Journals Journal of Banking & Finance

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Name
Journal of Banking & Finance
Subjects
Banking
Finance
ISSN
0378-4266
Description
The Journal of Banking and Finance (JBF) publishes theoretical and empirical research papers spanning all the major research fields in finance and banking. The aim of the Journal of Banking and Finance is to provide an outlet for the increasing flow of scholarly research concerning financial institutions and the money and capital markets within which they function. The Journal's emphasis is on theoretical developments and their implementation, empirical, applied, and policy-oriented research in banking and other domestic and international financial institutions and markets. The Journal's purpose is to improve communications between, and within, the academic and other research communities and policymakers and operational decision makers at financial institutions - private and public, national and international, and their regulators. The Journal is one of the largest Finance journals, with approximately 1500 new submissions per year, mainly in the following areas: Asset Management; Asset Pricing; Banking (Efficiency, Regulation, Risk Management, Solvency); Behavioural Finance; Capital Structure; Corporate Finance; Corporate Governance; Derivative Pricing and Hedging; Distribution Forecasting with Financial Applications; Entrepreneurial Finance; Empirical Finance; Financial Economics; Financial Markets (Alternative, Bonds, Currency, Commodity, Derivatives, Equity, Energy, Real Estate); FinTech; Fund Management; General Equilibrium Models; High-Frequency Trading; Intermediation; International Finance; Hedge Funds; Investments; Liquidity; Market Efficiency; Market Microstructure; Mergers and Acquisitions; Networks; Performance Analysis; Political Risk; Portfolio Optimization; Regulation of Financial Markets and Institutions; Risk Management and Analysis; Systemic Risk; Term Structure Models; Venture Capital.
Impact Factor (2 years)
2.205
Publisher
Elsevier
Journal type
Hybrid Journal

Journals Publications
(All)



Results 1-7 of 7 (Search time: 0.002 seconds).

Issue DateTitleAuthor(s)
1Sep-2019The information content of forward momentsAndreou, Panayiotis ; Kagkadis, Anastasios ; Philip, Dennis ; Taamouti, Abderrahim 
2Mar-2019Valuation effects of overconfident CEOs on corporate diversification and refocusing decisionsAndreou, Panayiotis ; Doukas, John A. ; Koursaros, Demetris ; Louca, Christodoulos 
3Sep-2018Differences in options investors’ expectations and the cross-section of stock returnsAndreou, Panayiotis ; Kagkadis, Anastasios ; Philip, Dennis ; Tuneshev, Ruslan 
4Nov-2014The role of correlation dynamics in sector allocationKalotychou, Elena ; Staikouras, Sotiris K. ; Zhao, Gang 
5Jul-2013Alternative bankruptcy prediction models using option-pricing theoryCharitou, Andreas ; Dionysiou, Dionysia ; Lambertides, Neophytos ; Trigeorgis, Lenos 
6Mar-2010Generalized parameter functions for option pricingAndreou, Panayiotis ; Charalambous, Chris ; Martzoukos, Spiros H. 
7Oct-2009Financial dollarization: Short-run determinants in transition economiesNeanidis, Kyriakos C. ; Savva, Christos S.