Archives
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Banking and Finance Review
Vol. 4 No. 2 (2012)Exchange Traded Funds Market Reactions to Option Introduction
Kenneth Hunsader, Victoria Javine, Ross Dickens
Structural Breaks in the Current U.S. Banking Crisis
Dror Parnes
Market Share Growth and Performance Measures: The Case of Large versus Community Banks
Greg Filbeck, Dianna Preece, Xin Zhao
Emerging Market Hedge Funds: Analysis of Security Selection and Market Timing
Sandip Dutta
Idiosyncratic Corporate Liquidity and Equity Returns
Fang Wang
Hedging Mortgage Servicing Rights
Andy Terry
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Banking and Finance Review
Vol. 14 No. 14 (2023)Banking Sector Strength and the Volatility of Cross-Listed Securities
David Aharon – Ono Academic College
Kyle Allen – Boise State University
Ahmed Baig – Boise State UniversityU.S. State Politics and Bank Performance
Silu Cheng – Metropolitan State University of Denver
Alex Fayman – Metropolitan State University of DenverPremium, Tracking Errors and Performance of iShares Core versus ESG S&P ETFs
Abdullah Noman – University of North Carolina at PembrokeBank Networks and Systemic Risk
Carolina Carbajal-De-Nova – Universidad Autónoma Metropolitana
Francisco Venegas-Martínez – Instituto Politécnico NacionalInvestigating the Relationship between Business Sector Returns in the Japanese Stock Market and Its Impact on Forecasting Returns by CNN-LSTM
Nantaphong Boonpong – Khon Kaen University
Pongsutti Phuensane – Khon Kaen UniversityDoes Economic Policy Uncertainty Move the Market? An Econometric Analysis of Stock Market Volatility and Uncertainty Indices
M Halim Dalgin – Kutztown University of Pennsylvania
Uttam Paudel – Kutztown University of Pennsylvania
Necati Tekatli – Kutztown University of PennsylvaniaThe Effect of Corporate Governance on Firm Performance in Jordan
Adel A. Al-Sharkas – Central Bank of Jordan
Duha A. AL-Barakat – Central Bank of Jordan
Natalie I. Malhas – Central Bank of Jordan -
Banking and Finance Review
Vol. 9 No. 2 (2017)Do Capital Standards Promote Bank Safety? Evidence from Involuntary Recapitalizations
Vinod Changarath, Michael Ferguson, Yong KimUS Community Bank Failure: An Empirical Investigation
Kyle J. Putnam, M. Kabir HassanUsing ROIC to Measure Shareholder Value in Community Banks
Victoria Geyfman, John S. WalkerPersistence and Profitability of New Jersey Community Banks
Jason HechtCross-Listing Premium or Market Timing
Moustafa Abuelfadl -
Banking and Finance Review
Vol. 5 No. 2 (2013)Role of Investment Banks in Acquisitions of Private Targets
Kien Cao, Jeff Madura
Nicholas Apergis, James E. Payne
Earnings Management and Executive Compensation: Evidence from Banking Industry
Ozge Uygur
Credit Risk Analysis of Credit Card Portfolios Under Economic Stress Conditions
Piu Banerjee, Jose J. Canals-Cerda
Put – Call Parity Violations around Earnings Announcements
Catherine Anitha Manohar
Relating Interest Rate Swaps Volatility and Macroeconomic Uncertainty in Europe
Carlos Pinho, Mara Madaleno
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The Banking and Finance Review
Vol. 16 No. 1 (2025)Early Online Publication of Accepted Papers
This section includes peer-reviewed papers that have been accepted for publication and are published online ahead of the final issue. -
Banking and Finance Review
Vol. 10 No. 2 (2018)Go Public or not? Private Firms’ IPO Decision and IPO Long-run Underperformance
Garrison Hongyu Song, Chung ChenBank Lending and Strategic R&D Disclosure
Bishal BCOption market behavior around the stocks 52-week highs and lows
Catherine Manohar, Geoffrey NgeneAbnormal Cash Holdings and the Cost of Equity Capital
Heeick Choi, Hyung Tae Kim, Sangshin PaeBank Environment and the Investment Value of Analyst Recommendations
Arjan Premti, Luis Garcia-Feijoo, Jeff Madura -
Banking and Finance Review
Vol. 2 No. 1 (2010)The Performance of Merger/Risk Arbitrage and Sweetened Offers in Hostile Takeovers
Ben Branch, Taewon Yang
A Comparison of the Determinants of Stock Returns in the 1987 and 2008 Stock Market Meltdowns
