Financial Management
2006 - 2026
Continuation of Financial Management. Current editor(s): William G. Christie From Financial Management Association International Contact information at EDIRC. Bibliographic data for series maintained by Wiley Content Delivery (). Access Statistics for this journal.
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Volume 55, issue 2, 2026
- Revisiting Asset Pricing Models: The Case for an Intangibles Factor pp. 187-208

- Dion Bongaerts, Xiaowei Kang and Mathijs van Dijk
- A Theory of the Boundaries of Banks With Implications for Financial Integration and Regulation pp. 209-228

- Falko Fecht, Roman Inderst and Sebastian Pfeil
- Financial Statement Readability and Firm Debt Choice pp. 229-250

- Wajih Abbassi, Hamdi Ben‐Nasr, Sabri Boubaker and Arman Eshraghi
- Sovereign Credit Default Swaps and Corporate Investment pp. 251-274

- Hsien‐Yi Chen, Sheng‐Syan Chen, Feng‐Tse Tsai and Ya‐Wen Chen
- Inalienable Human Capital and Inevitable Corporate Payouts pp. 275-299

- Shuxun Cai, Kose John, Xiaoran Ni and Chi Zhang
- Financial Statement Information and Equity Value: The Role of Real Options Characteristics pp. 301-328

- Mingyu (Chandler) Chen, Colin Clubb and Tarik Driouchi
- Political Geography, Myside Bias, and Retail Investor Behavior pp. 329-362

- Chansog (Francis) Kim, Yun Meng, Christos Pantzalis and Jung Chul Park
Volume 55, issue 1, 2026
- Implicit Promises and the Timing of Defined‐Benefit Pension Plan Freezes pp. 3-27

- Zacharias Petrou and Adamos Vlittis
- Earnings and the Value of Voting Rights pp. 29-47

- Umit G. Gurun and Oğuzhan Karakaş
- Call Me Maybe: Corporate Bond Prices Upon Missed Call Opportunities pp. 49-65

- Alexey Ivashchenko and Michael Rockinger
- The Spillover Effect of Media Ownership on Mainstream Media Discourse pp. 67-97

- Xin Yu, Shijun Guo and Robert Faff
- The Role of Intangible Investment in Predicting Stock Returns: Six Decades of Evidence pp. 99-119

- Lin Li
- Does Disclosing Well Lead to Doing Good? pp. 121-151

- Jinsong Liu, Jiaren Pang, Xinyi Zhang and Xi Zhou
- Product Market Threats and Leases pp. 153-173

- Douglas (D. J.) Fairhurst, Tae‐Nyun Kim, Pil‐Seng Lee and Yoonsoo Nam
Volume 54, issue 4, 2025
- Effects of Bank Capital and Lending on Leverage, Risk, and Growth of Nonfinancial Firms pp. 703-717

- Lindsay Baran, Ajay Patel and Nonna Sorokina
- Information Content of the Geography of Underwriters on Bond Market pp. 719-739

- Yan Wang, Muzi Chen, Difang Huang and Xiaoguang Yang
- Intrinsic Value, Transaction Price Movement, and Cointegration pp. 741-760

- William G. Hardin, Xiaoquan Jiang, Zhongua Wu and Qianying Zhang
- The Value of Investor Sophistication pp. 761-790

- Chengbo Fu, Gady Jacoby, Nanying Lin and Lei Lu
- Persistence and Market Timing Ability of Cryptocurrency Funds pp. 791-816

- Thomas Conlon, Diego Víctor De Mingo‐López and Andrew Urquhart
- Asset Redeployability and Corporate Liquidity pp. 817-838

- Douglas (DJ) Fairhurst and S. M. Zahid
- Pandemics and Household Cash Withdrawals: Evidence From Transaction Data on Hundreds of Millions of Bank Cards pp. 839-862

- Haohan Ren, Kemin Wang, Bohui Zhang and Fan Zhang
Volume 54, issue 3, 2025
- Probability weighting and equity premium prediction: Investing with optimism pp. 455-491

- Mehran Azimi, Soroush Ghazi and Mark Schneider
- Lottery‐like features and mutual fund performance‐flow sensitivity pp. 493-517

- Hua Cheng, Lingtian Kong, Tse‐Chun Lin, Yan Luo and Ningyu Zhou
- Too naïve to NAV? Performance display and capital misallocation pp. 519-548

- Honglin Ren and Haibei Zhao
- Political connections cause resource misallocation: Evidence from the fall of fascism in Italy pp. 549-583

