Keywords: G18
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Journal Articles
Journal Articles
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Journal of Financial Regulation and Compliance (2024) 32 (4): 516–538.
Published: 20 June 2024
... a boilerplate “undervalued stock” statement. Beneficial ownership SEC Schedule 13D Activist investors Disclosure Timing D43 G18 G32 G34 G38 M48 P51 Purchasers discuss the “non-passive” nature of 13D filings at varying levels of specificity in Item 4. Most 13D descriptions contain...
Journal Articles
Journal of Financial Regulation and Compliance (2023) 31 (3): 351–378.
Published: 26 January 2023
...). Banking sector reform Prudential performance Banking sector resilience Financial system stability Financial performance E42 G18 G28 K20 The empirically established role of an efficient financial system in economic growth and development (Boikos et al., 2021 ; Sahay et al...
Journal Articles
Journal of Financial Regulation and Compliance (2022) 30 (3): 353–370.
Published: 18 March 2022
... decreased their holding of government securities, deposits decreased, credit demand increased and thus a conducive environment for an increase in bank LTD ratios. Regression analysis Financial stability Onetary policy Loan to deposit Loan-to-deposit ratio Monetary policy G01 G18 G210 G280...
Journal Articles
Journal of Financial Regulation and Compliance (2021) 29 (2): 125–142.
Published: 10 August 2020
.... Financial stability Macroprudential policy Ring-fencing E58 E61 G18 The project of the Banking Union entails a move toward an integrated regulatory and supervisory area within the European Union (EU) to provide a solid basis for deeper financial integration and contribute to long-term...
Journal Articles
Journal Articles
Journal of Financial Regulation and Compliance (2021) 29 (1): 44–62.
Published: 09 June 2020
... of SOX. Anin Rupp can be contacted at: anin.rupp@cmu.ac.th 03 02 2020 10 04 2020 11 05 2020 © Emerald Publishing Limited 2020 Emerald Publishing Limited Licensed re-use rights only Securitization Non financial firms Sarbanes–Oxley act G18 G23 G28 G30...
Journal Articles
Journal of Financial Regulation and Compliance (2020) 28 (3): 431–464.
Published: 23 March 2020
... E58 G14 G28 G18 G32 Creditor rights have been linked to financial development and evidence has suggested that lowering the cost of credit may foster financial development (Porta et al., 1997 ; Levine, 1998 ; Djankov et al., 2007 ; Haselmann et al., 2009). One...
Journal Articles
Journal of Financial Regulation and Compliance (2019) 27 (4): 494–508.
Published: 28 August 2019
...-use rights only Investment funds Agent principal problem Conflict of interests Investment advice D82 D140 G18 Remuneration of sales agents through the commission channel and its interaction with investors’ utility remains a volatile topic in concurrent research. On one hand...
Journal Articles
Journal of Financial Regulation and Compliance (2019) 27 (3): 345–356.
Published: 18 June 2019
...-use rights only Risk aversion Investor behavior Circuit breaker Regulatory response G18 G41 G14 Fluctuations in the financial markets bear the risk of turning into a market crashes or even financial crises. The 2010 “flash crash” sank Dow Jones Industrial Average almost...
Journal Articles
Journal of Financial Regulation and Compliance (2018) 26 (2): 190–202.
Published: 14 May 2018
... G18 G28 K2 N20 After the financial crisis, G20 countries improved the stability of the financial system by minimizing regulatory arbitrage and increasing transparency. However, non-financial operators are not subject to the financial regulation introduced after 2009 and in particular...
Journal Articles
Journal of Financial Regulation and Compliance (2018) 26 (1): 72–86.
Published: 12 February 2018
... 2018 Emerald Publishing Limited Licensed re-use rights only Credit ratings Financial regulation Credit rating agency Financial institutions Financial market Financial reform G18 G15 F39 The Dodd–Frank Act requires the regulators in the USA, above all the Securities...
Journal Articles
Journal of Financial Regulation and Compliance (2018) 26 (1): 135–169.
Published: 12 February 2018
... bond Rule 144A G15 G18 G32 International bond markets are an increasing source for corporate debt financing in emerging economies, especially after the global financial crisis. The easy access to debt markets over the past years is attributed to global financial conditions (Lo Duca...
Journal Articles
Journal of Financial Regulation and Compliance (2017) 25 (3): 253–270.
Published: 10 July 2017
... for the banking and the nonbank financial sector, respectively. In this literature, measures of capital and liquidity in the financial sector have predictive power for future economic distress. Basel III Banking reform CET1 HQLA Liquidity regulation Regulatory capital G12 G18 G21 G28...
Journal Articles

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