Content
December 2020, Volume 08, Issue 02
- 1-2 Editorial Note
by Santiago Carbo-Valverde - 1-19 On The Importance Of Traditional Lending Activity For Banking Systems Stability
by Stefano Zedda & Michele Patané & Luana Miggiano - 1-27 The Role Of Family Governance Beyond Financial Ratios: An Integrated Perspective On Family Firms’ Survival
by Carmen Gallucci & Rosalia Santulli & Michele Modina & Michela De Rosa - 1-28 Size Precedence And Share Volume: The Case Of The Psx Exchange
by Stephen N. Jurich - 1-30 Does Revenue Diversification Still Matter In Banking? Evidence From A Cross-Country Analysis
by Simone Rossi & Alberto Dreassi & Mariarosa Borroni & Andrea Paltrinieri - 1-42 Do Fundamentals Drive Relative Valuation? Evidence From Global Stock Market Indices
by Komla Agudze & Oyakhilome Ibhagui
June 2020, Volume 08, Issue 01
- 1-4 Editorial Note
by Santiago Carbo-Valverde & Francesca Arnaboldi & Vincenzo Capizzi & Francisco Rodriguez-Fernandez - 1-5 Big Banks, Low Margins: What Is The Future Of Banking?
by Anthony Saunders - 1-13 Financial Digitalization: Banks, Fintech, Bigtech, And Consumers
by Santiago Carbó Valverde & Francisco Rodríguez Fernández - 1-25 Sme Access To Finance And The Global Financial Crisis
by Gregory F. Udell - 1-28 “Finance And Growth” Re-Visited
by Lizethe Méndez-Heras & Steven Ongena - 1-31 Recent Developments In The Fintech Industry
by Thomas J. Chemmanur & Michael B. Imerman & Harshit Rajaiya & Qianqian Yu
December 2019, Volume 07, Issue 02
- 1-3 Editorial Note
by Santiago Carbo-Valverde - 1-18 The Efficiency Of Ensemble Classifiers In Predicting The Johannesburg Stock Exchange All-Share Index Direction
by Thabang Mokoaleli-Mokoteli & Shaun Ramsumar & Hima Vadapalli - 1-18 The Investment Certificates In The Italian Market: A Comparison Of Quoted And Estimated Prices
by Brando Viganò & Sebastiano Vitali & Vittorio Moriggia & Giovanna Zanotti - 1-22 ACCURACY VERSUS COMPLEXITY TRADE-OFF IN VaR MODELING: COULD TECHNICAL ANALYSIS BE A SOLUTION?
by Evangelos Vasileiou - 1-25 Solicited Versus Unsolicited Ratings: The Role Of Selection
by Anna Gibert - 1-33 How Do Investors Perceive Long-Term Growth Targets And Forecast Horizons In Strategic Plans? Evidence From Italian Firms
by Giuseppe Di Martino
June 2019, Volume 07, Issue 01
- 1-3 Editorial Note
by Santiago Carbo-Valverde & Francesca Arnaboldi & Vincenzo Capizzi & Stefano Dell'Atti & Pasquale di Biase - 1-10 Corporate Governance In The European Banking Sector: Some Remarks On Diversity
by Francesca Arnaboldi - 1-25 Financial Intermediaries’ Asset–Liability Dependency And Low-Interest-Rate Environment: Evidence From Eu Life Insurers
by Domenico Curcio & Nicola Borri & Rosaria Cerrone & Rosa Cocozza - 1-29 The Peculiarity Of The Cooperative And Mutual Model: Evidence From The European Banking Sector
by Vincenzo Pacelli & Francesca Pampurini & Stefania Sylos Labini - 1-30 Sustainable Compensation And Performance: An Empirical Analysis Of European Banks
by Elisabetta D’Apolito & Antonia P. Iannuzzi & Stefania Sylos Labini & Edgardo Sica - 1-36 How Do You Disclose? Some Evidence On It Governance And Performance In European Banking System
by Ida Claudia Panetta & Sabrina Leo & Fabrizio Santoboni & Gianfranco Vento
December 2018, Volume 06, Issue 02
- 1-3 Editorial Note
by Santiago Carbo-Valverde - 1-17 The Relationship Between Stock Return Skewness And Bank Features
by Silvia Bressan & Alex Weissensteiner - 1-20 Volatility Measures, Liquidity And Credit Loss Provisions During Periods Of Financial Distress
by Giulio Anselmi - 1-24 Liquidity As An Asset Pricing Factor In The Uk
by Panayiotis G. Artikis - 1-26 An Equilibrium Model For An Otc Derivative Market Under A Counterparty Risk Constraint
by Kazuhiro Takino - 1-28 Diversity Measures And Quality Of Banks’ Boards: The Italian Case
by Rossella Locatelli & Cristiana Schena & Alessandra Tanda & Andrea Uselli
June 2018, Volume 06, Issue 01
- 1-3 Editorial
by Santiago Carbo-Valverde - 1-21 Does Post-Ipo M&A Activity Affect Firms’ Profitability And Survival?
by Matteo Bonaventura & Stefano Bonini & Vincenzo Capizzi & Giancarlo Giudici - 1-22 Do Banks Game On Dynamic Provisioning?
by Santiago Carbo-Valverde & Francisco Rodriguez-Fernandez - 1-24 Leverage, Cost Of Capital And Bank Valuation
by Federico Beltrame & Stefano Caselli & Daniele Previtali - 1-25 Reward Culture And Banks’ Performance During The 2008 Financial Crisis
by Hazel Thu-Hien Nguyen - 1-43 Hedge Funds: Risk And Performance
by Sangheon Shin & Jan Smolarski & Gökçe Soydemir