Search Results - "The European journal of finance"

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  1. 1

    Fintech, financial inclusion and income inequality: a quantile regression approach by Demir, Ayse, Pesqué-Cela, Vanesa, Altunbas, Yener, Murinde, Victor

    Published in The European journal of finance (2022)
    “…Although theory suggests that financial market imperfections - mainly information asymmetries, market segmentation and transaction costs - prevent poor people…”
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  2. 2

    Do ESG strategies enhance bank stability during financial turmoil? Evidence from Europe by Chiaramonte, Laura, Dreassi, Alberto, Girardone, Claudia, Piserà, Stefano

    Published in The European journal of finance (13-08-2022)
    “…This paper investigates the joint and separate effects of Environmental (E), Social (S), and Governance (G) scores on bank stability. Using a sample of…”
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  3. 3

    Fintech development and bank risk taking in China by Wang, Rui, Liu, Jiangtao, Luo, Hang(Robin)

    Published in The European journal of finance (24-03-2021)
    “…This paper empirically tests the effect of FinTech development on bank risk taking using unbalanced bank-level panel data from China for the period from 2011…”
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  4. 4

    How stable are stablecoins? by Hoang, Lai T., Baur, Dirk G.

    Published in The European journal of finance (01-11-2024)
    “…This paper analyzes the stability of stablecoins and proposes a framework to test for absolute and relative stability of stablecoins. Based on high-frequency…”
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  5. 5

    Financial inclusion and bank stability: evidence from Europe by Danisman, Gamze Ozturk, Tarazi, Amine

    Published in The European journal of finance (11-12-2020)
    “…The Great Recession of 2007-2009 piqued the interest of policymakers worldwide, prompting various initiatives to stabilize the financial system and advance…”
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  6. 6

    The Pricing and Performance of Cryptocurrency by Momtaz, Paul P.

    Published in The European journal of finance (24-03-2021)
    “…This paper examines the performance of cryptocurrencies issued in initial coin offerings (ICOs) over a three-year period after the initial exchange listing…”
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  7. 7

    The diffusion of fintech, financial inclusion and income per capita by Kanga, Désiré, Oughton, Christine, Harris, Laurence, Murinde, Victor

    Published in The European journal of finance (02-01-2022)
    “…Advances in information and communication technology (ICT) have provided a platform for the introduction and diffusion of a range of financial technologies…”
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  8. 8

    A theory of financial inclusion and income inequality by Kling, Gerhard, Pesqué-Cela, Vanesa, Tian, Lihui, Luo, Deming

    Published in The European journal of finance (02-01-2022)
    “…We develop a theory linking financial inclusion, defined as access to formal loans and financial assets, to income inequality. Initial inequality of households…”
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  9. 9

    Twenty-five years of The European Journal of Finance (EJF): a retrospective analysis by Burton, Bruce, Kumar, Satish, Pandey, Nitesh

    Published in The European journal of finance (11-12-2020)
    “…This study commemorates the 25th anniversary of The European Journal of Finance (EJF) by providing a detailed retrospective analysis of the journal's output…”
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  10. 10

    Financial literacy and financial well-being among generation-Z university students: Evidence from Greece by Philippas, Nikolaos D., Avdoulas, Christos

    Published in The European journal of finance (23-03-2020)
    “…Financial knowledge has become an essential skill because of the instability of global markets, asymmetric information in those markets, increasing complexity…”
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  11. 11

    Risk management with expectiles by Bellini, Fabio, Di Bernardino, Elena

    Published in The European journal of finance (03-05-2017)
    “…Expectiles (EVaR) are a one-parameter family of coherent risk measures that have been recently suggested as an alternative to quantiles (VaR) and to expected…”
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  12. 12

    Historical geopolitical risk and the behaviour of stock returns in advanced economies by Salisu, Afees A., Lasisi, Lukman, Tchankam, Jean Paul

    Published in The European journal of finance (13-06-2022)
    “…In this study, we investigate the impact of global geopolitical risk (GPR) of different forms on the economies of advanced countries (G7 and Switzerland). We…”
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  13. 13

    Do investors feedback trade in the Bitcoin-and why? by Karaa, Rabaa, Slim, Skander, Goodell, John W., Goyal, Abhinav, Kallinterakis, Vasileios

    Published in The European journal of finance (01-11-2024)
    “…We empirically examine whether feedback traders are active in the Bitcoin and the extent to which their presence is affected by a series of noise-related…”
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  14. 14

    Discontinuous movements and asymmetries in cryptocurrency markets by Gkillas, Konstantinos, Katsiampa, Paraskevi, Konstantatos, Christoforos, Tsagkanos, Athanasios

    Published in The European journal of finance (01-11-2024)
    “…This paper proposes a novel asymmetric jump model for modeling interactions in discontinuous movements in asset prices. Given the jump behavior and high…”
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  15. 15

    Measuring financial well-being over the lifecourse by Michael Collins, J., Urban, Carly

    Published in The European journal of finance (23-03-2020)
    “…Financial well-being is a relatively new construct that attempts to measure subjective financial status and perceived future financial trajectory. Using a…”
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  16. 16

    Do managers learn from stock prices in emerging markets? Evidence from China by Chen, Sicen, Lin, Shuping, Xiao, Jinli, Zhang, Pengdong

    Published in The European journal of finance (24-03-2022)
    “…In this study, we examine whether managers learn from stock prices when making investment decisions in the context of emerging markets. Adopting the…”
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  17. 17

    Determinants and value of enterprise risk management: empirical evidence from Germany by Lechner, Philipp, Gatzert, Nadine

    Published in The European journal of finance (03-07-2018)
    “…Enterprise risk management (ERM) has become increasingly relevant in recent years, especially due to an increasing complexity of risks and the further…”
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  18. 18

    The performance effects of board heterogeneity: what works for EU banks? by Arnaboldi, F., Casu, B., Kalotychou, E., Sarkisyan, A.

    Published in The European journal of finance (02-07-2020)
    “…We examine the impact of board heterogeneity on the performance of EU-listed banks in the wake of the global financial crisis. In a comprehensive set-up, we…”
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  19. 19

    Skewed distributions in finance and actuarial science: a review by Adcock, Christopher, Eling, Martin, Loperfido, Nicola

    Published in The European journal of finance (14-11-2015)
    “…That the returns on financial assets and insurance claims are not well described by the multivariate normal distribution is generally acknowledged in the…”
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  20. 20

    Multi-asset portfolio optimization and out-of-sample performance: an evaluation of Black-Litterman, mean-variance, and naïve diversification approaches by Bessler, Wolfgang, Opfer, Heiko, Wolff, Dominik

    Published in The European journal of finance (01-01-2017)
    “…The Black-Litterman model aims to enhance asset allocation decisions by overcoming the problems of mean-variance portfolio optimization. We propose a…”
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