A collection of research papers on macroeconomic crises

The editorial team of the Journal of Governance and Regulation has prepared the list of research papers published in the journal devoted to the financial crises in different markets.

We hope that the below-mentioned collection of papers will be useful for those scholars pursuing research in the field of finance, crises and macroeconomic stability:

  1. Weber, R. H. (2012). Overcoming the hard law/soft law dichotomy in times of (financial) crises. Journal of Governance and Regulation, 1(1), 8-14. https://doi.org/10.22495/jgr_v1_i1_p1
  2. Grove, H., & Victoravich, L. (2012). Corporate governance implications from the 2008 financial crisis. Journal of Governance and Regulation, 1(1), 68-80. https://doi.org/10.22495/jgr_v1_i1_p7
  3. Argimon, I., Castells, G. A., & Tous, F. R. (2012). Does the intensity of prudential regulation affect banks? Evidence from the 2007-2009 crises. Journal of Governance and Regulation, 1(3), 14-26. https://doi.org/10.22495/jgr_v1_i3_p2
  4. Paul, S., Stein, S. & Uhde, A. (2012). Measuring the quality of banking supervision revisited assessments by German banks before and during the financial crisis. Journal of Governance and Regulation, 1(3-1), 93-106. https://doi.org/10.22495/jgr_v1_i3_c1_p3
  5. Pezzuto, I. (2012). Miraculous financial engineering or toxic finance? the genesis of the U.S. subprime mortgage loans crisis and its consequences on the global financial markets and real economy. Journal of Governance and Regulation, 1(3-1), 114-125. https://doi.org/10.22495/jgr_v1_i3_c1_p5
  6. Taşkin, F. D. (2012). Corporate governance and performance of Turkish banks in the pre- and post-crisis periods. Journal of Governance and Regulation, 1(4), 47-53. https://doi.org/10.22495/jgr_v1_i4_p4
  7. Goulas, D. S., Georgia N. Kontogeorga, G. N. (2013). How the economic crisis in Greece affected the steps in applying e-government at the first degree self government of Greece. Journal of Governance and Regulation, 2(4), 7-12. https://doi.org/10.22495/jgr_v2_i4_p1
  8. Veebel, V., Hurt, U. & Markus, R. (2013). Supranational institutions as central stakeholders during eurozone debt crisis in 2008-2012. Journal of Governance and Regulation, 2(4), 74-84. https://doi.org/10.22495/jgr_v2_i4_p7
  9. Lanzavecchia, A., Pavarani, E., & Tagliavini, G. (2015). How EURO shrinks democracy: Insights from the Greek crisis. Journal of Governance and Regulation, 4(4-1), 135-146. https://doi.org/10.22495/jgr_v4_i4_c1_p1
  10. Savage, L. (2015). From trial to triumph: How Canada’s past financial crises helped shape a superior regulatory system. Journal of Governance and Regulation, 4(4-1), 213-248. https://doi.org/10.22495/jgr_v4_i4_c1_p8
  11. Iwasaki, I. (2016). The evolution of corporate governance in the global financial crisis: the case of Russian industrial firms. Journal of Governance and Regulation, 5(4), 16-39. https://doi.org/10.22495/jgr_v5_i4_p2
  12. Lemonakis, C., Garefalakis, A., Georgios, X., & Haritaki, H. (2018). A study of the banks’ efficiency in crisis: Empirical evidence from Eastern Europe, Balkans and Turkey. Journal of Governance & Regulation, 7(3), 8-12. https://doi.org/10.22495/jgr_v7_i3_p1
  13. Lopes, J. D. (2018). How the financial crisis has changed the research agenda on banking regulation. Journal of Governance & Regulation, 7(3), 37-46. https://doi.org/10.22495/jgr_v7_i3_p5
  14. Ballas, P., Garefalakis, A., Lemonakis, C., & Balla, V. (2019). Quality of financial reporting under IFRS and corporate governance influence: Evidence from the Greek banking sector during crisis. Journal of Governance & Regulation, 8(4), pp. 8-20.
    https://doi.org/10.22495/jgrv8i4art1