Banking, Finance and Investment articles for United States of America (USA)

Time frame: 1 June 2025 - 30 May 2026
Count: 207

Article ‘Count’ for Banking, Finance and Investment.

Journal Count Share
11 9.35
Identifying Preference for Early Resolution from Asset Prices 0.50
The Private Provision of Public Services: Evidence from Random Assignment in Medicaid 1.00
Quality Adjustment at Scale: Hedonic versus Exact Demand-Based Price Indices 0.94
Sequential Cursed Equilibrium 0.50
Consumer Credit and the Incidence of Tariffs: Evidence from the Auto Industry 1.00
Sequential Learning under Informational Ambiguity 1.00
Allocation Mechanisms with Mixture-Averse Preferences 1.00
Changing Income Risk across the US Skill Distribution: Evidence from a Generalized Kalman Filter 1.00
Anatomy of the Phillips Curve: Micro Evidence and Macro Implications 0.75
Cursed Sequential Equilibrium 0.67
The End of Privilege: A Reexamination of the Net Foreign Asset Position of the United States 1.00
1 1.00
Uterine Cancer Diagnosis at Age 65: Onset of Medicare Eligibility and Impact of Medicaid Expansion 1.00
1 1.00
Climate exposure drives firm political behavior: Evidence from earnings calls and lobbying data 1.00
1 1.00
Unsecured Credit and the Social Safety Net in U.S. States 1.00
1 1.00
Usual Source of Care Among Adults Aged 18-64 Years Post-ACA, 2010-2017 1.00
1 1.00
Functional Status of Adults at Risk of Medicaid Disenrollment Under National Work Requirements. 1.00
2 2.00
Comparison of Cancer Care Delivery and Outcomes in Medicare Advantage with Traditional Medicare. 1.00
Access to Surgical Care After Newly Acquired Insurance Enrollment. 1.00
5 3.45
Optimal energy portfolio investment strategies for data centers under deep market uncertainty 1.00
Impact of different carbon policies on integrated planning of hydrogen supply chain and power system 1.00
A cross-regional analysis of policies, regulations, and incentives from the United States, the European Union, China, and Australia for shaping hydrogen economy 1.00
Optimized scheduling strategies for integrated energy systems in agricultural parks with near-zero carbon emissions 0.20
FiT for purpose? Investigating the effects of feed-in-tariffs on renewable energy penetration in Europe 0.25
1 0.67
The “push and pull” factors in firm location choices: Financial regulations and headquarters in China 0.67
2 2.00
Changes in Type 2 Diabetes Medications Among Primary Care Patients After California's 2022 Medicaid Expansion. 1.00
Health and Economic Impact and Cost-Effectiveness of Produce Prescriptions for Diabetes in 50 U.S. States: A Microsimulation Study. 1.00
5 4.60
Firm Accommodation After Workplace Disability: Labor Market Impacts and Implications for Subsidy Design 1.00
Integrated Monetary and Financial Policies for Small Open Economies 0.60
Private Information and Price Regulation in the US Credit Card Market 1.00
Dynamic Concern for Misspecification 1.00
Quality Disclosure and Regulation: Scoring Design in Medicare Advantage 1.00
1 0.17
Low-Carbon Energy System Planning Considering Multi-Regional Atmospheric Carbon Concentration and Meteorological Probability Fluctuation 0.17
2 1.67
How can the Cement Industry Enable Industrial Decarbonization at Scale? 1.00
Assessing the Policy Gaps for Achieving China’s Carbon Neutrality Target 0.67
1 1.00
Federal Enforcement Actions Against Medicare Advantage Plans 1.00
2 1.90
Medicaid Expansion and 1-Year Mortality Among Young Adults Initiating Dialysis 0.90
Medicaid Disenrollment Among Young Adults With and Without Complex Medical Conditions 1.00
2 2.00
Medicaid Expansion Timing and Pancreatic Cancer Resection Rates and Survival 1.00
Surgery at High-Quality Hospitals Among Medicare Advantage Beneficiaries Undergoing Cancer Surgery 1.00
1 1.00
Insurance Dynamics During Childhood in the Fragmented US Health System 1.00
6 3.72
Economic behaviors of generation companies at higher penetration of renewables under different market concentrations 0.47