Jia Wang, Gulser Meric, Zugang Liu, Ilhan Meric
Value at Risk under Jump GARCH Processes
Ghulam Sorwar, Giovanni Barone-Adesi
Nizar Hachicha, Bilel Jarraya
Banks, Risk, and the Business Cycle: An Analysis Based on Real-Time Data
Renatas Kizys, Christian Pierdzioch
Some Pedagogical Pitfalls in the Definitions of Arbitrage, Hedging and Speculation
Imad Moosa
Currency Option Pricing and Realized Volatility
Meher Manzur, Ariful Hoque, Geoff Poitras
Casual Relation among Different Size of Stock Returns, Interest Rates, Real Activity and Inflation
Moade Shubita, Adel Al-Sharkas
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Banking and Finance Review
Vol. 7 No. 1 (2015)Bank Ownership, Free Cash Flow, and Agency Behavior
K. Stephen Haggard, John S. HowePortfolio Optimization with GARCH–EVT–Copula-CVaR Models
Chin-Wen Huang, Chun-Pin HsuAudit Firm Reputation and Earnings Quality in Publicly Traded US Bank Holding Companies
Mussie Teclezion, Steven MuzatkoTrade Credit and Financial Flexibility
Chris HarrisGovernance Structure and the Performance of Traditional and Diversified Banks During the Financial Crisis 2007/2008
Faieza Chowdhury -
Banking and Finance Review
Vol. 11 No. 2 (2019)Origins and Development of Credit-Based Crowdfunding
Craig R. EverettPredicting Return on Socially Responsible Investment Funds with Market Fundamental and Consumer Confidence
Abdullah Noman, Atsuyuki Naka, Mahtab AthariDoes Bank Liquidity Creation Translate into a Wealth Effect for Borrowers?
Vinod S. ChangarathThe Effect of Bank Regulatory Capital Levels on Loan Types
Matthew Brigid -
Banking and Finance Review
Vol. 3 No. 1 (2011)What Drive Banks’ Abnormal Returns?
Xiaolou Yang, Peter Woodlock
Examining the Uncertainty-Investment Relationship under Various Stochastic Processes
George Yungchih Wang
Corporate Governance: Implications for Canadian Cross-border Acquisitions
Imen Tebourbi
The Impact of TARP Bailouts on Stock Market Volatility and Investor Fear
Daniel Huerta, Daniel Perez-Liston, Dave Jackson
Dealers' Response to Industry-wide Information: Evidence from intraday short-sale data
Wei Zhang
The Role of Executive Blockholder in a Completed Merger
Khaled Abdou, Paramita Gupt
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Banking and Finance Review
Vol. 8 No. 1 (2016)The ABA Top Performing Banks in a Time of Financial Crisis: Can They Outperform the Worst?
Greg Filbeck, Dianna Preece, Xin ZhaoSecuritization Market Share and Mortgages
Paul E. OrzechowskiDifferences in Short-Term Performance Persistence by Mutual Fund Equity Class
Andrew Detzel, Larry DetzelDo Board Structure and CEO Selection Sources Affect the Effectiveness of Board Monitoring?
Yuwei Wang, Jianping QiMacroeconomic Indicators of the U.S Credit Card Charge-off Rate
Leo-Rey Gordon, Keith PettifordRevisiting the Bid-Ask Spread via Competitive Search
Garrison Hongyu Song, Chung Chen -
Banking and Finance Review
Vol. 13 No. 1 (2022)On Executive Stock Donations and Analyst Recommendations
Pieter de Jong – University of North Florida
Richard Lentz – University of North Florida
Oliver Schnusenberg – University of North FloridaBidder’s Short-Term Performance in Mergers and Acquisitions: Empirical Evidence in Latin America
Carlos Maquieira – Pontificia Universidad Católica del Perú
Felix Behler – Universidad de Chile
Christian Espinosa-Mendez – Universidad de Santiago de ChileBank Risk, Performance, and the 2007–08 Financial Crisis: A Time Series Examination by Institution Size
Ronnie Clayton – Jacksonville State University
Benjamin B. Boozer, Jr – Jacksonville State University
Bill Schmidt – Jacksonville State UniversityOver-Optimism, Credit Expansion and Banks’ Risk and Return
Manish Tewari – Menlo College California
Faten Ben Bouheni – Menlo College -
Banking and Finance Review
Vol. 4 No. 1 (2012)Going public through the back door: A comparative analysis of SPACs and IPOs
Vinay Datar, Ekaterina Emm, Ufuk Ince
The Impact of Credit Rating Changes on U.S. Banks
Nicholas Apergis, James E. Payne, Chris Tsoumas
Dror Parnes
What Determines the Number and Value of Bank Mergers and Acquisitions Around the Globe?
