Banking, Finance and Investment articles for National Bureau of Economic Research (NBER), United States of America (USA)

Time frame: 1 June 2025 - 30 May 2026
Count: 39

Article ‘Count’ for Banking, Finance and Investment.

Journal Count Share
2 0.25
Identifying Preference for Early Resolution from Asset Prices 0.13
Quality Adjustment at Scale: Hedonic versus Exact Demand-Based Price Indices 0.13
1 0.33
Firm Accommodation After Workplace Disability: Labor Market Impacts and Implications for Subsidy Design 0.33
14 3.00
Hidden alpha 0.13
Duration-based stock valuation: Reassessing stock market performance and volatility 0.33
Manufacturing risk-free government debt 0.46
Implicit extrapolation and the beliefs channel of investment demand 0.25
Global sales, international currencies, and the currency denomination of debt 0.17
Dealer balance sheets and bidding behavior in the Bank of England’s QE reverse auctions 0.11
Green tilts 0.44
Inflation and Trading 0.11
Information-based pricing in specialized lending 0.25
Bank stress testing, human capital investment and risk management 0.17
Pension fund flows, exchange rates, and covered interest rate parity 0.13
Customer data access and fintech entry: Early evidence from open banking 0.04
Rules versus discretion in capital regulation 0.25
Strategic digitization in currency and payment competition 0.17
3 0.90
The Value of Ratings: Evidence from Their Introduction in Securities Markets 0.50
Exorbitant Privilege Gained and Lost: Fiscal Implications 0.23
Disability Insurance: Error Rates and Gender Differences 0.17
6 0.68
Who Falls Prey to the Wolf of Wall Street? Investor Participation in Market Manipulation 0.07
How Do Behavioral Approaches to Increase Savings Compare? Evidence from Multiple Interventions in the U.S. Army 0.13
Creditor Rights, Bank-Borrower Relationships and Bank Power 0.11
Volatility (Dis)Connect in International Markets 0.15
Long-Run Returns to Private Equity in Emerging Markets 0.13
The Distribution of Investor Beliefs, Stock Ownership, and Stock Returns 0.11
1 0.11
EU-ETS emergency reserve price curbs coal use and shields consumers during natural gas price shocks 0.11
3 0.50
Business, Liquidity, and Information Cycles 0.25
International Reserve Management Under Rollover Crises 0.17
Monetary Policy and Sovereign Risk in Emerging Economies (NK-Default) 0.08
9 2.01
A Q-Theory of Banks 0.21
A Theory of Cash Flow-Based Financing with Distress Resolution 0.17
Contract Terms, Employment Shocks, and Default in Credit Cards 0.10
On the Optimal Design of a Financial Stability Fund 0.05
Who Bears the Welfare Costs of Monopoly? The Case of the Credit Card Industry 0.13
Fines and Financial Wellbeing 0.50
The Economics of Financial Stress 0.44
Regulating Carry Trades: Evidence from Foreign Currency Borrowing of Corporations in India 0.17
Making Decisions Under Model Misspecification 0.25

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