Green interaction on online platforms and its role in enhancing corporate ESG performance: A dual green innovation chain mediation effect 0.25
Impact of COVID-19 on sustainable productivity changes in OECD Countries: A NO-SBM-DEA assessment 1.00
How stakeholder influence shapes public sector environmental policy choices 0.75
Firm capabilities versus regional factors: A random forest approach for predicting toxic chemical releases among US industrial facilities 1.00
High spatio-temporal resolution CO2 emission estimation model for Chinese crude oil maritime transportation 0.25
2 2.00
Medicaid Expansion and Stage at Diagnosis, Timely Initiation and Receipt of Guideline-Concordant Treatment, and Survival Among People With Non-Small Cell Lung Cancer. 1.00
Use of Low-Value Cancer Treatments in Medicare Advantage Versus Traditional Medicare. 1.00
65 47.04
Liquidity characteristics of market anomalies and institutional trading 0.75
Which investors drive anomaly returns and how? 1.00
Intervening against the Fed 0.33
Picking partners: Manager selection in private markets 0.67
Learning by lending securities 1.00
Hidden alpha 0.50
Duration-based stock valuation: Reassessing stock market performance and volatility 0.67
Hurdle rate buffers and bargaining power in asset acquisition 1.00
Retail option traders and the implied volatility surface 0.75
The incentives of SPAC sponsors 0.80
Index rebalancing and stock market composition: Do indexes time the market? 1.00
Prospect theory in the field: Revealed preferences from mutual fund flows 0.33
Manufacturing risk-free government debt 0.92
Intermediation frictions in equity markets 1.00
Do teams alleviate or exacerbate overreaction in beliefs? 0.08
Regional Banks, Aggregate Effects 1.00
The benchmark greenium 1.00
How costly are cultural biases? Evidence from FinTech 0.67
Policy news and stock market volatility 1.00
Implicit extrapolation and the beliefs channel of investment demand 1.00
Demand disagreement 0.50
Data and welfare in credit markets 0.75
Green tilts 0.89
Dealer balance sheets and bidding behavior in the Bank of England’s QE reverse auctions 0.56
Global sales, international currencies, and the currency denomination of debt 0.67
How valuable is corporate adaptation to crisis? Estimates from Covid-19 work-from-home announcements 0.33
Inflation and Trading 0.33
ESG lending 0.50
Finance without exotic risk 0.50
Financial constraints and the racial housing gap 0.67
Taking sides on return predictability 1.00
When do short sellers trade? Evidence from intraday data and implications for informed trading models 0.25
Stealthy shorts: Informed liquidity supply 0.25
Why does options market information predict stock returns? 0.72
The retail habitat 1.00
Defunding controversial industries: Can targeted credit rationing choke firms? 1.00
Price regulation in two-sided markets: Empirical evidence from debit cards 1.00
Michael C. Jensen’s empirical work 1.00
Diversification driven demand for large stock 1.00
Equity duration and predictability 0.75
Information-based pricing in specialized lending 1.00
Too Levered for Pigou: Carbon pricing, financial constraints, and leverage regulation 0.42
Machine learning from a “Universe” of signals: The role of feature engineering 0.50
Climbing and falling off the ladder: Asset pricing implications of labor market event risk 1.00
Stakes and investor behaviors 0.50
Responsible investing: Costs and benefits for university endowment funds 0.50
Why do portfolio choice models predict inelastic demand? 1.00
Overvaluing simple bets: Evidence from the options market 1.00
Show me the receipts: B2B payment timeliness and expected returns 1.00
Bank stress testing, human capital investment and risk management 1.00
CRISK: Measuring the climate risk exposure of the financial system 1.00
The impact of prices on analyst cash flow expectations: Reconciling subjective beliefs data with rational discount rate variation 1.00
