleksandar, 2015, "Net payout return: An alternative to the traditional returns approach based on dividends and share repurchases," Finance Research Letters, Elsevier, volume 13, issue C, pages 66-73, DOI: 10.1016/j.frl.2015.03.002.
- Bi, XiaoGang & Wang, Danni, 2015, "Role of single largest investors: Examples of mutual funds and acquisitions," Finance Research Letters, Elsevier, volume 14, issue C, pages 104-110, DOI: 10.1016/j.frl.2015.05.010.
- Peltomäki, Jarkko & Vähämaa, Emilia, 2015, "Investor attention to the Eurozone crisis and herding effects in national bank stock indexes," Finance Research Letters, Elsevier, volume 14, issue C, pages 111-116, DOI: 10.1016/j.frl.2015.05.009.
- Andonov, Aleksandar & Eichholtz, Piet & Kok, Nils, 2015, "Intermediated investment management in private markets: Evidence from pension fund investments in real estate," Journal of Financial Markets, Elsevier, volume 22, issue C, pages 73-103, DOI: 10.1016/j.finmar.2014.11.002.
- Valenzuela, Marcela & Zer, Ilknur & Fryzlewicz, Piotr & Rheinländer, Thorsten, 2015, "Relative liquidity and future volatility," Journal of Financial Markets, Elsevier, volume 24, issue C, pages 25-48, DOI: 10.1016/j.finmar.2015.03.001.
- Mayordomo, Sergio & Abascal, María & Alonso, Tatiana & Rodriguez-Moreno, Maria, 2015, "Fragmentation in the European interbank market: Measures, determinants, and policy solutions," Journal of Financial Stability, Elsevier, volume 16, issue C, pages 1-12, DOI: 10.1016/j.jfs.2014.11.001.
- Jank, Stephan & Wedow, Michael, 2015, "Sturm und Drang in money market funds: When money market funds cease to be narrow," Journal of Financial Stability, Elsevier, volume 16, issue C, pages 59-70, DOI: 10.1016/j.jfs.2014.12.002.
- Allen, Jason & Paligorova, Teodora, 2015, "Bank loans for private and public firms in a liquidity crunch," Journal of Financial Stability, Elsevier, volume 18, issue C, pages 106-116, DOI: 10.1016/j.jfs.2015.03.004.
- Gete, Pedro & Gómez, Juan-Pedro, 2015, "Compensation contracts and fire sales," Journal of Financial Stability, Elsevier, volume 18, issue C, pages 154-171, DOI: 10.1016/j.jfs.2015.04.002.
- Demirgüç-Kunt, Asli & Kane, Edward & Laeven, Luc, 2015, "Deposit insurance around the world: A comprehensive analysis and database," Journal of Financial Stability, Elsevier, volume 20, issue C, pages 155-183, DOI: 10.1016/j.jfs.2015.08.005.
- Wu, Deming, 2015, "The effects of government capital and liquidity support programs on bank lending: Evidence from the syndicated corporate credit market," Journal of Financial Stability, Elsevier, volume 21, issue C, pages 13-25, DOI: 10.1016/j.jfs.2015.09.002.
- Silva, Paulo Pereira da & Vieira, Carlos & Vieira, Isabel, 2015, "The determinants of CDS open interest dynamics," Journal of Financial Stability, Elsevier, volume 21, issue C, pages 95-109, DOI: 10.1016/j.jfs.2015.09.003.
- Gulamhussen, Mohamed Azzim & Santa, Sílvia Fonte, 2015, "Female directors in bank boardrooms and their influence on performance and risk-taking," Global Finance Journal, Elsevier, volume 28, issue C, pages 10-23, DOI: 10.1016/j.gfj.2015.11.002.
- Muûls, Mirabelle, 2015, "Exporters, importers and credit constraints," Journal of International Economics, Elsevier, volume 95, issue 2, pages 333-343, DOI: 10.1016/j.jinteco.2014.12.003.
- Efing, Matthias & Hau, Harald & Kampkötter, Patrick & Steinbrecher, Johannes, 2015, "Incentive pay and bank risk-taking: Evidence from Austrian, German, and Swiss banks," Journal of International Economics, Elsevier, volume 96, issue S1, pages 123-140, DOI: 10.1016/j.jinteco.2014.12.006.
- Ikefuji, Masako & Laeven, Roger J.A. & Magnus, Jan R. & Muris, Chris, 2015, "Expected utility and catastrophic consumption risk," Insurance: Mathematics and Economics, Elsevier, volume 64, issue C, pages 306-312, DOI: 10.1016/j.insmatheco.2015.06.007.
- Purda, Lynnette & Sonmez, Fatma & Zhong, Ligang, 2015, "Financial institution credit assessment and implications for portfolio managers," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 38, issue C, pages 148-166, DOI: 10.1016/j.intfin.2015.05.018.
- Ho, Liang-Chun & Huang, Chia-Hsing, 2015, "The nonlinear relationships between stock indexes and exchange rates," Japan and the World Economy, Elsevier, volume 33, issue C, pages 20-27, DOI: 10.1016/j.japwor.2015.02.002.
- Cici, Gjergji & Palacios, Luis-Felipe, 2015, "On the use of options by mutual funds: Do they know what they are doing?," Journal of Banking & Finance, Elsevier, volume 50, issue C, pages 157-168, DOI: 10.1016/j.jbankfin.2014.09.008.
