Revue :: Journal of Banking and Finance

xxxxx : Membre d'EconomiX
xxxxx : Chercheur associé
Raymond Hélène, Allegret Jean-Pierre, Rharrabti Houda, (2017), « The impact of the European sovereign debt crisis on banks stocks. Some evidence of shift contagion in Europe », Journal of Banking and Finance, vol.74, n°, pp.24-37.
Brei Michael, Birchwood Anthony, Noel Dorian, (2017), « Interest margins and bank regulation in Central America and the Caribbean », Journal of Banking and Finance, vol.85, n°, pp.56-68.
Dumitrescu Elena Ivona, Banulescu Georgiana-Denisa, (2015), « Which Are the SIFIs? A Component Expected Shortfall Approach to Systemic Risk », Journal of Banking and Finance, vol.50, n°, pp.575-588.
Gnabo Jean-Yves, Moccero Diego Nicolas, (2015), « Risk management, nonlinearity and aggressiveness in monetary policy: The case of the US Fed », Journal of Banking and Finance, vol.55, pp.281-294.
Brei Michael, Schclarek Curutchet Alfredo, (2015), « A theoretical model of bank lending: does ownership matter in times of crisis? », Journal of Banking and Finance, vol.50, n°, pp.298-307.
Lopez Claude, Delatte Anne-Laure, (2014), « Commodity and Equity Markets: Some Stylized Facts from a Copula Approach », Journal of Banking and Finance.
Bouvatier Vincent, Lepetit Laetitia, Strobel Frank, (2014), « Bank income smoothing, ownership concentration and the regulatory environment », Journal of Banking and Finance, vol.41, n°, pp.253-270.
Ahn Jung-Hyun, Breton Régis, (2014), « Securitization, Competition and Monitoring », Journal of Banking and Finance, vol.40, n°March, pp.195-210.
Gnabo Jean-Yves, Bernal Oscar, Guilmin Gregory, (2014), « Assessing the contribution of banks, insurance and other financial services to systemic risk », Journal of Banking and Finance, vol.47, pp.270-287.
Maillet Bertrand, Boucher Christophe, Kouontchou Patrick, Danielsson Jon, (2014), « Risk Model-at-Risk », Journal of Banking and Finance, vol.44, n°, pp.0-0.
Delatte Anne-Laure, Lopez Claude, (2014), « Commodity and Equity Markets: Some Stylized Facts from a Copula Approach », Journal of Banking and Finance, vol., n°, pp.0-0, (A paraître).
Chopard Bertrand, Blazy Régis, Nigam Nirjhar, (2013), « Building Legal Indexes to Explain Recovery Rates: An Analysis of the French and English Bankruptcy Codes », Journal of Banking and Finance, vol.37, n°6, pp.0-0.
Brei Michael, Gambacorta Leonardo, von Peter Goetz, (2013), « Rescue packages and bank lending », Journal of Banking and Finance, vol.37, n°2, pp.490-505.
Demirguk-kunt Asli, Beck Thorsten, Merrouche Ouarda, (2013), « Islamic Banking versus Conventional Banking: Business model, Efficiency, and Stability », Journal of Banking and Finance.
Aglietta Michel, Rigot Sandra, Brière Marie, Signori Ombretta, (2012), « Rehabiliting the Role of Active Management of Pension Funds », Journal of Banking and Finance, vol.36, n°9, pp.2565-2574.
Havrylchyk Olena, (2012), « • The effect of foreign bank presence on firm entry and exit in transition economies », Journal of Banking and Finance, vol.36, n°6, pp.1710-1721.
Havrylchyk Olena, Jurzyk Emilia, Degryse Hans, Kozak Sylwester, (2012), « • Foreign bank entry and credit allocation in emerging markets », Journal of Banking and Finance, vol.36, n°11, pp.2949-2959.
Mignon Valérie, Coudert Virginie, Couharde Cécile, (2011), « Exchange rate volatility across financial crises », Journal of Banking and Finance, vol.35, n°, pp.3010-3018.
Havrylchyk Olena, Jurzyk Emilia, (2011), « • Inherited or earned? Performance of foreign banks in Central and Eastern Europe », Journal of Banking and Finance, vol.35, n°5, pp.1291-1302.
Verdier Marianne, Bourreau Marc, (2010), « Private Cards and the Bypass of Payment Systems by Merchants », Journal of Banking and Finance, vol.34, n°, pp.1798-1807.
Schanz Jochen, Merrouche Ouarda, (2010), « Banks’ Intraday Liquidity Management during Operational Outages », Journal of Banking and Finance.
Gnabo Jean-Yves, Lecourt Christelle, Beine Michel, Bernal Oscar, (2009), « Intervention policy of the BoJ: A unified approach », Journal of Banking and Finance, vol.33, pp.904-913.
Havrylchyk Olena, (2006), « • Efficiency of the Polish banking industry: foreign versus domestic banks », Journal of Banking and Finance, vol.30, n°, pp.1975-1996.
Egert Balázs, Halpern László, (2006), « Equilibrium exchange rates in Central and Eastern Europe: A meta-regression analysis », Journal of Banking and Finance, vol.30, n°5, pp.1359-1374.
Egert Balázs, Lahrèche-Révil Amina, Lommatzsch Kirsten, (2006), « Real exchange rates in small open OECD and transition economies: Comparing apples with oranges? », Journal of Banking and Finance, vol.30, n°12, pp.3393-3406.
Amable Bruno, de Bandt Olivier, Chatelain Jean-Bernard, (2002), « Optimal Capacity in the Banking Sector and Economic Growth », Journal of Banking and Finance, vol., n°, pp.0-0.
de Bandt Olivier, Davis E Philip, (2000), « Competition, contestability and market structure in European banking sectors on the eve of EMU », Journal of Banking and Finance, vol., n°, pp.0-0.
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