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1-20 of 27
Keywords: Financial markets and institutions
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Journal Articles
Intellectual capital and financial stability: a strategic pathway for sustainable growth in Pakistan’s banking sector
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy 1–21.
Published: 22 October 2025
... and services Financial markets and institutions Financial stability (FS) has garnered significant attention in global and national economic landscapes due to its pivotal role in ensuring the smooth operation of monetary systems and fostering economic growth (Abdelbadie and Salama, 2019 ; Sethi...
Journal Articles
The new monetary policy regime under central bank’s abundant balance sheet: the case of the Federal Reserve
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2024) 16 (6): 874–887.
Published: 11 June 2024
... (the week of 03/18/2020) and $4.3tn, the relationship tends to be weaker, according to the R square of 51% and with a more flattened slope (−0.035). Monetary policy Central banks and their policies Financial markets and institutions Macroeconomics and monetary economics Money and interest...
Journal Articles
FTX fiasco and global equity markets: evidence from event study approach
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2023) 15 (4-5): 396–407.
Published: 27 June 2023
... Cryptocurrency Cryptocurrency exchanges Diversification Financial markets Investment Investment decisions Financial markets and institutions Financial risk and risk management Cryptocurrencies are modern decentralized digital currencies that rely on cryptography to safeguard and govern...
Journal Articles
Foreign bank and banking stability in Africa: does strong and weak corporate governance systems under different regulatory regimes matter?
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2022) 14 (2): 207–241.
Published: 28 June 2021
... and economic outcomes. Although these hypotheses are strongly rooted in theoretical and empirical reasoning, there is no empirical evidence to substantiate these claims. Hence, the need for this study. Banks Financial markets and institutions Corporate finance and governance Economics of regulation...
Journal Articles
Do Tobin taxes help stop stock price bubbles?
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2022) 14 (3): 269–282.
Published: 18 June 2021
... that a bubble is evident. Financial markets Financial markets and institutions Behavioral economics C92 G1 […] Americans are apt to be unduly interested in discovering what average opinion believes average opinion to be; and this national weakness finds its nemesis in the stock market...
Journal Articles
Lower reversal limit of the European Central Bank deposit rate and sustainability of traditional banking business model
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (6): 686–697.
Published: 10 May 2021
... EONIA Negative interest rates Financial economic policy Financial market regulators Banks Yield curve inversion Reversal rate Sustainability Coronavirus policy tools Financial markets and institutions E43 E44 E52 E58 G12 G20 Currently, the nominal government debt curves...
Journal Articles
Financing costs and barriers to entry in Australia’s electricity market
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (6): 730–754.
Published: 25 March 2021
...-scale (defined as capacity of 100 kW or greater) plant between the NEM’s commencement and end-June 2020: Figure 1. Net entry and exit of utility-scale plant across the NEM, by financial yeara Energy Financial markets and institutions Pricing Corporate finance and governance...
Journal Articles
Competition and financial institutions and markets development: a dynamic panel data analysis
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (5): 539–564.
Published: 01 March 2021
... on, as explained in Appendix 1 . It is approximated by stock market turnover ratio in the case of FM. The IMF FD index database covers 1980–2017 period. Walid Abdmoulah can be contacted at: walid@api.org.kw 19 05 2020 12 09 2020 20 09 2020 Financial markets and institutions...
Journal Articles
Equity market-related economic uncertainty and the “economic contagion phenomenon”
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (3): 337–352.
Published: 21 September 2020
... Emerald Publishing Limited Licensed re-use rights only Economic contagion Equity market-related economic uncertainty Financial markets Macroeconomic uncertainty GDP growth Economic policy uncertainty Financial markets and institutions Financial aspects of economic integration F11 F15...
Journal Articles
Financial inclusion determinants and impediments in India: insights from the global financial inclusion index
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2021) 13 (3): 391–408.
Published: 17 September 2020
... markets and institutions Table 2. Descriptive statistics for the dependent variables in the estimation Variable Obs. Mean Main indicator of financial inclusion Formal accounts 3,000 0.793000 Formal savings 2,346 0.233024 Formal credits 2,357 0.076330...
