Journal of Financial Stability
Elsevier B.V. · Netherlands · Est. 2004
Aims & Scope✦ Inferred from recent articles
The Journal of Financial Stability publishes research on financial stability, including the impact of home equity on household mobility, the role of tax policies in mortgage demand and equity erosion, and the evolution of climate-risk discourse in banking. It also covers how climate risk affects banks' regulatory capital adjustments and the effectiveness of prudential supervision. The journal explores advanced hedging strategies using deep reinforcement learning for options, particularly 0DTE options, and examines the predictive power of dynamic time-series patterns in mutual fund performance. Additionally, it investigates the effects of ETF adoption on retail investor performance and portfolio resilience.
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