目录
Political uncertainty, market anomalies and Presidential honeymoons
政治不确定性、市场异象和总统新选期
Capital flows in the euro area and TARGET2 balances
欧元区的资本流动和TARGET2均衡
Public knowledge about and attitudes towards central bank independence in New Zealand
公众对新西兰中央银行独立性的认识和态度
I am a blockchain too: How does the market respond to companies’ interest in blockchain?
我也是区块链:市场如何回应公司对区块链的关注?
Voting methods for director election, monitoring costs, and institutional ownership
董事选举,监督成本和机构所有权的投票方法
Back to the future: Backtesting systemic risk measures during historical bank runs and the great depression
回到未来:历史银行挤兑和大萧条时期系统性风险度量的回溯测试
Number of brothers, risk sharing, and stock market participation
兄弟人数,风险分担和股票市场参与
Currency matching by non-financial corporations
非金融公司的货币匹配
Ultimate ownership, crash risk, and split share structure reform in China
中国的最终产权,崩溃风险和股权分置改革
Corporate relationship spending and stock price crash risk: Evidence from China's anti-corruption campaign
公司关系支出和股价崩盘风险:来自中国反腐败运动的证据
Governance, board inattention, and the appointment of overconfident CEOs
治理、董事会疏忽和任命过度自信的CEO
Does competition enhance the double-bottom-line performance of microfinance institutions?
竞争是否会提高小额信贷机构的双底绩效?
Debiased expert forecasts in continuous-time asset allocation
专家对连续时间资产分配的预测偏差
Know thy neighbor: Political uncertainty and the informational advantage of local institutional investors
知己知彼:政治不确定性与地方机构投资者的信息优势
Directors who serve multiple pension funds: Are they conflicted or skilled?
为多个养老基金服务的董事:冲突还是优势?
Does mortgage lending impact business credit? Evidence from a new disaggregated bank credit data set
抵押贷款会影响商业信用吗? 基于新分类的银行信贷数据集
Monetary policy announcements and market interest rates’ response: Evidence from China
货币政策公告和市场利率反应:以中国为例
Procyclical leverage: Evidence from banks’ lending and financing decisions
顺周期杠杆:来自银行借贷和融资决策的证据
Equity market integration and portfolio rebalancing
股票市场整合和投资组合再平衡
Impacts of interest rate caps on the payday loan market: Evidence from Rhode Island
利率上限对发薪日贷款市场的影响:来自罗德岛的证据
How does bank ownership affect firm investment? Evidence from China
银行所有权如何影响公司投资?以中国为例
Market in Financial Instruments Directive (MiFID), stock price informativeness and liquidity
金融工具市场指令(MiFID)、股价信息性和流动性
Why do private firms hold less cash than public firms? International evidence on cash holdings and borrowing costs
为什么私人公司持有的现金少于公有公司? 有关现金持有量和借贷成本的国际证据
Curve momentum
曲线动量
Aftershocks of monetary unification: Hysteresis with a financial twist
货币一体化的后果:滞后与财政扭曲
Cross-border transmission of emergency liquidity
紧急流动资金的跨境转移
International effects of a compression of euro area yield curves
欧元区收益率曲线趋平的国际效应
How connected is the global sovereign credit risk network?
全球主权信用风险网络间有何关联?
The distributional effects of conventional monetary policy and quantitative easing: Evidence from an estimated DSGE model
常规货币政策和量化宽松政策的分配效应:基于DSGE估计模型
原文链接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/issues
翻译者:侯思远