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European Financial Management

1995 - 2021

Current editor(s): John Doukas

From European Financial Management Association
Contact information at EDIRC.

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Volume 13, issue 5, 2007

Optimal Microstructures pp. 825-832 Downloads
Maureen O'Hara
On the Magnet Effect of Price Limits pp. 833-852 Downloads
David Abad and Roberto Pascual
The Operating Performance of Newly Privatised Firms in Central European Transition Economies pp. 853-879 Downloads
Wolfgang Aussenegg and Ranko Jelic
Cross‐sectional Tests of Conditional Asset Pricing Models: Evidence from the German Stock Market pp. 880-907 Downloads
Andreas Schrimpf, Michael Schröder and Richard Stehle
The Effect of Socially Responsible Investing on Portfolio Performance pp. 908-922 Downloads
Alexander Kempf and Peer Osthoff
Volatility‐Spillover Effects in European Bond Markets pp. 923-948 Downloads
Charlotte Christiansen
Corporate Raiders, Performance and Governance in Europe pp. 949-978 Downloads
Ettore Croci
Capital Structure Swaps and Shareholder Wealth pp. 979-997 Downloads
Thomas J. O'Brien, Linda Schmid Klein and James I. Hilliard

Volume 13, issue 4, 2007

The Economics of IPO Stabilisation, Syndicates and Naked Shorts pp. 616-642 Downloads
Tim Jenkinson and Howard Jones
Do European Primarily Internet Banks Show Scale and Experience Efficiencies? pp. 643-671 Downloads
Javier Delgado, Ignacio Hernando and María J. Nieto
Exchange Rates and the Conversion of Currency‐Specific Risk Premia pp. 672-701 Downloads
Astrid Eisenberg and Markus Rudolf
The Performance of Local versus Foreign Mutual Fund Managers pp. 702-720 Downloads
Rogér Otten and Dennis Bams
Managerial Stock Options and the Hedging Premium pp. 721-741 Downloads
Niclas Hagelin, Martin Holmen, John D. Knopf and Bengt Pramborg
UK Evidence on the Characteristics versus Covariance Debate pp. 742-756 Downloads
Edward Lee, Weimin Liu and Norman Strong
Irrevocable Commitments, Going Private and Private Equity pp. 757-775 Downloads
Mike Wright, Charlie Weir and Andrew Burrows
The Post‐Cost Profitability of Momentum Trading Strategies: Further Evidence from the UK pp. 776-802 Downloads
Sam Agyei‐Ampomah

Volume 13, issue 3, 2007

Behavioural Finance: Introduction pp. 389-393 Downloads
Harrison Hong
Investor Attention and Time‐varying Comovements pp. 394-422 Downloads
Lin Peng, Wei Xiong and Tim Bollerslev
Is the Aggregate Investor Reluctant to Realise Losses? Evidence from Taiwan pp. 423-447 Downloads
Brad Barber, Yi-Tsung Lee, Yu-Jane Liu and Terrance Odean
All Guts, No Glory: Trading and Diversification among Online Investors pp. 448-471 Downloads
Anders Anderson
Valuation in US Commercial Real Estate pp. 472-497 Downloads
Eric Ghysels, Alberto Plazzi and Rossen Valkanov
A Breakdown of the Valuation Effects of International Cross‐listing* pp. 498-530 Downloads
Arturo Bris, Salvatore Cantale and George Nishiotis
Acquisitions, Overconfident Managers and Self‐attribution Bias pp. 531-577 Downloads
John Doukas and Dimitris Petmezas
Bank Mergers and Diversification: Implications for Competition Policy pp. 578-590 Downloads
Albert Banal‐Estañol and Marco Ottaviani

Volume 13, issue 2, 2007

Introduction pp. 209-209 Downloads
Bing Liang
Conditional Properties of Hedge Funds: Evidence from Daily Returns* pp. 211-238 Downloads
Ying Li and Hossein Kazemi
Capacity Constraints and Hedge Fund Strategy Returns pp. 239-256 Downloads
Narayan Y. Naik, Tarun Ramadorai and Maria Stromqvist
Hedge Fund Indices: Reconciling Investability and Representativity pp. 257-286 Downloads
Felix Goltz, Lionel Martellini and Mathieu Vaissié
The Style Consistency of Hedge Funds pp. 287-308 Downloads
Rajna Gibson and Sébastien Gyger
The Performance of Hedge Fund Strategies and the Asymmetry of Return Distributions pp. 309-331 Downloads
Bill Ding and Hany A. Shawky
Risk Measures for Hedge Funds: a Cross‐sectional Approach pp. 333-370 Downloads
Bing Liang and Hyuna Park

