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Journal of Banking and Financial Economics


JBFE No 2/2016

Journal of Banking and Financial Economics No 2 (6) 2016

 

Contents

 

Comparing the Performance of Logit and Probit Early Warning Systems for Currency Crises in Emerging Market Economies

Fabio Comelli

 

Investigating Impact of US, Europe, Frontier and BRIC Stock Markets on Indian Financial Stress Index

Amanjot Singh, Manjit Singh

 

Foreign Investor Flows and Sovereign Bond Yields in Advanced Economies

Serkan Arslanalp, Tigran Poghosyan

 

Financial Inclusion, Growth and Inequality: A Model Application to Colombia

Izabela Karpowicz

 

Spotting Bubbles: A Two-Pillar Framework for Policy Makers

Bradley A. Jones

 

Does it pay to be good? An analysis of vice and virtue stock performance in the Eurozone

Toni Vide

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JBFE No 1/2016

Journal of Banking and Financial Economics No 1 (5) 2016

 

Contents

 

The Finance and Growth Nexus Re-Examined: Do All Countries Benefit Equally?

Adolfo Barajas, Ralph Chami, Seyed Reza Yousefi

 

Intermediary networks under the rule of equi-repartition of profits

Fabien Mercier

 

What Drives the Volatility of Firm Level Productivity in China?

Xubei Luo, Nong Zhu

 

External Factors in Debt Sustainability Analysis: An Application to Latin America?

Gustavo Adler, Sebastian Sosa

 

The relationship between distance-to-default and CDS spreads as measures of default risk
for European banks

Kim Ristolainen

 

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JBFE No 2/2015

 

Journal of Banking and Financial Economics No 2 (4) 2015

 

Contents

 

Financial and Sovereign Debt Crises: Some Lessons Learned and Those Forgotten

Carmen M. Reinhart, Kenneth S. Rogoff

 

Asset choice in British central banking history, the myth of the safe asset, and bank regulation
William A. Allen

 

The Day After Tomorrow: Designing an Optimal Fiscal Strategy for Libya
Carlos Caceres, Serhan Cevik, Ricardo Fenochietto, Borja Gracia

 

Risks and Opportunities of Participation in Global Value Chains
Gary Gereffi, Xubei Luo

 

Is Uruguay More Resilient This Time? Distributional Impacts of a Crisis Similiar to the 2001-02 Argentine Crisis
Oscar Barriga Cabanillas, María Ana Lugo, Hannah Nielsen, Carlos Rodríguez-Castelán, María Pía Zanetti

 

Trade Policy Barriers: An Obstacle to Export Diversification in Eurasia
Ana Paula Cusolito, Claire H. Hollweg

 

 

 

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JBFE No 1/2015

Journal of Banking and Financial Economics No 1 (3) 2015

 

Contents

 

Wage-setting Behavior in France: Additional Evidence from an Ad-hoc Survey

Jérémi Montornès, Jacques-Bernard Sauner-Leroy

 

The validity and time-horizon of the Fed model for equity valuation: a co-integration approach

Fabien Mercier

 

A global perspective on inflation and propagation channels

Luca Gattini, Huw Pill, Ludger Schuknecht

 

The Role of Foreign Firm Characteristics, Absorptive Capacity and the Institutional Framework for FDI Spillovers

Thomas Farole, Deborah Winkler

 

Risk, capital buffers and bank lending: The adjustment of euro area banks

Laurent Maurin, Mervi Toivanen

 

Financial Deepening, Property Rights, and Poverty: Evidence from Sub-Saharan Africa

Raju Jan Singh, Yifei Huang

 

Global Liquidity Determinants Across Emerging and Advanced Countries

Renata Karkowska

 
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JBFE No 2/2014

Journal of Banking and Financial Economics No 2 (2) 2014

 

Contents

 

Deep Roots of Fiscal Behavior

Serhan Cevik, Katerina Teksoz

 

Euro area labour markets: Different reaction to shocks?

Jan Bruha, Beatrice Pierluigi, Roberta Serafini

 

Gravity chains: Estimating bilateral trade flows when parts and components trade is important

Richard Baldwin, Daria Taglioni

 

Household Money Holdings in the Euro Area: An Explorative Investigation

Franz Seitz, Julian von Landesberger

 

Feedback to the ECB’s Monetary Analysis: The Bank of Russia’s Experience with Some Key Tools

Alexey Ponomarenko, Elena Vasilieva, Franziska Schobert

 
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JBFE No 1/2014

 

Journal of Banking and Financial Economics No 1 (1) 2014

 

 

 

Contents

 

Macroprudential Banking Regulation: Does One Size Fit All?

Doris Neuberger and Roger Rissi

 

Access to credit as a growth constraint.

Matjaž Volk and Polona Trefalt

 

Do institutional and political factors matter for the efficiency of banking sectors?

Patrycja Chodnicka and Małgorzata Olszak

 

Volatility Transmission between Stock and Foreign Exchange Markets: Evidence from Nigeria.

Emenike Kalu O.

 

The Effect of the Introduction of a »Pay Per Use« Option within motor TPL insurance.

Stefan Trappl, Karl Zehetner and Robert Pichler

 

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Uniwersytet Warszawski
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