Financial Management
2006 - 2025
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 47, issue 4, 2018
- The Theory and Practice of Corporate Risk Management: Evidence from the Field pp. 783-832

- Erasmo Giambona, John R. Graham, Campbell Harvey and Gordon Bodnar
- Experience and Brokerage in Asset Markets: Evidence from Art Auctions pp. 833-864

- Brunella Bruno, Emilia Garcia‐Appendini and Giacomo Nocera
- Are Low Equity R2 Firms More or Less Transparent? Evidence from the Corporate Bond Market pp. 865-909

- Wei Hao, Andrew Prevost and Udomsak Wongchoti
- Yes, the Composition of the Market Portfolio Matters: The Estimated Cost of Equity pp. 911-929

- Avraham Kamara and Lance Young
- Credit Insurance, Distress Resolution Costs, and Bond Spreads pp. 931-951

- Rajesh Narayanan and Cihan Uzmanoglu
- Large Wealth Creation in Mergers and Acquisitions pp. 953-991

- Eliezer M. Fich, Tu Nguyen and Micah Officer
- Having a Finger in the Pie: Labor Power and Corporate Payout Policy pp. 993-1027

- In‐Mu Haw, Bingbing Hu, Donghui Wu and Xu Zhang
Volume 47, issue 3, 2018
- Leaning Against the Wind: Debt Financing in the Face of Adversity pp. 485-518

- Michael J. Brennan and Holger Kraft
- Information Content of Offer Date Revelations: A Fresh Look at Seasoned Equity Offerings pp. 519-552

- Konan Chan, Nandkumar Nayar, Ajai K. Singh and Wen Yu
- Distress Anomaly and Shareholder Risk: International Evidence pp. 553-581

- Assaf Eisdorfer, Amit Goyal and Alexei Zhdanov
- Management Risk Incentives and the Readability of Corporate Disclosures pp. 583-616

- Bidisha Chakrabarty, Ananth Seetharaman, Zane Swanson and Xu (Frank) Wang
- Do Pro‐Diversity Policies Improve Corporate Innovation? pp. 617-650

- Roger C. Mayer, Richard S. Warr and Jing Zhao
- Corporate Governance, Tax Avoidance, and Financial Constraints pp. 651-677

- Onur Bayar, Fariz Huseynov and Sabuhi Sardarli
- Banks and Corporate Decisions: Evidence from Business Groups pp. 679-713

- Huong N. Higgins
- The Only Fund in Town? Geographic Segmentation in the US Mutual Fund Industry pp. 715-737

- Jesse A. Ellis and Shane Underwood
- Productivity Risk and Industry Momentum pp. 739-774

- Efdal Ulas Misirli
Volume 47, issue 2, 2018
- Do Outside Directors with Government Experience Create Value? pp. 209-251

- Jun†Koo Kang and Le Zhang
- Financial Institutions Network and the Certification Value of Bank Loans pp. 253-283

- Christophe Godlewski and Bulat Sanditov
- Determinants of Underwriting Fees by New Entrant Banks: Evidence from the Japanese IPO Underwriting Market pp. 285-307

- Keiichiro Koda and Kazuo Yamada
- Mutual Fund Stock†Picking Skill: New Evidence from Valuation†versus Liquidity†Motivated Trading pp. 309-347

- Martin Rohleder, Dominik Schulte, Janik Syryca and Marco Wilkens
- Do Co†Opted Directors Influence Dividend Policy? pp. 349-381

- Pornsit Jiraporn and Sang Mook Lee
- The Impact of Government Intervention on Corporate Investment Allocations and Efficiency: Evidence from China pp. 383-419

- Ying Hao and Jing Lu
- Sold Below Value? Why Takeover Offers Can Have Negative Premiums pp. 421-450

- Utz Weitzel and Gerhard Kling
- Firm Competition and CEO Turnover: Evidence from US Railroad Deregulation pp. 451-476

- Felipe Aldunate
Volume 47, issue 1, 2018
- Mutual Fund Managers’ Prior Work Experience and Their Investment Skill pp. 3-24

- Rui Chen, Zhennan Gao, Xueyong Zhang and Min Zhu
- Mandatory Worker Representation on the Board and Its Effect on Shareholder Wealth pp. 25-54

- Stefan Petry
- The Shareholder Base Hypothesis of Stock Return Volatility: Empirical Evidence pp. 55-79

- Håkan Jankensgård and Anders Vilhelmsson
- Informed Options Trading Prior to Dividend Change Announcements pp. 81-103

- Jun Zhang
- The Propensity to Split and CEO Compensation pp. 105-129

- Erik Devos, William B. Elliott and Richard S. Warr
- School Holidays and Stock Market Seasonality pp. 131-157

- Lily Fang, Chunmei Lin and Yuping Shao
- Corporate Cash Holdings and Acquisitions pp. 159-173

- Erik Lie and Yixin Liu
- CMBS Subordination, Ratings Inflation, and Regulatory†Capital Arbitrage pp. 175-201

- Richard Stanton and Nancy Wallace
Volume 46, issue 4, 2017
- On the Relative Performance of Investment-Grade Corporate Bonds with Differing Maturities pp. 839-872