James Barth, John Jahera, Jr., Triphon Phumiwasana, Keven Yost
Status Quo Bias in the Mutual Fund Market: Consumer Inertia Amidst Benefitless Fee Increases
Lonnie L. Bryant, Jocelyn Evans, Anthony J. Bishara
Abhay Kaushik
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Banking and Finance Review
Vol. 9 No. 1 (2017)The Impact of the Global Crisis on SME Internal vs. External Financing in China
Shixue He, Marcel AusloosInterest Rates Elasticity of Money Demand In Different States of the Economy
Meng Li, Sumaria Mohan-NeillAre Capital Market Parameters Estimated from Yahoo Finance and Nasdaq Data the Same?
Ronnie Clayton, Bill SchmidtProfitability of Islamic Financing Tools
Tariq AlzoubiInternal Determinants of Return on Equity: Case of the UAE Commercial Banks
Hameedah Sayani, Pallavi Kishore, Vijaya Kumar -
Banking and Finance Review
Vol. 5 No. 1 (2013)Fundamentals or Fiction: What Drives Equity Pricing?
Ranjan D'Mello, Mark Gruskin
Certification Effects in the Equity Market Response to TARP Injections
Vijay Gondhalekar, Stephen Ferris, Jason Berkenpas
Earnings Shortfall, Earnings Management, and Corporate Performance
Yong-Yi Li, Ai-Chi Hsu, Ya-Chiu Angela Liu
The Effect of Government Bailouts on Default Risk and Charter Values in Banking
Natalya A. Schenck
Are Underrated Bonds Underpriced? Biased Ratings and Corporate Bond Pricing
Vinod Venkiteshwaran
Sarat Chandra Dhal, Jugnu Ansari
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Banking and Finance Review
Vol. 15 No. 1 (2024)FOMC Announcements and Market Reactions From 1998 to 2022
Cristiano Manfre - Tennessee State University
CEO General Ability and the Takeover Market
A. Can Inci - Bryant University
Leila Zbib - Bryant University
Bank Characteristics and the Debt Guarantee Program
Anna-Leigh Stone - Samford University
Matthew Faulkner - Samford University
The Impact of Global Warming Sentiment on Investor Gain in the Stock Market
Chai Liang Huang - National Chung Cheng University
Lai Ferry Sugianto - Fu Jen Catholic University
Ramnath Reghunadhan - Indian Institute of Technology
Dinoop K - Mahatma Gandhi University
Ansel Elias Stanley - Indian Institute of Science
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Banking and Finance Review
Vol. 10 No. 1 (2018)The Response of U.S.-based Commercial Banks to Credit Stimuli
Denise W StreeterA Subordinated Stochastic Framework for Supervisory Stress Testing
Dror Parnes, Michael JacobsHow Can We Pay to Get Out of This? Executive Compensation and Bank Risk during the Financial Crisis
Reilly S White, Kathy G HollingsworthFactors in Dividend Payments Around Corporate Acquisitions
Nick X WonderThe Disappearing Aggregate Ratchet Effect
Christi R. Wann, D. Michael Long -
Banking and Finance Review
Vol. 1 No. 1 (2009)Competition in Chinese Commercial Banking
Xiaoqing Fu
IPO Valuation of European Pyramidal Groups
Michele Meoli, Stefano Paleari, Silvio Vismara
Patrick Cusatis, Mukund Kulkarni, Martin Thomas
Use of Derivatives and Bank Holding Companies’ Interest-Rate Risk
Fang Zhao, Jim Moser
Peter Nippel, Kai Nekat
Stock Market Reaction to Sell-Offs Announcements: Canadian Evidence
Claude Francoeur, Alain Niyubahwe
The Nonlinearity and Jumps in Stochastic Volatility: Evidence from Returns and Options Data
Karim Mimouni
Accounting for Skewness in Performance Evaluation of Brazilian Mutual Funds
Aquiles Farias, José Ornelas, Antônio Silva Júnior
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Banking and Finance Review
Vol. 6 No. 1 (2014)Impact of the Volcker Rule on Bank Valuations and Risk
Jeff Madur, Arjan PremtiThe Post-Issue Performance of IPO Banks: International Evidence
Haiyan YinFlight to Quality for Large Financial Institutions
Can Inci, Hsi Li, Joseph McCarthyPay Gap, Risk-taking, and the Financial Crisis
Elizabeth W. Cooper, Hatice Uzun, Yudan ZhengCEO Networks and Bank Risk Taking
Dave Jackson, Fang FangDoes a Dividend Ratchet Effect Exist at the Firm Level?
