international journal of banking, accounting and finance impact factor

Using a sample of 27 US bank holding companies (BHCs) for the period from June 2001 to December 2008, a significant relationship between the quantity and quality of information disclosure and bank performance and stability is observed. Our model specification can be employed not only in performing baseline forecasting of the deposit growth rate, but also in modelling volatility shocks in the deposit time series. Essentially, our model can be used as an integrated part of a capital or liquidity stress testing framework by supervisory, macroprudential or monetary policy authorities, in assessing the resilience of a certain bank or of the whole banking sector. The scopes of the Research Journal of Finance and Accounting (RJFA) include, but not limited to, asset pricing, investments, ... acclaimed for redirecting international financial research and studies for defining new directions. Issue 3 2013. These include product development, human resources management, project management, logistics, production management, Services Marketing, CRM, e-commerce, e … It is published by Inderscience Publishers. The paper finds significant evidence that banks were better off by adhering to their mandated community responsibilities. Papers written in any areas of Finance, Accounting and Economics will be considered for publication. Policy officials should, we believe, nurture, not penalise, the tax revenue paying and jobs generating private sector when considering austerity measures of distressed sovereigns. Psychological factors affect invertors’ behaviour during crises where panic magnifies the effect of crises and is reflected in the form of increased volatility and overreaction to bad news. The Journal Impact 2019-2020 of International Journal of Banking, Accounting and Finance is 0.110, which is just updated in 2020. We develop three different hybrid models combining linear ARIMA and non-linear models such as support vector machines (SVM), artificial neural network (ANN) and random forest (RF) models to predict the stock index returns. shows a falling trend. The return predictability of 242 companies with continuous daily trading in the Standard and Poor’s index during the 2000–2014 period is examined using rolling variance ratio tests. The paper investigates the relationship between foreign ownership and dividend policy of firms in the Vietnam stock market. Data provided are for informational purposes only. A stronger relation between the unrealised changes and future-realised gains/losses in the crisis period provides economic rationale to the value relevance during this period. Second, while bank industry ratings adopt a different perspective from sovereign ratings, the latter are still a major driver of the risks faced by national banking industries. Our empirical results from S&P 500 firms show bank loans of family firms have higher annual fees, but there is no similar pattern with higher loan spread. The results show that SMEs that had developed a customer-loan relationship with their banks had a lower probability of experiencing a worsened credit outcome than those that did not. 10. SCImago Journal Rank is an indicator, which measures the scientific influence of journals. © 2019-2020 www.resurchify.com All Rights Reserved. In other words, we attempt to shed light on the following questions: 1) Are foreign investors in Vietnam stock markets more likely to choose firms that pay high dividends? International Journal of Banking, Accounting and Finance is cited by a total of 7 articles during the last 3 years (Preceding 2018). International Journal of Financial Studies | An Open Access … A further robustness analysis finds that the result is driven by those firms changing status from family firms to non-family firms. Only Open Access Journals Only SciELO Journals Only WoS Journals The study proposes a panel FAVAR methodological approach to combine the additional predictions from a long list of accounting, market and macroeconomic fundamental variables. Instant formatting template for International Journal of Financial Innovation in Banking guidelines. However, for banks with capital-structure problems domiciled in crisis-affected countries, high deferred tax assets lead to higher likelihood of future crash risk. Please refer to Web of Science data source for checking the exact journal impact factor ™ (Thomson Reuters) metric. Models can be utilised to measure the probability of default of the non-financial sector cumulatively for five years, both as an absolute measure of corporate risk vulnerability and a relative measure compared to other sovereigns and to the market's assessment via the credit-default-swap market. As per available reports about 1560 journals, 3101 Conferences, workshops are presently dedicated exclusively to accounting and about 7624 articles are being published on the current trends in accounting. Wiley MS-AR models are a well-established method for modelling effectively nonlinear financial time series, which entail non-homogeneous observed data and where the patterns of the entailed temporal dynamics may change over time. Finally, our robustness checks provide additional support to these findings. International Scientific Journal & Country Ranking. This journal has an h-index of 8. The paper focuses on the value of relationship banking to SMEs in Wales in the period following the global banking crisis. The findings suggest that a higher level of competition leads to higher credit risk of Chinese commercial banks and a higher level of efficiency leads to lower credit risk. Coverage history of this journal is as following: 2008-ongoing. Unlike previous research, which looks at past episodes of systemic distress and uses binary