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Notes, Comments and Preliminary results

Dec 30 2023 Euikyu Choi , Wei Du , Orhan Kara and Marek Marciniak
  Market responses to S&P exclusions: Evidence from the 2010-2019 period
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 30 2023 Valentine Soumtang Bime and Itchoko Motande Mondjeli Mwa Ndjokou
  Does institutional quality matter in financial development and income inequality nexus? new evidence from Sub-Saharan Africa
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 30 2023 Abd Rahman Razak and Wahyoe Soedarmono
  Revisiting the finance-growth nexus: Global evidence
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 30 2023 Junkai Wang and Robert Hudson
  Testing for herding using different return definitions: a comparison between simple and logarithmic returns
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2023 Patrizio Morganti
  From shadow banking to resilient market-based finance
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2023 Su-Jane Chen
  Beta convergence and sigma convergence of key financial ratios post the Great Recession: community banks vs. non-community banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2023 Sofiane El Ouardi
  Leading indicators of sovereign defaults in middle- and low-income countries: the role of foreign exchange reserve ratios in times of pandemic.
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2023 Maia Gejadze , Pierre Giot and Armin Schwienbacher
  On venture capital exit dynamics
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2023 Gianluca P. M. Virgilio and Pedro Hector Parco Espinoza
  The impact of Intermarket Sweep Orders on volatility: an agent-based stock market model
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2023 Endre J. Reite and Joakim Blix Prestmo
  Platform Perils: The winner's curse on B2C consumer lending platforms
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2023 Akira Sakai
  Have lower interest rates tightened capital regulation? Empirical analysis using data of regional banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 30 2022 Emmanuel Mamatzakis and Christos Triantopoulos
  Allocative and technical efficiency of social banks vis a vis conventional banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 30 2022 Van dan Dang
  Financial reporting and bank development: Evidence from Vietnam
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 30 2022 Kadandji André
  The Impact of competition on the social performance of microfinance institutions in Cameroon
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 30 2022 Selahattin Tolga Er and Ender Demir
  A matter of life or non-life: the role of economic uncertainty on insurance consumption
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 30 2022 Whelsy Boungou , Francis Osei-Tutu , Alhonita Yatié and Amara Zongo
  The Ukraine-Russia war and systemic financial stress
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2022 Doddy Ariefianto and Irwan Trinugroho
  Bank risk, business diversification, systemic designation and bank valuation
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 30 2022 Paulo Matos , Cristiano Da Silva and Antonio Costa
  On the relationship between COVID-19 and G7 banking co-movements
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2022 Magnus Blomkvist , Giacomo Nocera and Milos Vulanovic
  SPAC CEOs and capital raising outcomes
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 30 2022 David Roubaud
  A real option to divest with two correlated sources of ambiguity
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 20 2022 Hwang Kim and Yuinyon Kim
  The Disproportionate Impacts of Covid-19 on Private Investors During and After the Covid-19 Pandemic: A Mobile Trading App Analysis in South Korea
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 20 2022 Seyed Alireza Athari
  Financial Inclusion, Political Risk, and Banking Sector Stability: Evidence from Different Geographical Regions
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 29 2021 Christian-lambert Nguena , Fulbert Tchana tchana and Albert Zeufack
  On the determinants of housing finance development: Evidence from Sub-Saharan Africa (SSA)
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 29 2021 Kok-tiong Lim , Kim-leng Goh and Kian-teng Kwek
  The influence of sovereign credit ratings on sovereign credit default swaps: do splits matter?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 18 2021 Dung viet Tran , Trung duc Nguyen and Chi huu Lu
  Does the dividend policy signal quality? Investigation on the bank funding costs, and market discipline
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 18 2021 Whelsy Boungou and Charles Mawusi
  Economic Policy Uncertainty and Banks' Interest Income: Empirical Evidence from an International Panel Dataset
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 17 2021 Maxime Fajeau
  Has Financial Deepening Done More Harm Than Good?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 17 2021 F. Henrique Castro and Marcelo Guzella
  Individual investor attention and the predictability of stock market volatility and returns
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 17 2021 Alexandre Garel and Benjamin Le pendeven
  Calendar effects and crowdfunded projects
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 06 2021 Roukia Bouhider
  Econometric study of the effect of deposits on Islamic Banks profitability: Evidence from Malaysia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 18 2021 Mohamed Ben Mimoun
  Stability of Conventional and Islamic banks, externalities and resilience to crises: evidences from comprehensive Saudi banks' time-series data
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 18 2021 Désiré Avom , Chrysost Bangaké and Hermann Ndoya
  Measuring financial inclusion in African countries
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 11 2021 Marc Kouzez
  Foreign ownership and bank performance Evidence from French market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2021 Gamze Ozturk Danisman and Ender Demir
  The Effect of Pandemics on Domestic Credit: A Cross-country Analysis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2021 Abba Yadou Barnabé , Ningaye Paul and Bangake Chrysost
  Do remittances spur financial inclusion in Africa? a multi-dimensional approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 09 2021 Magnus Blomkvist , Johannes Kortekangas and Hitesh Vyas
  Credit rating levels and acquisitions: the European evidence
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 14 2020 Geoffroy Enjolras and Philippe Madiès
  The role of bank analysts and scores in the prediction of financial distress: Evidence from French farms
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 24 2020 Walid Benayed , Nouha Bougharriou and Foued Badr Gabsi
  The threshold effect of political institutions on the finance-growth nexus: Evidence from Sub-Saharan Africa
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 14 2020 Ameni Ghenimi , Hasna Chaibi and Azhaar Lajmi
  The liquidity risk-credit risk-profitability trilogy: A comparative study between Islamic and conventional banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 14 2020 Carmela D'Avino
  Business cycle synchronization: The role of US global banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 18 2020 Dhafer Saïdane and Sana Ben Abdallah
  Sustainability and Financial Stability: Evidence from European Banks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 18 2020 Bertrand Groslambert and Wan-Ni Lai
  Ranking tail risk across international stock markets
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 19 2020 Ilyes Abid , Abderrazak Dhaoui , Khaled Guesmi and Olfa Kaabia
  Hedging strategy for financial variables and commodities
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 06 2020 Nicholas Apergis , Tasawar Hayat and Tareq Saeed
  The monetary policy transmission mechanism and the role of money market funds in the Eurozone
  Abstract  Contact Information  Citation  Full Text  -  Note