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1-19 of 19
Keywords: Financial crisis
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Journal Articles
Transforming real estate bubble risks into financial crisis: the moderating effect of bank credits
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy 1–20.
Published: 26 November 2025
... author Nhung Thi Nguyen nguyenthinhung.1684@gmail.com 06 05 2025 03 08 2025 03 10 2025 15 10 2025 23 10 2025 © 2025 Emerald Publishing Limited 2025 Emerald Publishing Limited Licensed re-use rights only Real estate sector Real estate bubble Financial crisis...
Journal Articles
Financial crisis severity and reform efficiency indices and their effect on economic growth: evidence from Turkey using PCA and ARDL
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2026) 18 (2): 347–393.
Published: 13 November 2025
... and nonstationary data. The short- and long-term effects of the indices on economic growth were estimated using the autoregressive distributed lag (ARDL) bounds testing approach. The Financial Crisis Severity Index (FCSI) indicates that financial crises of varying magnitudes occurred during the analyzed period...
Journal Articles
FDI inflow and financial channels: international evidence before and after crises
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2022) 14 (1): 24–42.
Published: 22 March 2021
...Selma Izadi; Mamunur Rashid; Parviz Izadi Purpose Extending on the resource-seeking foreign direct investment (FDI) hypothesis, this paper aims to uncover the potential relationship between financial and non-financial channels and inward FDI before and after the global financial crisis. Design...
Journal Articles
Does the US influence ASEAN+3 equity market integration?
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (4): 502–524.
Published: 01 March 2021
... on the US financial market. Originality/value The study offers invaluable policy implications for developing the nexus in the regional equity markets. ASEAN+3 Equity markets Financial crisis Market nexus Financial markets Financial markets and the macroeconomy Economic integration Financial...
Journal Articles
Bank mergers: the cyclical behaviour of regulation, risk and returns
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (2): 256–284.
Published: 28 January 2021
... is the capital that a firm is expected to need if we have another financial crisis. Findings Large acquiring banks decrease systemic risk contribution in cross-border M&As with a non-bank financial institution, and witness profitability (ROA) gains, supporting geographic diversification stability...
Journal Articles
Financial inclusion and business cycles
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Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (2): 180–199.
Published: 04 August 2020
... of the business cycle reinforce higher levels of financial inclusion or exclusion. Cycles Financial institutions and services Business fluctuations Financial inclusion Pro-cyclicality Business cycles Financial crisis Access to finance Economic cycles GDP D14 D18 G21 G28 Financial...
Journal Articles
Non-performing loans in European Union: country governance dimensions
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2020) 12 (2): 209–226.
Published: 22 July 2019
... the empirical findings of the system GMM. Section 5 concludes the paper, highlights the limitations and provides suggestions for future research. Banks Bank-specific Country governance European Union Financial crisis Macroeconomics Government policy and regulation Financial crises have...
Journal Articles
A comparative study between the UK and the USA house price indicators before and during the financial crisis of 2007-2009
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (4): 456–472.
Published: 18 October 2018
...Abdelhafid Benamraoui Purpose This paper aims to examine the relationship between key economic fundamentals and average house price (AHP) movements before and during the financial crisis of 2007 to 2009 in the UK and the USA. Design/methodology/approach Multiple regression analysis is applied...
Journal Articles
US bank failure and bailout during the financial crisis: Examining the determinants of regulatory intervention decisions
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2016) 8 (3): 316–347.
Published: 01 August 2016
...Wenling Lu; David A. Whidbee Purpose This paper aims to examine the characteristics of banks that were the target of intervention in the form of bailout or failure during the financial crisis and, of those subjected to intervention, what characteristics distinguish those that received bailout...
Journal Articles
Do bank regulation and supervision matter?: International evidence from the recent financial crisis
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2015) 7 (3): 275–288.
Published: 03 August 2015
... first and third pillars: capital requirements and private monitoring. Originality/value – This cross-country analysis provides evidence on which specific regulatory and supervisory practices work best in light of what was learned from the recent financial crisis. greater capital regulatory...
Journal Articles
Bank branch location and stability during distress
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Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2014) 6 (2): 133–151.
Published: 06 May 2014
...Jill M. Hendrickson; Mark W. Nichols; Daniel R. Fairchild Purpose – The purpose of this paper is to examine the impact of bank branch location on the likelihood of bank failure during the most recent financial crisis. Design/methodology/approach – This paper estimates the probit regression...
Journal Articles
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2014) 6 (1)
Published: 01 April 2014
... the role that several defective theories or views of the world played in generating the subprime financial crisis. This is done by describing these views, showing that they were widely held by relevant decision makers, and by analyzing the flaws in these views. A considerable amount...
Journal Articles
Living wills and cross-border resolution of systemically important banks
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2013) 5 (4): 361–387.
Published: 04 November 2013
... measures were indications that despite roughly thirty years of effort, the international supervisory authorities had failed to implement effective prudential measures. Financial crisis Government policy and regulation Living wills Systematically important banks Although international...
Journal Articles
Bank structure and failure during the financial crisis
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Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2013) 5 (3): 281–299.
Published: 26 July 2013
...Wenling Lu; David A. Whidbee Purpose This paper aims to examine the impact of charter type (national vs state), holding company structure, and measures of bank fragility on the likelihood of bank failure during the late 2000s financial crisis. Design/methodology/approach The study estimates...
Journal Articles
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2013) 5 (1)
Published: 05 April 2013
..., it should serve as a reference point for empirical researchers in the banking crisis area. Keywords Banking, Financial crisis, Financial economics, Financial institutions, Financial markets, Financial services, Government policy,International financial markets, Regulation www.emeraldinsight.com...
Journal Articles
Government intervention in Russian bourse: a case of financial contagion
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Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2012) 4 (4): 320–339.
Published: 02 November 2012
...Salman Khan; Pierre Batteau Purpose In September‐October 2008 the Russian stock markets came under severe strain amidst the global financial crisis. During this time the Russian government intervened several times to halt the trade to impede the continuous slide. The government justified its...
Journal Articles
Measuring macroeconomic and financial market interdependence: a critical survey
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2012) 4 (2): 128–145.
Published: 25 May 2012
... Publishing Limited 2012 Macroeconomics Financial markets Econometrics Interdependence Contagion Financial crisis Econometric measurements The rapid increase in international trade and capital flows associated with globalization has generated substantial interest in issues of financial...
Journal Articles
The role of defective mental models in generating the global financial crisis
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2012) 4 (1): 41–57.
Published: 06 April 2012
...Thomas D. Willett Purpose The purpose of this paper is to stress the role that several defective theories or views of the world played in generating the subprime financial crisis. Design/methodology/approach This is done by describing these views, showing that they were widely held by relevant...
Journal Articles
International comparisons of bank regulation, liberalization, and banking crises
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2011) 3 (4): 322–339.
Published: 08 November 2011
...Thomas D. Willett; Apanard P. Angkinand; Puspa Amri; Apanard P. Angkinand; Clas Wihlborg Purpose The recurrence of banking crises throughout the 1980s and 1990s, and in the more recent 2008‐09 global financial crisis, has led to an expanding empirical literature on crisis explanation...
