Keywords: Financial economics
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Journal Articles
Journal of Financial Economic Policy 1–22.
Published: 25 May 2026
... in enhancing financial resilience. Monetary policy Financial economics Macroeconomics and monetary economics In the wake of the global financial crisis of 2008, the question of financial stability is increasingly gaining attention in the literature. Such attention was not merely optional...
Journal Articles
Journal of Financial Economic Policy (2026) 18 (5): 749–771.
Published: 26 January 2026
... Financial economics Asset pricing Time-series models G12 R30 R31 The value of one’s home represents the largest financial asset for most households, and fluctuations in housing values lead to gains and losses for banks and other lenders and investors in mortgage-backed assets. Moreover...
Includes: Supplementary data
Journal Articles
Journal of Financial Economic Policy (2026) 18 (3): 397–421.
Published: 03 September 2025
... the publication of this manuscript. 22 03 2025 25 06 2025 27 06 2025 © 2025 Emerald Publishing Limited 2025 Emerald Publishing Limited Licensed re-use rights only Econometrics Financial economics Economic integration Financial aspects of economic integration Econometric...
Includes: Supplementary data
Journal Articles
Journal of Financial Economic Policy (2025) 17 (3): 378–412.
Published: 26 August 2024
... inclusion Household expenditure Ghana Economic development: financial markets Financial economics D10 G20 G50 An inclusive financial system is an important infrastructure in every economy as it accelerates progress towards inclusive growth and development (Beck et al., 2007...
Journal Articles
Journal of Financial Economic Policy (2024) 16 (1): 102–119.
Published: 05 January 2024
... Consumption Credit Financial economics Financial institutions and services The unprecedented expansion of financial services and innovations, especially within the shadow banking sector have expanded the opportunity of consumers to use variety of services that can either complement or substitute...
Journal Articles
Journal of Financial Economic Policy (2022) 14 (5): 713–742.
Published: 05 April 2022
... and entail less systemic risk. Financial inclusion index Financial stability Cross-country heterogeneity Two-step quantile regression Two-Step System GMM Policy coordination Financial economics Financial institutions and services Inclusiveness also helps banks to achieve greater market power...
Journal Articles
Journal of Financial Economic Policy (2022) 14 (4): 515–532.
Published: 24 October 2021
.... Financial markets and the macroeconomy Financial economics Institutions and the macroeconomy Illegal behavior Capital flight Financial development Doing Business generalized methods of moment Freeman Christian Gborse can be contacted at: christian.freeman@upsamail.edu.gh 01 06 2021...
Journal Articles
Journal of Financial Economic Policy (2022) 14 (4): 429–467.
Published: 18 August 2021
...Thomas D. Willett Purpose This study aims to critically review recent contributions to the methodology of financial economics and discuss how they relate to one another and directions for further research. Design/methodology/approach A critical review of recent literature on new methodologies...
Journal Articles
Journal Articles
Journal of Financial Economic Policy (2022) 14 (3): 283–316.
Published: 26 July 2021
... and their policies Financial economics Financial institutions and services Financial risk and risk management Computational techniques CECL Spline Hazard rate model FASB Financial institutions G21 G28 M41 M48 In this study, we present a comprehensive framework for assisting lending banks...
Journal Articles
Journal of Financial Economic Policy (2022) 14 (2): 162–171.
Published: 27 May 2021
... American markets (Cardona et al., 2017). © Emerald Publishing Limited 2021 Emerald Publishing Limited Licensed re-use rights only Financial markets Financial economics Hamilton filter Time series econometrics Stock market indices C22 C58 G10 Financial...
Journal Articles
Journal of Financial Economic Policy (2021) 13 (5): 651–663.
Published: 08 April 2021
..., a price shock leads to asset liquidation to pay margins, which, in turn, amplifies the price effect – or what are sometimes called “fires sales” (Allen and Gale, 1994). Financial markets Financial economics Government policy and regulation In addition to the SDR data, we use public data...
Journal Articles
Journal of Financial Economic Policy (2022) 14 (1): 93–112.
Published: 22 March 2021
.... So, the first hypothesis of the study is: Innovation performance Financial constraints Innovation index Logistic regression Firm-level analysis India Financial markets Banks Financial economics Micro small and medium enterprises (MSMEs) are particularly considered important...
Journal Articles
Journal of Financial Economic Policy (2022) 14 (1): 56–71.
Published: 26 February 2021
... 2020 © Emerald Publishing Limited 2020 Emerald Publishing Limited Licensed re-use rights only Financial economics Macroeconomic policy G30 G38 H1a. CSP is negatively associated with EPU. In contrast, firms may have higher CSP during the periods of heightened...
Journal Articles
Journal of Financial Economic Policy (2021) 13 (5): 587–599.
Published: 11 February 2021
.... Econometrics Financial markets and the macroeconomy Financial economics Economic risk Financial risk and China Wavelet coherence Toda Yamamoto causality O47 O11 C22 C58 It is important for policymakers to know whether there is any causal linkage between financial risk (FR) and economic...
Journal Articles
Journal Articles
Journal of Financial Economic Policy (2020) 12 (4): 477–494.
Published: 16 April 2020
... from non-performing loans also causes a deterioration of bank balance sheets. Financial markets and the macroeconomy Financial economics Macroeconomic policy Econometric modelling Financial liberalization Financial crises Financial development Logit model G01 G21 G28 C23 E60...
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