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Journal of Banking and Finance 2020年第09期

[發布日期]:2020-11-02  [浏覽次數]:

目錄
* Geographic spillover of dominant firms’ shocks
主導企業沖擊的地理溢出效應
* Government financial institutions and capital allocation efficiency in Japan
日本政府金融機構與資本配置效率
* Modeling asset returns under time-varying semi-nonparametric distributions
時變半非參數分布下的資産收益模型
* A historical loss approach to community bank stress testing
社區銀行壓力測試的曆史損失法
* Intangible assets and capital structure
無形資産與資本結構
* Liquidity at risk: Joint stress testing of solvency and liquidity
流動性風險: 償付能力和流動性的聯合壓力測試
* Bank relationship loss: The moderating effect of information opacity
銀行關系損失: 信息不透明的調節作用
* Foreign Lenders’ adoption of performance pricing provisions in syndicated loans
外國貸款人在銀團貸款中采用業績定價規定
* Short selling threat and corporate financing decisions
賣空威脅與企業融資決策
* Do conventional monetary policy instruments matter in unconventional times?
常規貨币政策工具在非常規時期重要嗎?
* Comparing high-dimensional conditional covariance matrices: Implications for portfolio selection
比較高維條件協方差矩陣: 對投資組合選擇的影響
* (Un)intended consequences? The impact of the 2017 tax cuts and jobs act on shareholder wealth
(非)預期後果? 2017年減稅和就業機會對股東财富的影響
* Where do banks value corporate social responsibility more? Evidence on the role of national culture
銀行在哪方面更看重企業的社會責任?民族文化的作用
* Political event portfolios
政治事件投資組合
* Does Information Asymmetry Impede Market Efficiency? Evidence from Analyst Coverage
信息不對稱會阻礙市場效率嗎?分析師報道的證據
* The Shareholder's response to a firm's first international acquisition
股東對公司首次國際收購的反應
* The economic record of the government and sovereign bond and stock returns around national elections
大選前後政府的經濟記錄以及主權債券和股票收益
* Foreign ownership and market power: The special case of European banks
外資所有權與市場勢力: 歐洲銀行業的特例
* Up- and downside variance risk premia in global equity markets
全球股票市場的上下波動風險溢價
* Optimal fees in hedge funds with first-loss compensation
具有初始損失補償對沖基金的最優費用
* Interactions between bank levies and corporate taxes: How is bank leverage affected?
銀行稅和公司稅間的相互作用:銀行杠杆如何受到影響?
* Systematic stress tests on public data
對公共數據進行系統壓力測試
* Easy money? Managerial power and the option backdating game revisited
不義之财?重新審視管理權和期權回溯博弈
* Risk shifting and the allocation of capital: A Rationale for macroprudential regulation
風險轉移與資本配置: 宏觀審慎監管的理論基礎
* Mortgage arrears, regulation and institutions: Cross-country evidence
抵押貸款拖欠、監管和制度: 跨國證據
* Stock market listing and the persistence of bank performance across crises
股市上市與銀行在危機中的持續性表現
* Foreign ownership in Chinese credit ratings industry: Information revelation or certification?
中國信用評級業的外資控股: 信息披露還是認證?
* Reserve balances, the federal funds market and arbitrage in the new regulatory framework
新的監管框架中的儲備金餘額,聯邦基金市場和套利
* Affine multivariate GARCH models
仿射多元 GARCH 模型
* Geostatistical modeling of dependent credit spreads: Estimation of large covariance matrices and imputation of missing data
非獨立信貸利差的地理統計模型: 大協方差矩陣的估計和缺失數據的填補
* Do the most prominent firms really make the worst deals? How selection issues affect inferences from M&A studies
最好的公司是否做出最差的交易?選擇問題影響并購研究的推論
* Inside the director network: When directors trade or hold inside, interlock, and unconnected stocks
董事内部網絡:董事交易或持有内部、互聯和非關聯股票
* Time since targets’ initial public offerings, asymmetric information, uncertainty, and acquisition pricing
目标公司首次公開發行時間、信息不對稱、不确定性和收購定價
* The Complexity of Bank Holding Companies: A Topological Approach
銀行控股公司複雜性的拓撲分析 

原文鍊接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/issues 

翻譯者:侯思遠



上一條:Review of Finance 2020年第5期 下一條:American Economic Review 2020年第10期

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