Article Selection on Financial Markets & Institutions

On occasion of the 2016 FMA Annual Meeting, we are proud to present an article selection on Financial Markets & Institutions containing 10 influential articles published in leading journals of the Elsevier’s Finance portfolio in recent years.

The article selection, dedicated to research in Financial Markets & Institutions, gives attention to this year’s FMA best paper award. Enjoy free online access to the articles until 17 December 2016.

Econometric measures of connectedness and systemic risk in the finance and insurance sectors
Billio, M., Getmansky, M., Lo, A.W., Pelizzon, L., 2012
Journal of Financial Economics

Corporate governance in the 2007-2008 financial crisis: Evidence from financial institutions worldwide
Erkens, D.H., Hung, M., Matos, P., 2012
Journal of Corporate Finance

Financial crises and stock market contagion in a multivariate time-varying asymmetric framework
Kenourgios, D., Samitas, A., Paltalidis, N., 2011
Journal of International Financial Markets, Institutions and Money

Financial innovation: The bright and the dark sides
Beck, T., Chen, T., Lin, C., Song, F.M., 2016
Journal of Banking and Finance

Can banks individually create money out of nothing? - The theories and the empirical evidence
Werner, R.A., 2014
International Review of Financial Analysis

How the Subprime Crisis went global: Evidence from bank credit default swap spreads
Eichengreen, B., Mody, A., Nedeljkovic, M., Sarno, L., 2012
Journal of International Money and Finance

The stock market impact of government interventions on financial services industry groups: Evidence from the 2007-2009 crisis      
Pennathur, A., Smith, D., Subrahmanyam, V., 2014
Journal of Economics and Business

Low-latency trading
Hasbrouck, J., Saar, G., 2013
Journal of Financial Markets

Interbank tiering and money center banks
Craig, B., Von Peter, G., 2014
Journal of Financial Intermediation

The euro area sovereign debt crisis: Identifying flight-to-liquidity and the spillover mechanisms
De Santis, R.A., 2014
Journal of Empirical Finance