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Year of publication
Subject
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Theory 1,335 Theorie 1,334 USA 880 United States 873 Bank 776 Börsenkurs 573 Share price 557 Portfolio selection 555 Portfolio-Management 550 Capital income 540 Kapitaleinkommen 540 Welt 538 World 538 Credit risk 487 Financial crisis 485 Kreditrisiko 454 Finanzkrise 432 Estimation 421 Schätzung 419 Volatility 372 Volatilität 359 Bank lending 306 Kreditgeschäft 300 CAPM 271 Behavioural finance 266 Anlageverhalten 265 Bank risk 265 Bank regulation 257 Bankrisiko 254 Corporate governance 251 Bankenregulierung 243 EU countries 240 EU-Staaten 240 Risk 222 Corporate Governance 220 Yield curve 218 Stock market 216 Zinsstruktur 216 Aktienmarkt 214 Risiko 209
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Online availability
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Undetermined 5,864 Free 2
Type of publication
All
Article 13,882 Book / Working Paper 43
Type of publication (narrower categories)
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Article in journal 5,489 Aufsatz in Zeitschrift 5,489 Collection of articles of several authors 77 Sammelwerk 77 Konferenzschrift 29 Conference proceedings 24 Conference paper 7 Konferenzbeitrag 7 Systematic review 6 Übersichtsarbeit 6 Aufsatzsammlung 2 Festschrift 2 Nachruf 2 Article 1 Bibliografie enthalten 1 Bibliography included 1 Mehrbändiges Werk 1 Multi-volume publication 1 Reprint 1 Richtlinie 1
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Language
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Undetermined 8,402 English 5,523
Author
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Moshirian, Fariborz 117 Saunders, Anthony 71 Hasan, Iftekhar 70 Berger, Allen N. 69 Fraser, Donald R. 39 CERBAF 35 Altman, Edward I. 34 Udell, Gregory F. 32 Elyasiani, Elyas 31 Shackleton, Mark B. 30 Fiordelisi, Franco 29 Goldberg, Lawrence G. 29 Chung, Kee H. 28 Kolari, James W. 28 Norden, Lars 28 Lobo, Gerald J. 27 Beck, Thorsten 26 Mester, Loretta J. 26 Peterson, David R. 26 Cornett, Marcia Millon 25 Madura, Jeff 25 Molyneux, Philip 25 Slovin, Myron B. 25 Thakor, Anjan V. 25 Wachtel, Paul 25 Faff, Robert W. 24 Levy, Haim 24 Wu, Chunchi 24 Allen, Linda 23 Bali, Turan G. 23 Baptista, Alexandre M. 23 Behr, Patrick 23 Fabozzi, Frank J. 23 Humphrey, David B. 23 Santomero, Anthony M. 23 Tehranian, Hassan 23 Aggarwal, Raj 22 Ongena, Steven 22 Pérignon, Christophe 22 Subrahmanyam, Avanidhar 22
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Institution
All
Dubrovnik Economic Conference <9, 2003, Dubrovnik> 2 Hrvatska Narodna Banka 2 New York Stock Exchange 2 Australasian Finance and Banking Conference <17, 2004, Sydney> 1 Australasian Finance and Banking Conference <23, 2010, Sydney> 1 Conference Measuring and Managing Ethical Risk: How Investing in Ethiics Adds Value <1999, Notre Dame, Ind.> 1 Conference on Asset Securitization and Off-Balance Sheet Risks of Depository Institutions <1987, Evanston, Ill.> 1 Conference on Liquidity Risk Management <2012, New York, NY> 1 Conference on the Future of Stock Exchanges in a Globalizing World <2002, Toronto> 1 Dubrovnik Economic Conference <11, 2005, Dubrovnik> 1 EOE 1 Economic Conference 1 Ente per gli Studi Monetari, Bancari e Finanziari 'Luigi Einaudi' 1 Federal Reserve Bank of New York 1 Financial Innovation Conference, 22-24 April 1981 1 Fordham University 1 INFINITI Conference "The Financial Crisis, Integration and Contagion" <11., 2013, Aix-en-Provence> 1 International Conference on Global Financial Stability and Global Prosperity <2., 2013, Sydney> 1 International Conference on Multinational Banking in the World Economy 1 International Conference on Systemic Risk, Basel III, Financial Regulation and Stability <2011, Sydney> 1 International Corporate Finance and Governance Conference <2010, Enschede> 1 International Finance and Banking Society 1 International Finance and Banking Society (IFABS) Barcelona Conference <2016, Barcelona> 1 NOW 1 New Contributions to Retail Payments: Conference at Norges Bank <2008, Oslo> 1 Reserve Bank of Australia 1 Risk Management Reform of Banking Regulation Conference <2013, Peking> 1 Seminar on Statistical and Computational Problems in Risk Management: VaR and Beyond VaR <2001, Rom> 1 University of Notre Dame / College of Business 1 Università degli studi di Roma "La Sapienza" 1 Wall Street Journal news 1
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Published in...
