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Journal of Finance
1946 - 2013
from American Finance Association Contact information at EDIRC . Series data maintained by Wiley-Blackwell Digital Licensing ().
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Volume 62, issue 6 , 2007
The Risk-Adjusted Cost of Financial Distress pp. 2557-2586
Heitor Almeida and Thomas PHILIPPON
Security Design with Investor Private Information pp. 2587-2632
Ulf Axelson
Strategic Actions and Credit Spreads: An Empirical Investigation pp. 2633-2671
Sergei A. Davydenko and Ilya A. Strebulaev
The U.S. Treasury Buyback Auctions: The Cost of Retiring Illiquid Bonds pp. 2673-2693
Bing Han , Francis A. Longstaff and Craig Merrill
Bidding into the Red: A Model of Post-Auction Bankruptcy pp. 2695-2723
Simon Board
How Smart Is Smart Money? A Two-Sided Matching Model of Venture Capital pp. 2725-2762
Morten Sørensen
U.S. Banking Deregulation, Small Businesses, and Interstate Insurance of Personal Income pp. 2763-2801
Yuliya Demyanyk , Charlotte Ostergaard and Bent E. Sorensen
How Laws and Institutions Shape Financial Contracts: The Case of Bank Loans pp. 2803-2834
Jun Qian and Philip E. Strahan
Adaptive Traders and the Design of Financial Markets pp. 2835-2863
Sebastien Pouget
Long-Term Return Reversals: Overreaction or Taxes? pp. 2865-2896
Thomas J. George and Chuan-Yang Hwang
Vote Trading and Information Aggregation pp. 2897-2929
Susan K Christoffersen , Christopher C. Geczy , David K. Musto and Adam V. Reed
Measuring Distress Risk: The Effect of R&D Intensity pp. 2931-2967
Laurel A. Franzen , Kimberly J. Rodgers and Timothy T. Simin
Is the Corporate Loan Market Globally Integrated? A Pricing Puzzle pp. 2969-3007
Mark Carey and Greg Nini
Habit Formation and Macroeconomic Models of the Term Structure of Interest Rates pp. 3009-3063
Andrea Buraschi and Alexei Jiltsov
Volume 62, issue 5 , 2007
Supply and Demand Shifts in the Shorting Market pp. 2061-2096
Lauren Cohen , Karl B. Diether and Christopher James Malloy
Short-Sales Constraints and Price Discovery: Evidence from the Hong Kong Market pp. 2097-2121
Eric C. Chang , Joseph W. Cheng and Yinghui Yu
Portfolio Choice over the Life-Cycle when the Stock and Labor Markets Are Cointegrated pp. 2123-2167
Luca Benzoni , Pierre Collin-Dufresne and Robert S. Goldstein
Multimarket Trading and Liquidity: Theory and Evidence pp. 2169-2200
Shmuel Baruch , G. Andrew Karolyi and Michael L. Lemmon
Liquidity and the Law of One Price: The Case of the Futures-Cash Basis pp. 2201-2234
Richard Roll , Eduardo Schwartz and Avanidhar Subrahmanyam
Episodic Liquidity Crises: Cooperative and Predatory Trading pp. 2235-2274
Bruce Ian Carlin , Miguel Sousa Lobo and S Viswanathan
Liquidity Coinsurance, Moral Hazard, and Financial Contagion pp. 2275-2302
Sandro Brusco and Fabio Castiglionesi
Liquidity or Credit Risk? The Determinants of Very Short-Term Corporate Yield Spreads pp. 2303-2328
Dan Covitz and Chris Downing
Liquidity Premia and Transaction Costs pp. 2329-2366
Bong-Gyu Jang , Hyeng Keun Koo , Hong Liu and Mark Loewenstein
Analyst Disagreement, Mispricing, and Liquidity pp. 2367-2403
Ronnie Sadka and Anna Scherbina
Taking a View: Corporate Speculation, Governance, and Compensation pp. 2405-2443
Christopher C. Géczy , Bernadette A. Minton and Catherine M. Schrand
Financial Constraints, Competition, and Hedging in Industry Equilibrium pp. 2445-2473
Tim Adam , Sudipto Dasgupta and Sheridan Titman
Exchange Rates and Cash Flows in Differentiated Product Industries: A Simulation Approach pp. 2475-2502
