目录
* Cross-border capital flows and bank risk-taking
跨境资本流动与银行风险承担
* Banking stress test effects on returns and risks
银行业压力测试对收益和风险的影响
* Academic abilities, education and performance in the stock market
学术能力、教育程度与股票市场表现
* Hedging geopolitical risk with precious metals
用贵金属对冲地缘政治风险
* Measuring multi-product banks’ market power using the Lerner index
使用勒纳指数衡量多产品银行的市场力量
* Comparing with the average: Reference points and market reactions to above-average earnings surprises
与平均值比较:参照点和市场对不符合预测超平均收益的反应
* Modelling extremal dependence for operational risk by a bipartite graph
基于二分图的操作风险极值相关性建模
* Evidence of strategic information uncertainty around opportunistic insider purchases
机会主义内幕交易中战略信息不确定性的证据
* Crisis regulations: The unexpected consequences of floating NAV for money market funds
危机监管:浮动资产净值对货币市场基金的非预期影响
原文链接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/issues
翻译者:侯思远