Journal Articles
Optimal bank interest margin under capital regulation: bank as a liquidity provider
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2019) 11 (2): 158–173.
Published: 22 October 2018
... , 360 ) ) 2 η − 2 M a x [ 0 , F ( 1 , τ , 360 ) ( H F ( 1 , τ , 360 ) ) 2 − C ] } Banks Financial markets and institutions Financial economics Financial institutions and services Regulation and industrial policy Capital and ownership...
Journal Articles
Globalization, role of institutions and economic performance in Indian economy: Empirical evidence
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2019) 11 (1): 82–100.
Published: 12 October 2018
... of the economic performance. Based on the different parameters of financial development, the following six equations (Panels I to VI) are used to assess economic growth, as a result of globalization and financial development in Indian economy. Econometrics Financial markets and institutions Economic...
Journal Articles
Regulating bank leverage
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Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (2): 264–274.
Published: 16 July 2018
... rights only Banks Systemic risk Financial markets and institutions Financial risk and risk management Regulation and industrial policy Allocative efficiency Macroprudential regulation Leverage ratio D61 D62 D82 G21 G28 This paper studies the design of bank regulation...
Journal Articles
Does financial development accelerate economic growth?: An empirical analysis of European countries in transition
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (3): 426–435.
Published: 06 July 2018
... for the comparison purpose. Applying the Hausman–Taylor IV, we find solution also for the endogeneity problem, which is very important from the econometrics point of view. Economic growth Panel data Financial development Financial markets and institutions Macroeconomics and monetary economics Transition...
Journal Articles
Implications of Central banks’ negative policy rates on financial stability
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (2): 310–320.
Published: 03 July 2018
... 13 10 2017 22 12 2017 07 01 2018 © Emerald Publishing Limited 2018 Emerald Publishing Limited Licensed re-use rights only Banks Financial markets and institutions Government policy and regulation Central banks and their policies G21 G22 G23 G28...
Journal Articles
International coordination of financial supervision: why has it grown? Will it be sustained?
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (2): 213–236.
Published: 29 June 2018
... 2017 © Emerald Publishing Limited 2018 Emerald Publishing Limited Licensed re-use rights only Banks Financial markets and institutions Financial aspects of economic integration Regulatory change International policy coordination and transmission Capital and ownership structure...
Journal Articles
Real sector consequences of bank diversification: evidence across US industries and states
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (3): 322–341.
Published: 30 May 2018
... diversification activities have been rarely studied, especially in the US context. Financial markets and the macroeconomy Financial markets and institutions Capital and total factor productivity Industry studies: Primary products and construction Bank diversification Herfindahl–Hirshman index Industry...
Journal Articles
Risk and capital in Indonesian large banks
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2018) 10 (1): 165–184.
Published: 03 April 2018
.... Arisyi Fariza Raz can be contacted at: arisraz@me.com 14 06 2017 01 09 2017 06 12 2017 © Emerald Publishing Limited 2018 Emerald Publishing Limited Licensed re-use rights only Bank Systemic risk Financial markets and institutions Capital Financial Risk and risk...
Journal Articles
Analyzing the topography of financial regulation
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2017) 9 (4): 475–515.
Published: 06 November 2017
... Publishing Limited Licensed re-use rights only Banks Government policy and regulation Central banks and their policies Financial markets and institutions Capital E58 G18 G20 G21 G32 G38 L51 O16 Financial regulation and supervision have been the subject of much recent debate...
Journal Articles
Market linkages and conditional correlation between the stock markets of South and Central America
Available to Purchase
Journal:
Journal of Financial Economic Policy
Journal of Financial Economic Policy (2017) 9 (02): 174–197.
Published: 02 May 2017
... 2016 © Emerald Publishing Limited 2017 Emerald Publishing Limited Licensed re-use rights only Financial markets and institutions Cointegration VAR VECM MGARCH-DCC South and Central America Region C32 G15 F3 The stock market integration theory states if returns from...
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