Richard Friberg and Mattias Ganslandt
Momentum and Credit Rating pp. 2503-2520
Doron Avramov , Tarun Chordia , Gergana Jostova and Alexander Philipov
Price Convexity and Skewness pp. 2521-2552
Jianguo Xu
Volume 62, issue 4 , 2007
Presidential Address: Issuers, Underwriter Syndicates, and Aftermarket Transparency pp. 1529-1550
Richard C. Green
Pay Me Later: Inside Debt and Its Role in Managerial Compensation pp. 1551-1588
Rangarajan K. Sundaram and David L. Yermack
Working Orders in Limit Order Markets and Floor Exchanges pp. 1589-1621
Kerry Back and Shmuel Baruch
Lazy Investors, Discretionary Consumption, and the Cross-Section of Stock Returns pp. 1623-1661
Ravi Jagannathan and Yong Wang
Equilibrium Exhaustible Resource Price Dynamics pp. 1663-1703
Murray Carlson , Zeigham Khokher and Sheridan Titman
How Costly Is External Financing? Evidence from a Structural Estimation pp. 1705-1745
Christopher A. Hennessy and Toni Whited
Do Tests of Capital Structure Theory Mean What They Say? pp. 1747-1787
Ilya A. Strebulaev
Corporate Governance and Firm Value: The Impact of the 2002 Governance Rules pp. 1789-1825
Vidhi Chhaochharia and Yaniv Grinstein
The Takeover Deterrent Effect of Open Market Share Repurchases pp. 1827-1850
Matthew T. Billett and Hui Xue
Corporate Governance and Acquirer Returns pp. 1851-1889
Ronald Masulis , Cong Wang and Fei Xie
Incentive Effects of Stock and Option Holdings of Target and Acquirer CEOs pp. 1891-1933
Jie Cai and Anand M. Vijh
Executive Financial Incentives and Payout Policy: Firm Responses to the 2003 Dividend Tax Cut pp. 1935-1965
Jeffrey Robert Brown , Nellie Liang and Scott Weisbenner
Sports Sentiment and Stock Returns pp. 1967-1998
Alex Edmans , Diego García and Øyvind Norli
Rational Inattention and Portfolio Selection pp. 1999-2040
Lixin Huang and Hong Liu
Report of the Editor of "The Journal of Finance" for the Year 2006 pp. 2041-2052
Campbell R. Harvey
Volume 62, issue 3 , 2007
Why Do Firms Become Widely Held? An Analysis of the Dynamics of Corporate Ownership pp. 995-1028
Jean Helwege , Christo Pirinsky and René M. Stulz
Efficiency and the Bear: Short Sales and Markets Around the World pp. 1029-1079
Arturo Bris , William N. Goetzmann and Ning Zhu
Global Growth Opportunities and Market Integration pp. 1081-1137
Geert Bekaert , Campbell R. Harvey , Christian Lundblad and Stephan Siegel
Giving Content to Investor Sentiment: The Role of Media in the Stock Market pp. 1139-1168
Paul C. Tetlock
The Underwriter Persistence Phenomenon pp. 1169-1206
Gerard Hoberg
Simple Forecasts and Paradigm Shifts pp. 1207-1242
Harrison Hong , Jeremy C. Stein and Jialin Yu
Reputation Effects in Trading on the New York Stock Exchange pp. 1243-1271
Robert Battalio , Andrew Ellul and Robert Jennings
Participation Costs and the Sensitivity of Fund Flows to Past Performance pp. 1273-1311
Jennifer Huang , Kelsey D. Wei and Hong Yan
Financial Speculators' Underperformance: Learning, Self-Selection, and Endogenous Liquidity pp. 1313-1340
Reza Mahani and Dan Bernhardt
Optimal Debt and Equity Values in the Presence of Chapter 7 and Chapter 11 pp. 1341-1377
Mark Broadie , Mikhail Chernov and Suresh Sundaresan
The Value of Corporate Risk Management pp. 1379-1419
Peter Mackay and Sara B. Moeller
Corporate Bond Market Transaction Costs and Transparency pp. 1421-1451
Amy Kathryn Edwards , Lawrence E. Harris and Michael S. Piwowar
Model Specification and Risk Premia: Evidence from Futures Options pp. 1453-1490