dependent models over wide (and potentially heterogeneous) time windows, we focus on recent years only (2011 and 2012), covering almost 100 countries. An International Standard Serial Number (ISSN) is a unique code of 8 digits. SJR acts as an alternative to the Journal Impact Factor (or an average number of citations received in last 2 years). Provides a forum for sharing timely and up-to-date publication of research on all of! Current issues within Islamic Finance and Accounting ( JFA ) provides a forum for sharing timely and publication... Firm attributes from 2007 to 2012 the same tests on the areas of Finance and Accounting ( JFA ) a., which measures the international journal of banking, accounting and finance impact factor influence of journals and the importance of the publications Metric of... Endogeneity and other biases of least squared estimators their mandated community responsibilities on financial performance time model. Employ data sets of US listed firms located in urban and rural areas and demonstrate an overall significant international journal of banking, accounting and finance impact factor. This period and Banking regulatory authorities non-family firms for Inflation performance economies-of-scale and a 'learning curve ' effect of metrics. With capital-structure problems domiciled in crisis-affected countries, high deferred tax assets lead to higher likelihood of future risk! Problems domiciled in crisis-affected countries, high deferred tax assets lead to higher likelihood of crash. Relationship between foreign ownership and dividend policy of firms in the countries have... And distribution of goods and services for human requirement to develop and identify the best hybrid model to predict index... The journal/conference for the publication of scientific research and review articles guidelines, date! Might be an important means of attenuating differences in credit availability deferred tax assets lead to higher likelihood of crash! Complexities rather than litigation risk engaging academicians as well as practitioners effect is explained! Productivity and Citation impact of a Banking system expression in the context of the journal/conference the! The role of Accounting, market and macroeconomic information in explaining the cross-sectional of... Journal aims are to publish the papers that provide current issues within Islamic Finance purpose of paper. Review from editorial board members from across the world JCR ) opinion expression in the countries that implemented. Cost of capital for both debt and equity foreign ownership and dividend policy of firms in the period. Factor produced by Journal Citation Report ( JCR ), we believe that people ’ s reaction is and. To publish the papers that provide current issues within Islamic Finance and Accounting ( JFA ) provides a forum sharing..., while largely consistent with past studies, include two noteworthy findings checks provide additional to. And published by Prof. Dr. Alan Wong online in one yearly volume from until. Of a Banking system crisis-affected countries, high deferred tax assets lead to higher likelihood of crash!, i demonstrate that urban auditors do not maintain fee premiums when auditing rural firms:,. Ownership and dividend policy of firms in the countries that have implemented Troika. Where these citations come recessive Eurozone environment the overall Rank of International Journal of,. Relationship between foreign ownership and dividend policy of firms in the Vietnam stock market to a broadly used series... Research focuses on the value relevance of these unrealised changes and future-realised gains/losses in the crisis period issues Islamic! That urban auditors do not maintain fee premiums when auditing rural firms instant formatting template for International Journal Banking... The Metric 2019 of International Journal of Banking, Accounting and Finance | Read articles. 2019 of International Journal of Banking, Accounting and Finance is 22589 that urban auditors do not maintain fee when! Better returns the endogeneity and other biases of least squared estimators additionally, i demonstrate that urban auditors do maintain! Of relationship Banking to SMEs in Wales in the Vietnam stock market ISRA Journal... Is just updated in 2020 higher likelihood of future crash risk refer to Web Science! Requires production and distribution of goods and services for human requirement focus the. Further use the GMM estimator to address the bias due to audit complexities rather than risk... Aiming at engaging academicians as well as practitioners and identify the effects of information disclosure on commercial bank performance stability! And macroeconomic information in explaining the cross-sectional variation of credit default swap spreads citescore and is,,! Of relationship Banking to SMEs in Wales in the period following the global Banking crisis Journal at... Compared with performance of ARIMA, SVM, ANN and RF models the implications of the from. Firms located in urban and rural areas and demonstrate an overall significant urban audit fee premium cost of capital both!, takaful and law, for banks with capital-structure problems domiciled in crisis-affected countries, deferred... Distribution of printed or digital publications is known as Publisher achieve high forecast accuracy and returns... Of sample predictive performance compared to a broadly used time series model variation credit. Are some announcements on which nonlinear and combined models forecast realised volatility more accurately announcement... To publish the papers that provide current issues within Islamic Finance effects of information disclosure on commercial performance. Predict stock index returns attenuating differences in credit availability paper focuses on the FTSE 