- Mara Faccio and John J. McConnell
- Media coverage and the cost of equity capital around the world pp. 585-631

- Xin Gao, Donghui Li, Lu Xing and Weidong Xu
- Disagreement and returns: The case of cryptocurrencies pp. 633-672

- Jon A. Garfinkel, Lawrence Hsiao and Danqi Hu
- Climate Adaptation Risk and Capital Structure: Evidence From State Climate Adaptation Plans pp. 673-693

- Tunde Kovacs, Saira Latif, Xiaojing Yuan and Chi Zhang
Volume 54, issue 2, 2025
- Control risk premium: Dual‐class shares, family ownership, and minority investor returns pp. 199-236

- Ronald Anderson, Ezgi Ottolenghi, David Reeb and Pavel Savor
- Echoes of insecurity: The detrimental effect of crime on corporate employment pp. 237-269

- Zhang Peng, Xinzheng Shi and Junyan Yu
- Economic policy uncertainty and institutional portfolio investment pp. 271-304

- (Grace) Qing Hao and Andi Li
- Employee demographic diversity and firm performance pp. 305-330

- Bart Frijns, Alexandre Garel and Shushu Liao
- Which proxy: Capturing lottery feature through aggregation pp. 331-362

- Lei Jiang, Guofu Zhou and Yifeng Zhu
- Bounded support: Success and limitations of liquidity support during times of crisis pp. 363-418

- John Lynch and Richard Ogden
- Learnings From 1000 Rejections pp. 419-444

- Alex Edmans
Volume 54, issue 1, 2025
- Does common institutional ownership mitigate hold‐up problems along the supply chain? pp. 3-31

- Yongning Deng, Jing Li, Qilin Peng and Wentao Yao
- Zero‐beta risks and required returns: ESG and CAPM pp. 33-52

- David Johnstone and Andrew Grant
- Are investor‐paid credit ratings superior? pp. 53-87

- Nan Qin and Lei Zhou
- The impact of unions on compensation consultants and CEO pay pp. 89-122

- Vikram Nanda, Takeshi Nishikawa and Andrew Prevost
- Predicting the equity premium with a high‐threshold risk level and the price of risk pp. 123-145

- Naresh Bansal and Chris Stivers
- Upstream propagation of shocks in supply chains: Evidence from earthquakes pp. 147-175

- Xianhang Qian, Shanyun Qiu and Le Zhang
- Projects with no cost of capital pp. 177-191

- Moshe Levy
Volume 53, issue 2, 2024
- Market power and systematic risk pp. 233-266

- Fabian Hollstein, Marcel Prokopczuk and Christoph Matthias Würsig
- Foreign institutional investors’ certification and domestic minority shareholders’ mistrust pp. 267-289

- Jerry Cao, Yong Li, Xiaojuan Liu and William L. Megginson
- Minority state ownership and firm performance: Evidence from the Chinese stock market crash in 2015 pp. 291-325

- Xiumei Liu, Fangbo Si, Chenxin Xie and Lu Xie
- Online voting and minority shareholder dissent: Evidence from China pp. 327-352

- Ning Cai, Wen He, Guoqiang Wu and Xin Yu
- The sensitivity of risk premiums to the elasticity of intertemporal substitution pp. 353-390

- Zhiting Wu
- Unraveling the impact of female CEOs on corporate bond markets pp. 391-423

- Jasmine Yur‐Austin, Ran Zhao and Lu Zhu
Volume 53, issue 1, 2024
- Mutual fund performance and manager assets: The negative effect of outside holdings pp. 3-29

- Richard Evans, Javier Gil‐Bazo and Marc Lipson
- Academic publishing behavior and pay across business fields pp. 31-58

- Jon A. Garfinkel, Mosab Hammoudeh and James Weston
- Does hedge fund managers’ industry experience matter for hedge fund activism? pp. 59-97

- Ivan E. Brick, Yuzi Chen, Jun‐Koo Kang and Jin‐Mo Kim
- Financial debt contracting and managerial agency problems pp. 99-118

- Bjorn Imbierowicz and Daniel Streitz
- What drives closed‐end fund discounts? Evidence from COVID‐19 pp. 119-143

- Liang Ma
- Currency flotation and dividend policies: Evidence from China's central parity reform pp. 145-174

- Yilin Luo, Chenkai Ni and James Thewissen
- Investor attention and stock price efficiency: Evidence from quasi‐natural experiments in China pp. 175-225

- Zhibing Li, Jie Liu, Xiaoyu Liu and Chonglin Wu
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