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Keyword: finance & banking
Found
743 papers
in total
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Returns to Initial Shareholders in Savings Institution Conversions: Evidence and Regulatory Implications
1988,
Jordan Bradford D
In this paper, stock prices for savings institutions that have converted to the stock...
Common stock returns, expected inflation, and the rational expectations hypothesis
1988,
Loo Jean C H
This paper provides empirical evidence that expected inflation has a...
Evidence of a relation between stock price reactions around cash dividend changes and yields
1988,
Peterson David R
Here, the relation between stock price reactions to announced dividend changes and the...
An evaluation of the performance of portfolios selected from value line rank one stocks: 1976‐1982
1988,
Hall Thomas W
In this study, the performance of portfolios selected from among Value Line rank one...
Learning banks' exposure to systematic risk: evidence from the financial crisis of 2008
2014,
Viale Ariel M
Using a two‐state Markov regime‐switching intertemporal capital asset...
The U.S. treasury's capital purchase program: treasury's selectivity and market returns across weak and healthy banks
2014,
Salotti Valentina
We evaluate firms that voluntarily participated in the Treasury's Capital Purchase...
Investment banks in dual roles: acquirer m&a advisors as underwriters
2014,
Ertugrul Mine
We analyze the dual role of investment banks that provide advice to acquiring firms...
Strategic credit line usage and performance
2014,
Kizilaslan Atay
The existing literature views credit line drawdowns as a quick, low‐cost way...
Estimation of technical efficiency in banking industry using stochastic frontier analysis
2015,
Foroutan Farnaz
Considering the fundamental role of banking system in different economies, an...
Corruption, central bank (in)dependence and optimal monetary policy in a simple model
2015,
Cavoli Tony
Using a simple macroeconomic model, this paper examines the interaction between...
Monetary expansion and bank credit: A lack of spark
2015,
Orlowski Lucjan T
This study shows that the recent expansionary monetary policy pursued by the U.S....
Impact of total quality management on customer satisfaction in Indian banking sector
2015,
Pattanayak Durgesh
Total quality management (TQM) has been practised in diverse industries from...
Bankruptcy prediction of small and medium enterprises using a flexible binary generalized extreme value model
2016,
Marra Giampiero
We introduce a binary regression accounting‐based model for bankruptcy...
The impact of real estate lending on thrifts' franchise values during the 2007‐2009 crisis: a comparison with commercial banks
2016,
Salotti Valentina
The real estate bubble and 2007–2009 financial crisis revived the debate about...
The sensitivity of the prime rate to money market conditions
1984,
Goldberg Michael A
Commercial banking's institutional setting can make one bank's profits dependent upon...
The response of forward exchange rates to interest rate forecasting errors
1984,
Kaen Fred R
This paper examines the effects of interest rate news on changes in forward foreign...
The estimation of mortgage prepayment rates
1985,
Navratil Frank J
This paper uses a model in which prepayment rates on large pools of mortgages are a...
Bank holding company acquisitions, stockholder returns, and regulatory uncertainty
1985,
Stover Roger D
This paper examines the returns accruing to the bank holding company (BHC)...
Black-controlled credit unions: a comparative analysis
1985,
Black Harold A
This paper is a comparative study of black‐ and nonblack‐controlled...
Risk-adjusted discount rates-extensions from the average-risk case
1985,
Harris Robert S
This paper provides an approach for developing risk‐adjusted discount rates...
Partial exercise of loan commitments under adaptive pricing
1985,
Greenbaum Stuart I
The partial takedown phenomenon associated with bank loan commitments is examined in a...
New estimates of the term structure of interest rates: 1920‐1939
1985,
Thies Clifford F
New estimates of the term structures of interest rates for the inter‐war period...
Interest rate risk, market value, and hedging financial portfolios
1987,
Belongia Michael T
This paper derives theoretical hedge ratios for the financial portfolio that preserve...
The role of capital adequacy regulation in the hedging decisions of financial intermediaries
1987,
Morgan George Emir
This paper identifies the effect of capital adequacy requirements, which have been...
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