Economic links from bonds and cross-stock return predictability 0.20
Conditional risk and the pricing kernel 0.50
Pension fund flows, exchange rates, and covered interest rate parity 0.50
A quantitative analysis of bank lending relationships 1.00
Receiving investors in the block market for corporate bonds 1.00
Banks as regulated traders 1.00
Rules versus discretion in capital regulation 0.50
Customer data access and fintech entry: Early evidence from open banking 0.21
Trust as an entry barrier: Evidence from FinTech adoption 1.00
Global volatility and firm-level capital flows 0.33
The retail execution quality landscape 0.17
Investor demand, firm investment, and capital misallocation 0.75
Strategic digitization in currency and payment competition 0.83
7 5.36
Making Information More Valuable 1.00
Endogenous Treatment Models with Social Interactions: An Application to the Impact of Exercise on Self-Esteem 1.00
The Value of Ratings: Evidence from Their Introduction in Securities Markets 1.00
Exorbitant Privilege Gained and Lost: Fiscal Implications 0.73
Self-Fulfilling Debt Crises with Long Stagnations 0.63
Disability Insurance: Error Rates and Gender Differences 0.50
Panics and Early Warnings 0.50
1 1.00
Medicaid Expansion is Associated with Improved Survival in Patients with Resected Merkel Cell Carcinoma: A National Cancer Database Analysis 1.00
2 2.00
Growth of zero-premium Medicare Advantage plans in counties with high cancer mortality 1.00
Medicaid expansion and cancer stage at diagnoses during the COVID-19 pandemic in the United States 1.00
35 26.00
Do Mutual Funds Respond to Mechanical Changes in ESG Ratings? 0.67
Systematic Momentum: A New Class of Price Patterns 0.67
Whence LASSO? A Rational Interpretation 0.67
Who Falls Prey to the Wolf of Wall Street? Investor Participation in Market Manipulation 0.53
Systematic Mispricing of Speculative Stocks and the Cross-Sectional Risk-Return Trade-off 0.67
How Does Health Insurance Affect Firm Employment and Performance? Evidence from Obamacare 1.00
How Do Behavioral Approaches to Increase Savings Compare? Evidence from Multiple Interventions in the U.S. Army 0.75
Effects of Financial Constraints on Supply Chain Financing Choices and Operational Decisions 1.00
The Role of Networks in Loan Syndicate Markets 1.00
Intraday Liquidity and Money Market Dislocations 0.67
What Happens to Corporate Investment in Bad Times? 1.00
Creditor Rights, Bank-Borrower Relationships and Bank Power 0.11
Green Bonds: Reputational Bonding via Media Coverage 1.00
Venture Capital and Private M&A Contracting 1.00
Rethinking the Value and Emission Implications of Green Bonds 0.75
Volatility (Dis)Connect in International Markets 0.50
Social Audience Size as a Reference Point: Evidence from a Field Experiment 1.00
Enterprise Risk Management and Management Earnings Forecasts 1.00
Vestigial Tails? Floor Brokers at the Close in Modern Electronic Markets 1.00
Wholesaler Execution Quality 1.00
Corporate Pension Risk Transfers 0.67
Accounting for Asymmetry in the Investment– q Relation: Redux of Financial Reporting Quality and Investment Efficiency 1.00
Access to Debt and the Provision of Trade Credit 1.00
Analysts’ EPS-Decreasing Exclusions and Target Price Forecasts 0.67
Do Option Characteristics Predict the Underlying Stock Returns in the Cross-Section? 0.75
Rainy Day Liquidity 1.00
Effects of the 2021 Expanded Child Tax Credit 1.00
Debt Issuance in the Era of Passive Investment 0.50
Firm Commitments 0.58
Nominal Prices, Retail Investor Participation, and Return Momentum 0.17
Long-Run Returns to Private Equity in Emerging Markets 0.88
Temperature Sensitivity, Mispricing, and Predictable Returns 0.50
Carbon Emissions, Mutual Fund Trading, and the Liquidity of Corporate Bonds 0.20
The Distribution of Investor Beliefs, Stock Ownership, and Stock Returns 0.11
Frequent Reporting and Short-Termism: An Experimental Investigation 1.00