- Hoque, Hafiz & Andriosopoulos, Dimitris & Andriosopoulos, Kostas & Douady, Raphael, 2015, "Bank regulation, risk and return: Evidence from the credit and sovereign debt crises," Journal of Banking & Finance, Elsevier, volume 50, issue C, pages 455-474, DOI: 10.1016/j.jbankfin.2014.06.003.
- Fouquau, Julien & Spieser, Philippe K., 2015, "Statistical evidence about LIBOR manipulation: A “Sherlock Holmes” investigation," Journal of Banking & Finance, Elsevier, volume 50, issue C, pages 632-643, DOI: 10.1016/j.jbankfin.2014.03.039.
- Martikainen, Emmi & Schmiedel, Heiko & Takalo, Tuomas, 2015, "Convergence of European retail payments," Journal of Banking & Finance, Elsevier, volume 50, issue C, pages 81-91, DOI: 10.1016/j.jbankfin.2014.09.021.
- Vicente, L.A.B.G. & Cerezetti, F.V. & De Faria, S.R. & Iwashita, T. & Pereira, O.R., 2015, "Managing risk in multi-asset class, multimarket central counterparties: The CORE approach," Journal of Banking & Finance, Elsevier, volume 51, issue C, pages 119-130, DOI: 10.1016/j.jbankfin.2014.08.016.
- Celiker, Umut & Chowdhury, Jaideep & Sonaer, Gokhan, 2015, "Do mutual funds herd in industries?," Journal of Banking & Finance, Elsevier, volume 52, issue C, pages 1-16, DOI: 10.1016/j.jbankfin.2014.11.006.
- Mathur, Ike & Marcelin, Isaac, 2015, "Institutional failure or market failure?," Journal of Banking & Finance, Elsevier, volume 52, issue C, pages 266-280, DOI: 10.1016/j.jbankfin.2014.12.018.
- Godlewski, Christophe J., 2015, "The certification value of private debt renegotiation and the design of financial contracts: Empirical evidence from Europe," Journal of Banking & Finance, Elsevier, volume 53, issue C, pages 1-17, DOI: 10.1016/j.jbankfin.2014.12.006.
- García-Meca, Emma & García-Sánchez, Isabel-María & Martínez-Ferrero, Jennifer, 2015, "Board diversity and its effects on bank performance: An international analysis," Journal of Banking & Finance, Elsevier, volume 53, issue C, pages 202-214, DOI: 10.1016/j.jbankfin.2014.12.002.
- Calluzzo, Paul & Dong, Gang Nathan, 2015, "Has the financial system become safer after the crisis? The changing nature of financial institution risk," Journal of Banking & Finance, Elsevier, volume 53, issue C, pages 233-248, DOI: 10.1016/j.jbankfin.2014.10.009.
- Cenni, Stefano & Monferrà, Stefano & Salotti, Valentina & Sangiorgi, Marco & Torluccio, Giuseppe, 2015, "Credit rationing and relationship lending. Does firm size matter?," Journal of Banking & Finance, Elsevier, volume 53, issue C, pages 249-265, DOI: 10.1016/j.jbankfin.2014.12.010.
- Baele, Lieven & De Bruyckere, Valerie & De Jonghe, Olivier & Vander Vennet, Rudi, 2015, "Model uncertainty and systematic risk in US banking," Journal of Banking & Finance, Elsevier, volume 53, issue C, pages 49-66, DOI: 10.1016/j.jbankfin.2014.11.012.
- Cowan, Arnold R. & Salotti, Valentina, 2015, "The resolution of failed banks during the crisis: Acquirer performance and FDIC guarantees, 2008–2013," Journal of Banking & Finance, Elsevier, volume 54, issue C, pages 222-238, DOI: 10.1016/j.jbankfin.2014.12.016.
- Arango, Carlos & Huynh, Kim P. & Sabetti, Leonard, 2015, "Consumer payment choice: Merchant card acceptance versus pricing incentives," Journal of Banking & Finance, Elsevier, volume 55, issue C, pages 130-141, DOI: 10.1016/j.jbankfin.2015.02.005.
- Leon, Florian, 2015, "Does bank competition alleviate credit constraints in developing countries?," Journal of Banking & Finance, Elsevier, volume 57, issue C, pages 130-142, DOI: 10.1016/j.jbankfin.2015.04.005.
- López-Espinosa, Germán & Moreno, Antonio & Rubia, Antonio & Valderrama, Laura, 2015, "Systemic risk and asymmetric responses in the financial industry," Journal of Banking & Finance, Elsevier, volume 58, issue C, pages 471-485, DOI: 10.1016/j.jbankfin.2015.05.004.
- Moenninghoff, Sebastian C. & Ongena, Steven & Wieandt, Axel, 2015, "The perennial challenge to counter Too-Big-to-Fail in banking: Empirical evidence from the new international regulation dealing with Global Systemically Important Banks," Journal of Banking & Finance, Elsevier, volume 61, issue C, pages 221-236, DOI: 10.1016/j.jbankfin.2015.01.017.
- Iosifidi, Maria & Kokas, Sotirios, 2015, "Who lends to riskier and lower-profitability firms? Evidence from the syndicated loan market," Journal of Banking & Finance, Elsevier, volume 61, issue S1, pages 14-21, DOI: 10.1016/j.jbankfin.2015.02.008.
- Fauceglia, Dario, 2015, "Credit market institutions and firm imports of capital goods: Evidence from developing countries," Journal of Comparative Economics, Elsevier, volume 43, issue 4, pages 902-918, DOI: 10.1016/j.jce.2015.03.007.
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