Journal of Financial Stability,Volume 56, October 2021

[发布日期]:2022-01-14  [浏览次数]:

目录

Editorial Board
编辑委员会
Liquidity risk and bank performance during financial crises
流动性风险和银行金融危机期间表现
Uncertainty of uncertainty and firm cash holdings
不确定性的不确定性和公司现金持有量
Connected banks and economic policy uncertainty
连接银行和经济政策的不确定性
Economic policy uncertainty and cross-border mergers and acquisitions
经济政策的不确定性和跨境并购
Economic policy uncertainty and allocative distortions
经济政策的不确定性和配置扭曲
Economic policy uncertainty and earnings management: Evidence from Japan
经济政策的不确定性和收益管理:证据来自日本
International coordination of macroprudential policies with capital flows and financial asymmetries
宏观审慎政策的国际协调与资本流动和金融不对称
Economic uncertainty and bank stability: Conventional vs. Islamic banking
经济不确定性和银行稳定:传统与伊斯兰银行业
Doing good in periods of high uncertainty: Economic policy uncertainty, corporate social responsibility, and analyst forecast error
行善高不确定的时期:经济政策的不确定性,企业社会责任,分析师预测误差
Money, privacy, anonymity: What do experiments tell us?
金钱、隐私匿名:实验告诉我们什么?
The risk implications of the business loan activity in credit unions
业务的风险影响信用合作社贷款活动
Banking globalization, local lending, and labor market effects: Micro-level evidence from Brazil
当地贷款银行全球化,和劳动力市场效应:微观层面的证据来自巴西
Am I riskier if I rescue my banks? Beyond the effects of bailouts
如果我拯救我的银行,我的风险会更大吗? 超越救助的影响
Professional norms and risk-taking of bank employees: Do expectations of peers’ risk preferences matter?
专业规范和冒险的银行职员:同行的预期风险偏好重要吗?

原文链接:https://www.sciencedirect.com/journal/journal-of-financial-stability/vol/56/suppl/C

翻译:有道翻译
整理者:杨璐



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