- Darrin DeCosta, Fei Leng and Gregory Noronha
- Exploring the Double-Sided Effect of Information Asymmetry and Uncertainty in Mergers and Acquisitions pp. 873-917

- Mathieu Luypaert and Tom Caneghem
- The Persistence of Opportunistic Insider Trading pp. 919-964

- Brandon N. Cline, Sinan Gokkaya and Xi Liu
- Words versus Deeds: Evidence from Post-Call Manager Trades pp. 965-994

- Paul Brockman, James E. Cicon, Xu Li and S. McKay Price
- Bank Competition and Leverage Adjustments pp. 995-1022

- Fuxiu Jiang, Zhan Jiang, Jicheng Huang, Kenneth Kim and John R. Nofsinger
- Analyst Forecast Accuracy and Media Independence pp. 1023-1051

- Jeong-Bon Kim, Liuchuang Li and Hao Zhang
- The Impact of Market Structure on Ex-Dividend Day Stock Price Behavior pp. 1053-1082

- Sandra Mortal, Shishir Paudel and Sabatino (Dino) Silveri
Volume 46, issue 3, 2017
- Firm Opacity Lies in the Eye of the Beholder pp. 553-592

- Sandeep Dahiya, Giuliano Iannotta and Marco Navone
- Do Tighter Loan Covenants Signal Improved Future Corporate Results? The Case of Performance Pricing Covenants pp. 593-625

- Mehdi Beyhaghi, Kamphol Panyagometh, Aron A. Gottesman and Gordon S. Roberts
- CEO Incentives, Relationship Lending, and the Cost of Corporate Borrowing pp. 627-654

- Liqiang Chen and Jiaping Qiu
- CEO's Inside Debt and Dynamics of Capital Structure pp. 655-685

- Eric R. Brisker and Wei Wang
- CEO Age, Risk Incentives, and Hedging Strategy pp. 687-716

- Ettore Croci, Alfonso Giudice and Håkan Jankensgård
- Corporate Governance, Product Market Competition, and the Wealth Effect of R&D Spending Changes pp. 717-742

- Tsai-Ling Liao and Wen-Chun Lin
- Market Illiquidity and Conditional Equity Premium pp. 743-766

- Hui Guo, Sandra Mortal, Robert Savickas and Robert Wood
- Investor Sentiment and Return Predictability of the Option to Stock Volume Ratio pp. 767-796

- Jun Sik Kim, Da-Hea Kim and Sung Won Seo
- Star Analysts, Overreaction, and Synchronicity: Evidence from China and the United States pp. 797-832

- Mingshan Zhou, Jing Lin and Yunbi An
Volume 46, issue 2, 2017
- How Much Do Corporate Defendants Really Lose? A New Verdict on the Reputation Loss Induced by Corporate Litigation pp. 323-358

- Bruce Haslem, Irena Hutton and Aimee Hoffmann Smith
- Mutual Fund Liquidity Costs pp. 359-375

- Jon A. Fulkerson and Timothy B. Riley
- Cancellation Latency: The Good, the Bad, and the Ugly pp. 377-407

- Pawan Jain and Steven J. Jordan
- Cross-Section of Expected Returns and Extreme Returns: The Role of Investor Attention and Risk Preferences pp. 409-431

- Jungshik Hur and Vivek Singh
- Predictable Sports Sentiment and Local Trading pp. 433-453

- Aigbe Akhigbe, Melinda Newman and Ann Marie Whyte
- Short Interest, Returns, and Unfavorable Fundamental Information pp. 455-486

- Ferhat Akbas, Ekkehart Boehmer, Bilal Erturk and Sorin Sorescu
- Observational Learning from Acquisition Outcomes of Innovation Leaders pp. 487-522

- Sheng-Syan Chen, Chia-Wei Huang and Chih-Yen Lin
- Innovation and Price Informativeness pp. 523-546

- Ani Manakyan Mathers, Bin Wang and Xiaohong (Sara) Wang
Volume 46, issue 1, 2017
- Political Party Affiliation of the President, Majority in Congress, and Sin Stock Returns pp. 3-31

- Sanjiv Sabherwal, Salil K. Sarkar and Mohammad Riaz Uddin
- The Anatomy of a Socially Responsible Corporation pp. 33-58

- Rajshree Prakash, Rahul Ravi and Rubin Zhao
- Growing Pains: International Instability and Equity Market Returns pp. 59-87

- Zhuo Chen, Andrea Y. Lu and Zhuqing Yang
- Does Earnings Management Relieve the Negative Effects of Mandatory Pension Contributions? pp. 89-128

- Hieu V. Phan, Hinh D. Khieu and Joseph Golec
- Labor Rights, Venture Capital, and Firm Performance pp. 129-154

- Xuejing Xing, John S. Howe, Randy I. Anderson and Shan Yan
- Company Stock in Defined Contribution Plans: Evidence from Proxy Voting pp. 155-202

- Heejin Park
- Board Composition and Relationship-Specific Investments by Customers and Suppliers pp. 203-239

- Kristina Minnick and Kartik Raman
- The Role of Multiple Large Shareholders in the Choice of Debt Source pp. 241-274

- Sabri Boubaker, Wael Rouatbi and Walid Saffar
- The Impact of Go-Shop Provisions in Merger Agreements pp. 275-315

- Sridhar Gogineni and John Puthenpurackal
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