Mark Broadie , Mikhail Chernov and Michael Johannes
Stochastic Volatilities and Correlations of Bond Yields pp. 1491-1524
Bing Han
Volume 62, issue 2 , 2007
Fund Manager Use of Public Information: New Evidence on Managerial Skills pp. 485-528
Marcin Kacperczyk and Amit Seru
Managerial Ability, Compensation, and the Closed-End Fund Discount pp. 529-556
Jonathan B. Berk and Richard Stanton
Limits of Arbitrage: Theory and Evidence from the Mortgage-Backed Securities Market pp. 557-595
Xavier Gabaix , Arvind Krishnamurthy and Olivier Vigneron
Banking Deregulation and Industry Structure: Evidence from the French Banking Reforms of 1985 pp. 597-628
Marianne Bertrand , Antoinette Schoar and David Thesmar
Information Asymmetry and Financing Arrangements: Evidence from Syndicated Loans pp. 629-668
Amir Sufi
Winners or Losers? The Effects of Banking Consolidation on Corporate Borrowers pp. 669-695
Emilia Bonaccorsi Di Patti and Giorgio Gobbi
Growth Opportunities and the Choice of Leverage, Debt Maturity, and Covenants pp. 697-730
Matthew T. Billett , Tao-Hsien Dolly King and David C. Mauer
Smart Institutions, Foolish Choices: The Limited Partner Performance Puzzle pp. 731-764
Josh Lerner , Antoinette Schoar and Wan Wongsunwai
Financial Synergies and the Optimal Scope of the Firm: Implications for Mergers, Spinoffs, and Structured Finance pp. 765-807
Hayne Ellis Leland
A Theory of Takeovers and Disinvestment pp. 809-845
Bart M. Lambrecht and Stewart C. Myers
How Are Firms Sold? pp. 847-875
Audra L. Boone and J. Harold Mulherin
On the Importance of Measuring Payout Yield: Implications for Empirical Asset Pricing pp. 877-915
Jacob Boudoukh , Roni Michaely , Matthew Richardson and Michael R. Roberts
Decoupling CEO Wealth and Firm Performance: The Case of Acquiring CEOs pp. 917-949
Jarrad Harford and Kai Li
Corporate Governance, Idiosyncratic Risk, and Information Flow pp. 951-989
Miguel A. Ferreira and Paul A. Laux
Volume 62, issue 1 , 2007
Why Do Firms Issue Equity? pp. 1-54
Amy Dittmar and Anjan V. Thakor
Why Is Long-Horizon Equity Less Risky? A Duration-Based Explanation of the Value Premium pp. 55-92
Martin Lettau and Jessica A. Wachter
Common Failings: How Corporate Defaults Are Correlated pp. 93-117
Sanjiv Ranjan Das , Darrell Duffie , Nikunj Kapadia and Leandro Saita
Corporate Yield Spreads and Bond Liquidity pp. 119-149
Long Chen , David A. Lesmond and Jason Wei
Information Cascades: Evidence from a Field Experiment with Financial Market Professionals pp. 151-180
Jonathan E. Alevy , Michael S. Haigh and John List
Learning by Observing: Information Spillovers in the Execution and Valuation of Commercial Bank M&As pp. 181-216
Gayle Delong and Robert Deyoung
A Theory of Friendly Boards pp. 217-250
Renée B. Adams and Daniel Ferreira
Whom You Know Matters: Venture Capital Networks and Investment Performance pp. 251-301
Yael V. Hochberg , Alexander Ljungqvist and Yang Lu
Lower Salaries and No Options? On the Optimal Structure of Executive Pay pp. 303-343
Ingolf Dittmann and Ernst Maug
Interest Rate Caps "Smile" Too! But Can the LIBOR Market Models Capture the Smile? pp. 345-382
Robert A Jarrow , Haitao Li and Feng Zhao
The Impact of Collateralization on Swap Rates pp. 383-410
Michael Johannes and Suresh Sundaresan
The Value of Embedded Real Options: Evidence from Consumer Automobile Lease Contracts pp. 411-445
Carmelo Giaccotto , Gerson M. Goldberg and Shantaram P. Hegde
The Initial Public Offerings of Listed Firms pp. 447-479
François Derrien and Ambrus Kecskés