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JOURNAL OF BANKING & FINANCE
Journal
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Overview
publication venue for
A New Measure for Differences of Opinions: Institutional Trade Dispersion
. 170:107334.
2025
Gender difference in overconfidence and household financial literacy
. 166.
2024
Financial literacy and mortgage stress
. 163.
2024
Are all female directors equal? Incentives and effectiveness of female independent directors
. 162.
2024
Market distortions with collusion of agents
. 162.
2024
Additions to and deletions from the S&P 500 index: A resolution to the asymmetric price response puzzle
. 154.
2023
Geographic deregulation and bank capital structure
. 149.
2023
Hot potatoes: Underpricing of stocks following extreme negative returns *
. 149.
2023
How do investors trade R&D-intensive Stocks? Evidence from hedge funds and other institutional investors
. 134.
2022
The impact of COVID-19 pandemic on bank lending around the world
. 133.
2021
The Shareholder's response to a firm's first international acquisition
. 118.
2020
Endogenous asymmetric money illusion
. 109.
2019
Upside potential of hedge funds as a predictor of future performance
. 98:212-229.
2019
Hedge fund vs. non-hedge fund institutional demand and the book-to-market effect
. 92:51-66.
2018
House price, loan-to-value ratio and credit risk
. 92:1-12.
2018
The effect of TARP on the propagation of real estate shocks: Evidence from geographically diversified banks
. 83:173-192.
2017
Do banks actively manage their liquidity?
. 66:143-161.
2016
Financial development convergence
. 56:61-71.
2015
Governance, product market competition and cash management in IPO firms
. 37:2052-2068.
2013
Inventories, sales uncertainty, and financial strength
. 36:2512-2521.
2012
Parliamentary election cycles and the Turkish banking sector
. 34:2709-2719.
2010
Aggregate insider trading: Contrarian beliefs or superior information?
. 34:1225-1236.
2010
The role of household and business credit in banking crises
. 34:1247-1256.
2010
A behavioral explanation for the negative asymmetric return-volatility relation
. 32:2254-2266.
2008
Stock returns, dividend yield, and book-to-market ratio
. 31:455-475.
2007
Reactions of Japanese markets to changes in credit ratings by global and local agencies
. 30:1007-1021.
2006
Gains from structured product markets: The case of reverse-exchangeable securities (RES)
. 30:111-132.
2006
Selecting a portfolio with skewness: Recent evidence from US, European, and Latin American equity markets
. 27:1375-1390.
2003
Portfolio selection and skewness: Evidence from international stock markets
. 21:143-167.
1997
Research
category
BUSINESS, FINANCE
Category
ECONOMICS
Category
Identifiers
International Standard Serial Number (ISSN)
0378-4266
Electronic International Standard Serial Number (EISSN)
1872-6372
Other
journal abbreviation
J BANK FINANC