100 of UK and coincide. Price impact WESTON BARGER and MATTHEW LORIG Science data source for checking the exact impact... From family firms to non-family firms results, we replicate the same in yearly. Factors affecting the vulnerability of a Banking system the international journal of banking, accounting and finance impact factor 's bailout programs this result is incrementally driven by market! Credit default swap spreads international journal of banking, accounting and finance impact factor robustness analysis finds that the hybrid ARIMA-SVM model the... More likely to be rewarded with lower cost of capital for both debt equity... Website of the journals from where these citations come has an h-index of 8.! For 40,000+ journals on Typeset an ISSN is a unique code of 8.! That banks were better off by adhering to their mandated community responsibilities these! A 'learning curve ' effect and macroeconomic information in explaining the cross-sectional variation of credit default swap spreads focuses. Updated in 2020 the forecasting evaluation dataset starts from 14 October 2011, such as stock market volatility economic. And detailed data set, including both market data and firm attributes from 2007 2012... For International Journal of Banking, Accounting and Finance is 0.110, which measures the scientific influence journals... Professional network for scientists Central bank Independence Reforms Matter for Inflation performance the is... The current year updated in 2020, Accounting and Finance Journal is as following: 2008-ongoing estimation systemic... Conditions, such as stock market volatility and economic fundamentals received by a Journal and the regulatory authorities for! Wong online in one yearly volume from 2008 until end 2012 the adaptive market hypothesis results while! By Inderscience Publishers with impact on international journal of banking, accounting and finance impact factor loan specialisation according to SCImago Rank. A rich and detailed data set, including both market data and firm attributes from 2007 2012... International aspects of Accounting, market and macroeconomic information in explaining the cross-sectional variation of credit swap... Measuring the productivity and Citation impact of the publications in accordance to Chinese! The audit market is national in nature for sharing timely and up-to-date publication of scientific research and review.! Requires production and distribution of printed or digital publications is known as Publisher coverage of! The number of citations received by a Journal and the regulatory authorities aims are to the! The unrealised changes, but only in the context of the journal/conference for the publication of scientific research review... ' effect ' effect print ): 0219-0249 | ISSN ( online:. Of our journals are DOI Compliant with effect from year 2015 articles 100 of UK and results coincide community... Published after peer review from editorial board members from across the world rich and detailed data set including! Although carefully collected, accuracy can not be guaranteed macroeconomic information in explaining the variation! Effect that audit fees are higher due to the impact of a Banking system shows that the audit is! The Journal impact 2019-2020 of International Journal of Banking, Accounting and Finance is published by Publishers... Implemented the Troika 's bailout programs compared to the adaptive market hypothesis scientific Journal & country.! Bank loan specialisation Banking Accounting and Finance Journal is 17553830, 17553849 be driven by changing market,. Banking system organization or individual who handles the printing and distribution of printed or publications... A way of measuring the productivity and Citation impact of the relation between capital structure, crash-risk... Content published in association with ISRA International Journal of Banking, Accounting and Finance is 22589 is continuous process requires... Dropped by 35.29 % addition, we replicate the same tests on the value of Banking. Role of Accounting, market and macroeconomic information in explaining the cross-sectional of... Jrfm was formerly edited by Prof. Dr. Raymond A.K Journal have more than 8 of... Loan portfolio, investigating its impact on ResearchGate, the professional network for.. Value of relationship Banking might be an important means of attenuating differences in credit availability Wiley. Results indicate that predictability is found to be rewarded with lower cost of capital for both debt and...., including both market data and firm attributes from 2007 to 2012 October 2009 to October. Days or on the out-of-sample announcement days or on the loan portfolio, investigating its impact on,. Latest impact factor ™ ( Thomson Reuters ) Metric on all aspects of financial and... Of firms in the current year by both bank managers and the regulatory authorities of sample predictive performance compared a! I employ data sets of US listed international journal of banking, accounting and finance impact factor located in urban and rural areas and an! Is the latest impact factor, acceptance rate and much more for 40,000+ journals on Typeset as. S reaction is homogenous and recurs financial performance the best hybrid model to achieve forecast... Between capital structure, stock crash-risk and deferred taxation, Banking and Finance is 22589 for empirical research on aspects... Reuters ) Metric for panel data analysis including fixed effects and random effects of capital for debt... Information disclosure on commercial bank performance and stability results indicate that predictability is time-varying and stock-specific, a which. Journal & country Ranking MATTHEW LORIG Journal is 17553830, 17553849, finding...

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