Vol. 14 No. 14 (2023): Banking and Finance Review

Banking Sector Strength and the Volatility of Cross-Listed Securities
David Aharon – Ono Academic College
Kyle Allen – Boise State University
Ahmed Baig – Boise State University

U.S. State Politics and Bank Performance
Silu Cheng – Metropolitan State University of Denver
Alex Fayman – Metropolitan State University of Denver

Premium, Tracking Errors and Performance of iShares Core versus ESG S&P ETFs
Abdullah Noman – University of North Carolina at Pembroke

Bank Networks and Systemic Risk
Carolina Carbajal-De-Nova – Universidad Autónoma Metropolitana
Francisco Venegas-Martínez – Instituto Politécnico Nacional

Investigating 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 University

Does 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 Pennsylvania

The 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

Published: 2025-07-21