Can BRICS and ASEAN-5 emerging economies benefit from bank diversification?
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-02-2018-0026
Banks, climate risk and financial stability
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0043
Capital regulation and ownership structure on bank risk
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-02-2019-0015
Blockchain and insurance: a review for operations and regulation
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-09-2018-0127
Recent trends in money laundering and terrorism financing
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0042
Financial freedom, market power and bank margins in sub-Saharan Africa
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-05-2019-0066
Quantifying the potential impact of a green supporting factor or brown penalty on European banks and lending
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0038
MiFID II key concerns
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-04-2018-0062
The impact of public scrutiny on executive compensation
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-07-2017-0060
When benchmark rates change: the case of Islamic banks
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-11-2017-0104
Global financial regulation in the “New International Economic Order”: The unfulfilled promise of equitable economic governance
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-10-2017-0086
Does commission remuneration affect the investor’s outcome? Experience from Central Europe
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-10-2018-0141
A practical process mining approach for compliance management
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-12-2018-0163
Corporate governance in Ghana: An analysis of board accountability in Ghanaian listed banks
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-12-2017-0111
Market power and stability of financial institutions: evidence from the Italian banking sector
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-05-2019-0055
Learn to build an error management culture
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-12-2018-0156
Asymmetric return response to expected risk: policy implications
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-01-2018-0004
Insurance regulations, risk and performance in Ghana
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-09-2018-0126
Supervision of lost pension accounts and unclaimed benefits
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0045
Carrots and sticks in bank governance: time for a bigger stick?
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-05-2018-0084
An agency theory approach towards bribery
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0041
A new approach to research and theory development for financial firms: building a “house with windows”
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-10-2017-0088
Promoting responsible sovereign lending and borrowing: the role of sovereign wealth funds
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-11-2018-0151
Examining the role of institutional framework in promoting financial literacy by microfinance deposit-taking institutions in developing economies: Evidence from rural Uganda
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-12-2018-0158
The German consumer bankruptcy law and moral hazard – the case of indebted immigrants
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-04-2018-0064
Regulating European financial markets between crisis and Brexit
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-04-2018-0057
Time-varying response of treasury yields to monetary policy shocks: Evidence from the Tunisian bond market
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-11-2018-0146
Modeling effects of banking regulations and supervisory practices on capital adequacy state transition in developing countries
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-08-2018-0113
The effect of the JOBS act on analyst coverage of emerging growth companies
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-10-2017-0082
Shareholder empowerment, steps forward and steps back: Comparative analysis of the US and UK regulations
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0054
Does the speed of adjustment in regulation and supervision affect financial stability in developing countries
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-08-2018-0111
An update on self-regulation in the Canadian securities industry (2009-2016): Funnel in, funnel out and funnel away
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-05-2018-0075
Ignoring personal moral compass: factors shaping bankers’ decisions
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-12-2017-0110
Comparison of advanced economies’ performance in bubbles mitigation
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-06-2018-0088
Reviewing Pillar 2 regulations: credit concentration risk
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-02-2018-0033
Price formation of FICC research following MiFID II unbundling rules
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-02-2019-0018
CCP resolution, loss allocation and shareholders’ rights
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-02-2018-0020
Where are Islamic finance indices pointing towards? Lessons from experimental ‘pockets’ of Islamic financial regulation on international stock markets
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-03-2019-0040
FDI in Africa: potential implications of Brexit on South Africa’s financial sector
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-04-2018-0061
Impact of correspondent bank de-risking on money service businesses in Jamaica
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-12-2018-0159