Volume 13, issue 1, 2007

Payout Policy Pedagogy: What Matters and Why pp. 11-27 Downloads
Harry DeAngelo and Linda DeAngelo
Capital Cash Flows, APV and Valuation pp. 29-48 Downloads
Laurence Booth
Examining the Relationships between Capital, Risk and Efficiency in European Banking pp. 49-70 Downloads
Yener Altunbas, Santiago Carbo Valverde, Edward P.M. Gardener and Philip Molyneux
The Validity of the Economic Value Added Approach: an Empirical Application pp. 71-100 Downloads
Dimitris Kyriazis and Christos Anastassis
The Determinants of Financial Structure: New Insights from Business Start‐ups pp. 101-133 Downloads
Nancy Huyghebaert and Linda M. Van de Gucht
Measuring Value‐at‐Risk in Project Finance Transactions pp. 135-158 Downloads
Stefano Gatti, Alvaro Rigamonti, Francesco Saita and Mauro Senati
A New Econometric Model of Index Arbitrage pp. 159-183 Downloads
Nick Taylor

Volume 12, issue 5, 2006

Introduction pp. 659-659 Downloads
David Hillier
The Role of Investment, Financing and Dividend Decisions in Explaining Corporate Ownership Structure: Empirical Evidence from Spain pp. 661-687 Downloads
Julio Pindado and Chabela De La Torre
The Effect of Family Control on Firm Value and Performance: Evidence from Continental Europe pp. 689-723 Downloads
Roberto Barontini and Lorenzo Caprio
The Impact of Corporate Governance on Closed‐end Funds pp. 725-746 Downloads
Gordon Gemmill and Dylan C. Thomas
Valuation Effects of Short Sale Constraints: the Case of Corporate Takeovers pp. 747-762 Downloads
George Alexandridis, Antonios Antoniou and Huainan Zhao
Corporate Governance and Information Efficiency in Security Markets pp. 763-787 Downloads
Charlie X. Cai, Kevin Keasey and Helen Short
Management Going‐concern Disclosures: Impact of Corporate Governance and Auditor Reputation pp. 789-816 Downloads
Jinn‐Yang Uang, David B. Citron, Sudi Sudarsanam and Richard J. Taffler

Volume 12, issue 4, 2006

Has Finance Made the World Riskier? pp. 499-533 Downloads
Raghuram Rajan
Is it the Law or the Lawyers? Investment Covenants around the World* pp. 535-574 Downloads
Douglas Cumming and Sofia Johan
An Analysis of Changes in Board Structure during Corporate Governance Reforms pp. 575-607 Downloads
David Hillier and Patrick McColgan
Bidder CEO and Other Executive Compensation in UK M&As pp. 609-631 Downloads
Jerry Coakley and Stavroula Iliopoulou
The Importance of Corporate Foreign Debt in Managing Exchange Rate Exposures in Non‐Financial Companies pp. 633-649 Downloads
Tom Aabo

Volume 12, issue 3, 2006

Editorial: Can we learn from China? pp. 301-302 Downloads
John A. Doukas
Improved Estimates of Correlation Coefficients and their Impact on Optimum Portfolios pp. 303-318 Downloads
Edwin J. Elton, Martin J. Gruber and Jonathan Spitzer
Is Country Diversification better than Industry Diversification? pp. 319-340 Downloads
Kent Hargis and Jianping Mei
The Importance of Industry and Country Effects in the EMU Equity Markets pp. 341-373 Downloads
Miguel Almeida Ferreira and Miguel Ângelo Ferreira
Herding in the German Mutual Fund Industry pp. 375-406 Downloads
Andreas Walter and Friedrich Moritz Weber
Why and How UK Firms Hedge pp. 407-441 Downloads
Amrit Judge
Competition and Concentration in the New European Banking Landscape pp. 443-482 Downloads
Christos K. Staikouras and Anastasia Koutsomanoli‐Fillipaki

Volume 12, issue 2, 2006

The Effect of Crossing‐Network Trading on Dealer Market's Bid‐Ask Spreads pp. 143-160 Downloads
Carole Gresse
The Determinants of Debt Maturity Structure: Evidence from France, Germany and the UK pp. 161-194 Downloads
Antonios Antoniou, Yilmaz Guney and Krishna Paudyal
European Foreign Exchange Risk Exposure pp. 195-220 Downloads
Aline Muller and Willem Verschoor
Corporate Performance, Corporate Governance and Top Executive Turnover in Finland pp. 221-248 Downloads
Benjamin Maury
An Integrated Framework of Corporate Governance and Firm Valuation pp. 249-283 Downloads
Stefan Beiner, Wolfgang Drobetz, Markus Schmid and Heinz Zimmermann

Volume 12, issue 1, 2006

Share Repurchases, Dividends and Executive Options: the Effect of Dividend Protection pp. 7-28 Downloads
Eva Liljeblom and Daniel Pasternack
Optimal Portfolio Allocation under Higher Moments pp. 29-55 Downloads
Eric Jondeau and Michael Rockinger
Acquisitions: Private versus Public pp. 57-80 Downloads
Paul Draper and Krishna Paudyal
The Determinants of Corporate Trade Credit Policies in a Bank‐dominated Financial Environment: the Case of Finnish Small Firms pp. 81-102 Downloads
Jyrki Niskanen and Mervi Niskanen
Stock Price and Volume Effects Associated with Compositional Changes in European Stock Indices pp. 103-127 Downloads
Cristina Vespro
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