Journal Of Financial Stability

Journal Of Financial Stability

金融稳定杂志

  • 2区 中科院分区
  • Q1 JCR分区

高引用文章

文章名称 引用次数
A contemporary survey of islamic banking literature 23
Policy uncertainty, investment, and the cost of capital 21
Syndication, interconnectedness, and systemic risk 20
Bank capital, institutional environment and systemic stability 13
Identifying excessive credit growth and leverage 12
SMEs and access to bank credit: Evidence on the regional propagation of the financial crisis in the UK 11
Financial stability in Europe: Banking and sovereign risk 11
Bank lending and systemic risk: A financial-real sector network approach with feedback 10
Economic policy uncertainty and banks' loan pricing 10
Volatile capital flows and economic growth: The role of banking supervision 10
Multiplex interbank networks and systemic importance: An application to European data 9
The missing links: A global study on uncovering financial network structures from partial data 8
Bank capital buffers around the world: Cyclical patterns and the effect of market power 8
The effect of the political connections of government bank CEOs on bank performance during the financial crisis 8
National culture and bank risk-taking 8
Shareholder protection and bank executive compensation after the global financial crisis 7
Assessing macroprudential tools in OECD countries within a cointegration framework 7
Basel III and bank-lending: Evidence from the United States and Europe 7
The impact of loan loss provisioning on bank capital requirements 7
Contrasting financial and business cycles: Stylized facts and candidate explanations 7
Measuring the propagation of financial distress with Granger-causality tail risk networks 7
Benefits and costs of a higher bank leverage ratio 7
Network linkages to predict bank distress 7
Financial networks and stress testing: Challenges and new research avenues for systemic risk analysis and financial stability implications 7
How does risk flow in the credit default swap market? 7
Measuring sovereign contagion in Europe 7
Interconnectedness as a source of uncertainty in systemic risk 6
Does machine learning help us predict banking crises? 6
Can bubble theory foresee banking crises? 6
Measuring contagion risk in international banking 6
Liquidity creation performance and financial stability consequences of Islamic banking: Evidence from a multinational study 6
Fishing the Corporate Social Responsibility risk factors 5
The dark side of stress tests: Negative effects of information disclosure 5
Post-crisis regulatory reform in banking: Address insolvency risk, not illiquidity! 5
Optimal capital, regulatory requirements and bank performance in times of crisis: Evidence from France 5
Financial stability in networks of financial institutions and market infrastructures 5
Information contagion and systemic risk 5
Interest rate pass-through in the euro area: Financial fragmentation, balance sheet policies and negative rates 5
Identifying central bank liquidity super-spreaders in interbank funds networks 4
Bank value and geographic diversification: regional vs global 4
Explaining the cyclical volatility of consumer debt risk using a heterogeneous agents model: The case of Chile 4
Measuring systemic risk across financial market infrastructures 4
Banking crises and crisis dating: Disentangling shocks and policy responses 4
Crisis, contagion and international policy spillovers under foreign ownership of banks 4
Central bank communication and financial markets: New high-frequency evidence 4
Do different forms of government ownership matter for bank capital behavior? Evidence from China 4
Can parents protect their children? Risk comparison analysis between affiliates of multi- and single-bank holding companies 3
What influences banks' choice of credit risk management practices? Theory and evidence 3
Information sharing, credit booms and financial stability: Do developing economies differ from advanced countries? 3
Time to buy or just buying time? Lessons from October 2008 for the cross-border bailout of banks 3