1 0.21
Distributional effects of expanding climate targets beyond CO 0.21
8 3.94
EU-ETS emergency reserve price curbs coal use and shields consumers during natural gas price shocks 0.50
Regional impacts on decarbonisation under evolving financing conditions for energy technologies 0.04
Using firm-level supply chain networks to measure the speed of the energy transition 0.08
Tracking business opportunities for climate solutions using AI in regulated accounting reports 1.00
Temporal matching as an accounting principle for green electricity claims 0.25
The association between childhood exposure to local wealth inequality and intergenerational income mobility in the United States 1.00
Leveraging biogenic resources to achieve global plastic decarbonization by 2050 1.00
Mitigating emissions and costs through demand-side solutions in Chinese residential buildings 0.07
1 0.58
Predicting human decisions with behavioural theories and machine learning 0.58
2 1.72
Price sensitivity to precipitation and water storage in California 0.80
A strategic environmental water rights market for Colorado River reallocation 0.92
1 0.33
Within-country inequality and the shaping of a just global climate policy 0.33
2 0.54
Multidimensional responsive carbon neutrality capacity assessment index system for megacities from the perspectives of energy supply, consumption, and carbon sinks: A coupled AHP-SD-RF model 0.17
Paving the way to carbon neutrality: Evaluating the decarbonization of residential building electrification worldwide 0.38
2 2.00
Insurance coverage and employment after Medicaid expansion with work requirements: quasi-experimental difference-in-differences study 1.00
Patient healthcare spending after the No Surprises Act: quasi-experimental difference-in-differences study 1.00
11 8.83
Business, Liquidity, and Information Cycles 0.50
International Reserve Management Under Rollover Crises 1.00
Complete Pass-Through in Levels 1.00
Monetary Policy and Sovereign Risk in Emerging Economies (NK-Default) 0.83
Permanent Capital Losses after Banking Crises 0.50
Failing Banks 1.00
Aggregation and the Estimation of Quality Change: Application to U.S. Import Prices 0.50
The Macroeconomic Consequences of Exchange Rate Depreciations 1.00
Investor Memory and Biased Beliefs: Evidence from the Field 0.50
Present Bias Unconstrained: Consumption, Welfare, and the Present-Bias Dilemma 1.00
Micro MPCs and Macro Counterfactuals: The Case of the 2008 Rebates 1.00
17 11.44
Identification of Time-Inconsistent Models: The Case of Insecticide-Treated Nets 0.33
Latent Heterogeneity in the Marginal Propensity to Consume 0.83
Destabilizing Capital Flows amid Global Inflation 0.50
The Illiquidity of Water Markets 1.00
A Q-Theory of Banks 0.75
Bank Information Production Over the Business Cycle 0.50
Devaluations, Deposit Dollarization, and Household Heterogeneity 1.00
A Theory of Cash Flow-Based Financing with Distress Resolution 1.00
Contract Terms, Employment Shocks, and Default in Credit Cards 0.60
On the Optimal Design of a Financial Stability Fund 0.30
Fines and Financial Wellbeing 1.00
The Economics of Financial Stress 0.67
Who Bears the Welfare Costs of Monopoly? The Case of the Credit Card Industry 0.38
Rational Expectations Models with Higher-Order Beliefs 0.50
Capital Requirements with Non-Bank Finance 1.00
Regulating Carry Trades: Evidence from Foreign Currency Borrowing of Corporations in India 0.83
Making Decisions Under Model Misspecification 0.25
4 2.24
International climate and biodiversity funding: does allocation follow need in Global South countries? 0.11
Who is asking and how? Effects of survey mode and enumerator gender on measuring women’s life experience 1.00
Does cellphone banking change lives? Fintech, and poverty in Kenya 1.00
Who Benefits the Most from Micro-Credit? Micro-Level Evidence from Sub-Saharan Africa 0.13

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