Christi R. Wann, Jeffrey S. Jones -
The Banking and Finance Review
Vol. 17 No. 1 (2026) -
Banking and Finance Review
Vol. 11 No. 1 (2019)How Are Stock Repurchases Being Used? A Long-Term Study
Khaled Abdou, Pia GuptaThe New Face of Commercial Banking
Alex Fayman, Su-Jane Chen, Paul CampDo Past Relationship and Experience Help a Bank in Winning a Lead Mandate in the Syndicated Loan Bid?
Bolortuya EnkhtaivanThe Hedge Fund Industry’s Market Timing Ability and Role in Financial Contagion: Evidence from the Strategic Response to the 2008 Financial Crisis
Surya Chelikani, Osman Kilic, Thomas Coe -
Banking and Finance Review
Vol. 2 No. 2 (2010)The Determinants of the Exit Decisions of Foreign Banks
Aneta Hryckiewicz, Oskar Kowalewski
The Option-Listing Effect and Depositary Receipts: Is it Different from that of Domestic Stocks?
Erik Benrud, Elena Smirnova
Bank Risk-taking Investments and Managerial Incentives
Xiaolou Yang
Bears and Bulls: Greater Volatility without Ticks
Ronnie J. Clayton, Walter Reinhart, Bill Schmidt
Risk Arbitrage for Collared, Uncollared Stock Swap Offers
Jia Wang, Ben Branch
An Analysis of Estimates of the Inventory Holding Component of the Bid-Ask Spread
Birsel T. Pirim, Bonnie F. Van Ness, Robert A. Van Ness, Lynn P. Kugele
The Mispricing of Credit Default Swaps: Institutional Causes and Effects
Austin Murphy
Contingent Claim Valuation of Express Certificates
Rodrigo Hernandez, Christopher Tobler b, Jorge Brusa
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Banking and Finance Review
Vol. 7 No. 2 (2015)No Longer a Death Knell: Banks Delist and Deregister following the JOBS Act
Beverly Marshall, Marlin Jensen, John Jahera Jr.Hedge Fund Activists and Share Repurchases
Kevin Lee, Scott Miller, Timothy YeagerThe Effect of Opacity on Market Discipline during the lead up to the Financial Crisis
Kevin Lee, Scott Miller, Timothy YeagerGroup Membership, Relationship Banking and Loan Default Risk: The Case of Online Social Lending
Craig R. EverettThe Foreign Account Tax Compliance Act’s Unintended Consequence
Sunita Ahlawat, Howard TelsonThe Impact of Securitization and Bank Liquidity Shocks on Bank Lending: Evidence from the U.S.
Peter Egly, Dave Jackson, David Johnk -
Banking and Finance Review
Vol. 12 No. 1 (2020)Due to catastrophic failure in our journal system's SQL database during 2020/2021, the Covid-19 pandemic, and delays in getting the journal system fixed on time, all articles accepted in 2020/2021 will be included in future issues. We offer our sincerest apologies for any inconvenience this may have caused.
Population Density and Performance of Community and Non-Community Banks in the U.S.
Alex Fayman, Rey Hernandez-Julian, Timothy MayesAn Examination of The Stability of Bank Betas During Extreme Market Volatility: The Case of The Financial Crisis and the Pandemic
John S. Walker, Victoria Geyfman, Necati Tekatli -
Banking and Finance Review
Vol. 3 No. 2 (2011)A Comprehensive Investigation of Fund Performance: a New Technique
George Woodward
An Economic Analysis of Protect Certificates - An Option-Pricing Approach
Rodrigo Hernandez, Jeffrey Jones, Jenny Gu
Miroslav Mateev, Yanko Anastaso
Chris Kuo
Contagion or Interdependence in Emerging Debt Markets?
Iuliana Ismailescu, Hossein Kazemi
Beta Uncertainty, Risk, and the Performance Characteristics of Hedge Funds
Pradosh Simlai
Value vs. Growth: Who Leads the Cyclical Stock Market?
Meng Li
Tracking Relevant Measures of Credit Creation in a Market-Based Financial System
Carolin Schellhorn
A Model of Domestic Banking Sector with Foreign Entrants
Lili Zhu
CEO Power, Equity Incentives, and Bank Risk Taking
Lisa Marie Victoravich, Pisun Xu, William Buslepp, Hugh Grove
Inaccurate Dependence Measures in Credit Models for Non-Normal Variables
Fernando Moreira