Journal of Economics and Business

Title Publication Date Language Citations
Geographic diversification and risk in banking1988/11/01English47
Time-varying betas and volatility persistence in International Stock markets1994/05/01English47
Corporate governance and the systemic risk of financial institutions2015/11/01English47
Errors in the measurement of the output gap and the design of monetary policy2000/01/01English46
Do retail gasoline prices rise more readily than they fall?2007/11/01English46
Consistency Conditions for Regulatory Analysis of Financial Institutions: A Comparison of Frontier Efficiency Methods1998/03/01English46
Financial integration and stability in the Southern African development community2015/05/01English46
Sovereign Wealth Funds: A literature review2015/03/01English45
CEO power, ownership structure and pay performance in Chinese banking2015/11/01English44
The role of trade credit in the recent subprime financial crisis2011/09/01English44
Monetary policy with a touch of Basel2010/05/01English44
The delinquency of subprime mortgages2008/01/01English43
Does institutional ownership affect the cost of bank borrowing?2010/11/01English43
Asymmetric information and distance: an empirical assessment of geographical credit rationing2005/01/01English43
Banking competition, banking stability, and economic growth: Are feedback effects at work?2018/03/01English43
Hypothesis testing in event studies: The case of variance changes1996/10/01English42
Financial development and private investment in Sub-Saharan Africa2011/03/01English41
Corporate governance and company performance across Sub-Saharan African countries2013/11/01English41
The growth and performance of franchise systems: Company versus franchisee ownership1984/12/01English40
Corporate ownership and control contestability in emerging markets: The case of Colombia2009/03/01English40
Enhancing mean–variance portfolio selection by modeling distributional asymmetries2016/05/01English40
Identifying failing companies: a re-evaluation of the logit, probit and DA approaches1999/07/01English40
Consumer credit literacy: What price perception?2008/01/01English39
Global and regional co-movement of the MENA stock markets2013/01/01English39
Cost economies and interest rate margins in a unified European banking market1996/08/01English38
Changes in the oil price-inflation pass-through2013/07/01English38
Economic sentiment during the COVID pandemic: Evidence from search behaviour in the EU2021/05/01English38
Do remittances promote economic growth in the Caribbean Community and Common Market?2015/01/01English38
Relationship between bank holding company risk and nonbank activity1989/11/01English37
Internal vs. external habit formation: The relative importance for asset pricing2010/05/01English37