目錄
* Cross-border capital flows and bank risk-taking
跨境資本流動與銀行風險承擔
* Banking stress test effects on returns and risks
銀行業壓力測試對收益和風險的影響
* Academic abilities, education and performance in the stock market
學術能力、教育程度與股票市場表現
* Hedging geopolitical risk with precious metals
用貴金屬對沖地緣政治風險
* Measuring multi-product banks’ market power using the Lerner index
使用勒納指數衡量多産品銀行的市場力量
* Comparing with the average: Reference points and market reactions to above-average earnings surprises
與平均值比較:參照點和市場對不符合預測超平均收益的反應
* Modelling extremal dependence for operational risk by a bipartite graph
基于二分圖的操作風險極值相關性建模
* Evidence of strategic information uncertainty around opportunistic insider purchases
機會主義内幕交易中戰略信息不确定性的證據
* Crisis regulations: The unexpected consequences of floating NAV for money market funds
危機監管:浮動資産淨值對貨币市場基金的非預期影響
原文鍊接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/issues
翻譯者:侯思遠