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Journal of banking & finance 9,589 Journal of Banking & Finance 4,293 Bank parikrama : a journal of banking & finance : quarterly journal of Bangladesh Institute of Bank Management 43 Equity markets 35 Special issue on European capital markets 12 Credit risk assessment and relationship lending 10 Contemporary Studies in Economic and Financial Analysis 1 NYU Salomon Center for the Study of Financial Institutions - Publications/articles 1
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Source
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ECONIS (ZBW) 5,817 RePEc 4,291 OLC EcoSci 3,815 USB Cologne (business full texts) 1 EconStor 1
Showing 1 - 10 of 13,925
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Special issue: the impact of global pandemic on financial markets and institutions
Gordy, Michael B. (ed.); Vega, Clara (ed.);  … - 2023
Persistent link: https://www.econbiz.de/10013534291
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Special issue: challenges to global financial stability : interconnections,credit risk, business cycle and the role of market participants
Duygun, Meryem (ed.); Ladley, Dan (ed.); Shaban, Mohamed (ed.) - International Finance and Banking Society (IFABS) …; … - 2020
Persistent link: https://www.econbiz.de/10012225159
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Special issue on "Monitoring market participants, externals and financial transactions in a global financial stability environment"
Duygun, Meryem (ed.); Miao, Jianjun (ed.);  … - 2020
Persistent link: https://www.econbiz.de/10012521335
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Contagion and tail risk in complex financial networks
Abduraimova, Kumushoy - In: Journal of banking & finance 143 (2022), pp. 1-27
Persistent link: https://www.econbiz.de/10013530779
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The evolution of bidder gains and acquisition discounts in M&A
Meng, Yun; Sutton, Ninon - In: Journal of banking & finance 143 (2022), pp. 1-14
Persistent link: https://www.econbiz.de/10013530780
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Signal strength adjustment behavior : evidence from share repurchases
Ota, Koji; Lau, David; Kawase, Hironori - In: Journal of banking & finance 143 (2022), pp. 1-17
Persistent link: https://www.econbiz.de/10013530784
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The gradient allocation principle based on the higher moment risk measure
Gómez, Fabio; Tang, Qihe; Tong, Zhiwei - In: Journal of banking & finance 143 (2022), pp. 1-18
Persistent link: https://www.econbiz.de/10013530990
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Do internal capital markets in business groups mitigate firms' financial constraints?
Kabbach de Castro, Luiz Ricardo; Kirch, Guilherme; … - In: Journal of banking & finance 143 (2022), pp. 1-15
Persistent link: https://www.econbiz.de/10013530999
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Global weather-based trading strategies
Dong, Ming; Tremblay, Andréanne - In: Journal of banking & finance 143 (2022), pp. 1-27
Persistent link: https://www.econbiz.de/10013531018
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Optimal information production of mutual funds : evidence from China
Chi, Yeguang; He, Jingbin; Wu, Fei; Yin, Bijiao - In: Journal of banking & finance 143 (2022), pp. 1-22
Persistent link: https://www.econbiz.de/10013531021
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