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Journal Articles
Managerial Finance (2026) 52 (3): 540–555.
Published: 05 September 2025
...Naina Grover; Priti Aggarwal Purpose This study examines the impact of Fintech adoption on bank’s liquidity creation (LC) in the Indian banking sector, specifically exploring potential differences in this relationship between public and private sector banks. Design/methodology/approach...
Journal Articles
Managerial Finance (2025) 51 (11): 1742–1757.
Published: 21 March 2025
...Harish Kumar Bhatter; Jyotirani Gupta; Biswajit Prasad Chhatoi Purpose This study aims to explore the intricate and dynamic relationship between financial inclusion and the financial performance of banking institutions, revealing a novel U-shaped pattern. By employing a comprehensive financial...
Journal Articles
Managerial Finance (2025) 51 (6): 1025–1043.
Published: 14 January 2025
...José Lafuente; María D. De-Juan-Vigaray; Victoria Labajo Purpose This study introduces a methodology that combines geographic information technologies and consumer behaviour principles to define, delineate and quantify the trade area (TA) of a bank branch within the context of mergers...
Journal Articles
Journal Articles
Managerial Finance (2023) 49 (1): 1–12.
Published: 04 August 2022
...Alex Fayman Purpose The paper aims to highlight differences in bank performance based on state politics during the onset of the Covid pandemic. The response to Covid pandemic created an unusual opportunity for an investigation of how politics impacts banking due to the initial response...
Journal Articles
Managerial Finance (2022) 48 (9-10): 1472–1487.
Published: 24 May 2022
... in commercial banks to estimate the relationship between the variables. Design/methodology/approach This study applied an explanatory method with a quantitative approach by surveying 343 Indonesian commercial bank depositors, in both public and private banks. The responses were collected using the purposive...
Journal Articles
Journal Articles
Managerial Finance (2020) 46 (12): 1521–1547.
Published: 31 July 2020
...John S. Howe; Thibaut G. Morillon Purpose This paper aims to investigate the consequences of mergers and acquisitions (M&As) on information asymmetry in the banking sector. Specifically, the authors look at whether specific firm or deal characteristic influence information asymmetry levels...
Journal Articles
Managerial Finance (2019) 45 (12): 1580–1600.
Published: 24 September 2019
... markets Financial risk Banking Banking industry Financial institutions Over the past three decades, the structure and composition of financial intermediation has changed drastically due to changes in competition, financial innovation and the regulatory framework. A by-product of these changes...
Journal Articles
Managerial Finance (2018) 44 (7): 902–918.
Published: 22 June 2018
... analyses some 36,000 survey responses across ten banks headquartered in Anglo countries. Findings Desirable risk management behaviour at the employee level includes compliance but goes well beyond mere compliance to include speaking up, thoughtful engagement with and accountability for the risk...
Journal Articles
Managerial Finance (2018) 44 (5): 551–569.
Published: 08 May 2018
...Ghada Ben Zeineb; Sami Mensi Purpose The purpose of this paper is to determine the simultaneous effect of corporate governance (CG) of Gulf Cooperation Council (GCC) Islamic banks (IBs) on efficiency and risk. Design/methodology/approach The authors include Shariah supervisory board (SSB) size...
Journal Articles
Journal Articles
Managerial Finance (2018) 44 (2): 178–188.
Published: 12 February 2018
...Alex Fayman; Ling T. He; K. Michael Casey Purpose The purpose of this paper is to investigate the potential impact of political party control on bank profitability and risk. This study extends previous work by looking at overall political power with respect to party control of the House, Senate...
Journal Articles
Journal Articles
Managerial Finance (2015) 41 (8): 754–772.
Published: 10 August 2015
...Dionisis Philippas; Yiannis Koutelidakis; Alexandros Leontitsis Purpose – The purpose of this paper is to analyse the importance of interbank connections and shocks on banks’ capital ratios to financial stability by looking at a network comprising a large number of European and UK banks...
Journal Articles
Managerial Finance (2015) 41 (8): 773–805.
Published: 10 August 2015
...Christian Calmès; Raymond Théoret Purpose – The purpose of this paper is to analyse the link between product-mix and bank performance with a comprehensive look at the contribution of each component of banking activities. Design/methodology/approach – The generalized method of moments...
Journal Articles
Managerial Finance (2015) 41 (1): 80–101.
Published: 12 January 2015
...Walaa Wahid ElKelish; Jon Tucker Purpose – The purpose of this paper is to investigate the relationship between the quality of property rights institutions (PRIs) and bank financial performance in an empirical study of 136 countries over the period 1999-2006. Design/methodology/approach...
Journal Articles
Managerial Finance (2014) 40 (7): 724–733.
Published: 03 June 2014
...Anand Jha; Siddharth Shankar; Leonard Arvi Purpose – The purpose of this paper is to use a unique hand-collected data set from India to investigate whether firms with multiple banking relationships that are in bankruptcy get additional loans more easily than those with a single banking...
Journal Articles
Managerial Finance (2014) 40 (1): 51–71.
Published: 07 January 2014
...Morris Knapp; Alan Gart Purpose – This paper aims to examine the post-merger changes in the credit risk profile of merging bank holding companies and tests whether there is an increase in credit risk after a merger due to changes in the mix of loans in the portfolio. Design/methodology...
Journal Articles
Managerial Finance (2013) 39 (9): 848–862.
Published: 02 August 2013
...Fotios Pasioura; Chrysovalantis Gaganis; Constantin Zopounidis; Matthias Nnadi; Sailesh Tanna Purpose This paper aims to examine value gains to acquirers in large commercial bank mega‐mergers (with transaction values over £1 billion) that occurred in the European Union during the period 1997‐2007...

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