Journal of Financial Economic Policy
Issue(s) available: 68 – From Volume: 1 Issue: 1, to Volume: 16 Issue: 3
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The asymmetric impact of monetary policy and firm leverage on firm investment: some insights from Pakistan
Farooq Ahmad, Abdul Rashid, Anwar ShahThis paper aims to investigate whether negative and positive monetary policy (MP) shocks have asymmetric impacts on corporate firms’ investment decisions in Pakistan using…
The effect of policy uncertainty on the volatility of bitcoin
Manel Mahjoubi, Jamel Eddine HenchiriThis paper aims to investigate the effect of the economic policy uncertainty (EPU), geopolitical risk (GPR) and climate policy uncertainty (CPU) of USA on Bitcoin volatility from…
The monetary policy of the State Bank of Vietnam, households and income distribution: the evidence from DSGE model
Trung Duc Nguyen, Lanh Kim Trieu, Anh Hoang LeThis paper aims to propose a dynamic stochastic general equilibrium (DSGE) model for the State Bank of Vietnam (SBV) to assess the response from the household sector to monetary…
Financial globalization, governance and economic growth in Sub-Saharan Africa
Audrey Afua Foriwaa Adjei, John Gartchie Gatsi, Michael Owusu Appiah, Mac Junior Abeka, Peterson Owusu JuniorThe study aims to assess the interplay between financial globalization, effective governance and economic growth in sub-Saharan African (SSA) economies.
Assessing Bitcoin, gold and gold-backed cryptocurrencies as safe havens for energy and agricultural commodities: insights from COVID-19, Russia–Ukraine conflict and SVB collapse
Yasmine Snene Manzli, Ahmed JeribiThis paper aims to investigate the safe haven feature of Bitcoin, gold and two gold-backed cryptocurrencies (DGX and PAXG) against energy and agricultural commodities (crude oil…
Banking competition in Indonesia: does Fintech lending matters?
Salsa Dilla, Aidil Rizal Shahrin, Fauzi ZainirThis paper aims to examine how the rise of financial technology (Fintech) lending affects bank competition. Moreover, this study also identifies the structure of Indonesian…
Heterogeneity effect of prudential regulation on the stability of banks: evidence from WAEMU banks using quantile regression with fixed effects
Emile Sègbégnon SonehekponThis paper aims to analyze the heterogeneous effect of prudential regulation on the stability of banks in the West African Economic and Monetary Union (WAEMU).
External debt vulnerability in developing countries: the economic and policy perspectives
Samson Edo, Osaro OigiangbeThe purpose of this study is to empirically investigate how external debt vulnerability has affected the economy of emerging countries over time, with particular reference to…
Digitalization of corporate finance and firm performance: global evidence and analysis
Mohammed Sawkat Hossain, Maleka SultanaAs of now, the digitization of corporate finance presents a paradigm shift in business strategy, innovation, financing and managerial capability around the globe. However, the…
Nexus between good governance and financial sustainability: evidence from microfinance sector of India
Maeenuddin , Shaari Abdul Hamid, Annuar Md Nassir, Mochammad Fahlevi, Mohammed Aljuaid, Kittisak JermsittiparsertMicrofinance emerged as an essential catalyst for socio-economic development and financial inclusion to reduce poverty. Microfinance institutions cannot meet their primary…
Attitudes of college seniors toward graduate student loan debt: the role of financial education
Manuel Salas-VelascoThis paper aims to examine prospective graduate students' attitudes toward educational loan borrowing in an experimental setting.
ISSN:
1757-6385Online date, start – end:
2009Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Prof Franklin Mixon