Home
Research Trends
Papers list
Open Access Journals
All Journals
Search in Journals
Contact us
Journal of Economics and Business
Title
Publication Date
Language
Citations
Geographic diversification and risk in banking
1988/11/01
English
47
Time-varying betas and volatility persistence in International Stock markets
1994/05/01
English
47
Corporate governance and the systemic risk of financial institutions
2015/11/01
English
47
Errors in the measurement of the output gap and the design of monetary policy
2000/01/01
English
46
Do retail gasoline prices rise more readily than they fall?
2007/11/01
English
46
Consistency Conditions for Regulatory Analysis of Financial Institutions: A Comparison of Frontier Efficiency Methods
1998/03/01
English
46
Financial integration and stability in the Southern African development community
2015/05/01
English
46
Sovereign Wealth Funds: A literature review
2015/03/01
English
45
CEO power, ownership structure and pay performance in Chinese banking
2015/11/01
English
44
The role of trade credit in the recent subprime financial crisis
2011/09/01
English
44
Monetary policy with a touch of Basel
2010/05/01
English
44
The delinquency of subprime mortgages
2008/01/01
English
43
Does institutional ownership affect the cost of bank borrowing?
2010/11/01
English
43
Asymmetric information and distance: an empirical assessment of geographical credit rationing
2005/01/01
English
43
Banking competition, banking stability, and economic growth: Are feedback effects at work?
2018/03/01
English
43
Hypothesis testing in event studies: The case of variance changes
1996/10/01
English
42
Financial development and private investment in Sub-Saharan Africa
2011/03/01
English
41
Corporate governance and company performance across Sub-Saharan African countries
2013/11/01
English
41
The growth and performance of franchise systems: Company versus franchisee ownership
1984/12/01
English
40
Corporate ownership and control contestability in emerging markets: The case of Colombia
2009/03/01
English
40
Enhancing mean–variance portfolio selection by modeling distributional asymmetries
2016/05/01
English
40
Identifying failing companies: a re-evaluation of the logit, probit and DA approaches
1999/07/01
English
40
Consumer credit literacy: What price perception?
2008/01/01
English
39
Global and regional co-movement of the MENA stock markets
2013/01/01
English
39
Cost economies and interest rate margins in a unified European banking market
1996/08/01
English
38
Changes in the oil price-inflation pass-through
2013/07/01
English
38
Economic sentiment during the COVID pandemic: Evidence from search behaviour in the EU
2021/05/01
English
38
Do remittances promote economic growth in the Caribbean Community and Common Market?
2015/01/01
English
38
Relationship between bank holding company risk and nonbank activity
1989/11/01
English
37
Internal vs. external habit formation: The relative importance for asset pricing
2010/05/01
English
37
«
‹ Pervious
Next ›
»