The Financial Review
1984 - 2025
Current editor(s): Cynthia J. Campbell and Arnold R. Cowan From Eastern Finance Association Contact information at EDIRC. Bibliographic data for series maintained by Wiley Content Delivery (). Access Statistics for this journal.
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Volume 60, issue 2, 2025
- Are there too few publicly listed firms in the US? pp. 317-329

- Craig Doidge, George Andrew Karolyi, Kris Shen and René M. Stulz
- Manager political preferences and company investor bases pp. 331-361

- Hongrui Feng, Yanhuang Huang, Betty Simkins and Jian Wang
- Mandatory audit partner rotation and earnings informativeness in the bond market pp. 363-392

- He Xiao and Yaohua Qin
- How do block orders affect trade premium and order execution quality on the Taiwan stock exchange? pp. 393-415

- Donald Lien and Pi‐Hsia Hung
- The effect of employee mobility on firm innovation pp. 417-452

- Stephen J. Ciccone, Huimin Li and Yixin Liu
- Bitcoin spillovers: A high‐frequency cross‐asset analysis pp. 453-479

- Minhao Leong and Simon Kwok
- Time‐varying group common factors in the stock market anomalies pp. 481-507

- Ryuta Sakemoto
- Return trajectory and the forecastability of bitcoin returns pp. 509-539

- Simon Rudkin, Wanling Rudkin and Paweł Dłotko
- Better than risk‐free: Reserve premiums and bank lending pp. 541-571

- Raymond Kim
- Firm political risk and corporate social responsibility pp. 573-599

- Shuhui Wang
- Heterogeneity in the effects of bank lines of credit on capital investment efficiency pp. 601-621

- Wei‐Shao Wu and Sandy Suardi
- Attention allocation: An empirical analysis of the asymmetric market responses to information shocks in China pp. 623-652

- Ya Gao, Xing Han, Youwei Li, Samuel A. Vigne and Xiong Xiong
Volume 60, issue 1, 2025
- The case against a US sovereign wealth fund pp. 5-12

- William L. Megginson, Xin Yue Zhou and Robert L. Gholson
- Carbon risk and equity prices pp. 13-32

- Arthur Enders, Thomas Lontzek, Karl Schmedders and Marco Thalhammer
- Does time heal all wounds? Psychological responses to trauma and financial risk‐taking pp. 33-70

- Yushui Shi, Chris Veld and Haiying Yin
- Digitalization of banks and inclusive finance: New insights from cultural industry's financing constraints pp. 71-93

- Cunyi Yang, Li Chen, Qi Li and Junwei Wu
- High‐beta stock valuation around macroeconomic announcements pp. 95-120

- Jingjing Chen and George J. Jiang
- Risk price decomposition and the output gap pp. 121-146

- Ryuta Sakemoto
- The price impact of tweets: A high‐frequency study pp. 147-171

- Ni Yang, Adrian Fernandez‐Perez and Ivan Indriawan
- The U.S. Dollar and variance risk premia imbalances pp. 173-200

- Mads Markvart Kjær and Anders Merrild Posselt
- The dark side of competition in developing economies: Evidence from closely held SMEs pp. 201-229

- Siamak Javadi, Mark Kroll and Yu Liu
- Managerial focus and investment efficiency: Evidence from spin‐offs pp. 231-260

- Yoon K. Choi, Yong H. Kim, Suin Lee and Jung Chul Park
- The value of talents pp. 261-281

- Nasim Sabah, Linh Thompson and Zuobao Wei
- The role of stock liquidity in blockholder governance: Evidence from corporate social responsibility pp. 283-312

- Steven Freund, Hieu V. Phan, Lingna S. Sun and Hong Vo
Volume 59, issue 3, 2024
- The questions being asked: Academic research, the media, and regulators pp. 549-560

- Michelle Lowry
- Stock market and the psychological health of investors pp. 561-587

- Chang Liu and Maoyong Fan
- Is rising student debt affecting retirement savings? Evidence from the survey of consumer finances pp. 589-623

- Birzhan Batkeyev, Mine Ertugrul, Karthik Krishnan and Pinshuo Wang
- Awe of the blue minds: Location, corporate social responsibility, and firm value pp. 625-656

- Ghada Ismail
- Corporate social responsibility and investor relationship management pp. 657-685

- Jie Jiao, Yanyang Wang and An Yan
- Do firms led by founders take higher risk? pp. 687-717

- Edward Lawrence, Yuka Nishikawa and Arun Upadhyay
- CEO overcaution and capital structure choices pp. 719-743

- Francesco Rocciolo, Andrea Gheno and Chris Brooks
- Discrimination announcements, employee opinion, and capital structure: Evidence from the EEOC pp. 745-777

- Spencer Barnes
- Trade credit and corporate digital transformation: The role of managerial ability pp. 779-806

- Liukai Wang, Caiting Wang, Larisa Yarovaya and Heshu Huang
- Efficient Market Hypothesis on the blockchain: A social‐media‐based index for cryptocurrency efficiency pp. 807-829

- Efstathios Polyzos, Ghulame Rubbaniy and Mieszko Mazur
Volume 59, issue 2, 2024
- Is corporate finance research in decline? pp. 257-264

- David J. Denis
- Short selling and readability in financial disclosures: A controlled experiment pp. 265-292

- Minxing Sun and Weike Xu
- ETF and corporate reporting pp. 293-323

- In Ji Jang and Namho Kang
- Does negative news disclosure induce better decision‐making? Evidence from acquisitions pp. 325-372

- Chinmoy Ghosh, Cristian Pinto‐Gutiérrez and Jaideep Shenoy
- Under the spotlight: The peer standard in CSR and the role of public attention pp. 373-390

- Hirofumi Nishi and S. Drew Peabody
- Corporate insiders’ exploitation of investors’ anchoring bias at the 52‐week high and low pp. 391-432

- Meziane Lasfer and Xiaoke Ye
- Does informal governance matter to institutional investors? Evidence from social capital pp. 433-457

- Kershen Huang and Chenguang Shang
- Sentiment and the cross‐section of expected stock returns pp. 459-485

- Gady Jacoby, Chi Liao, Nanying Lin and Lei Lu
- Returns to scale in cost, revenue, and profit for European banks: New results from nonparametric local linear methods pp. 487-517

- Ji Wu and Shirong Zhao
- Good risk measures, bad statistical assumptions, ugly risk forecasts pp. 519-543

- Michael Michaelides and Niraj Poudyal
Volume 59, issue 1, 2024
- The papers I can't write pp. 5-8

- Paul Schultz
- Determinants of commodity market liquidity pp. 9-30

- Pankaj K. Jain, Ayla Kayhan and Esen Onur
- Where does ex‐dividend trading occur: An examination of trading venues around dividends pp. 31-55

- Justin Cox, Kathleen P. Fuller and Robert Van Ness
- Share repurchases and managerial reference points pp. 57-87

- Nicholas Clarke, Dylan Norris and Andrew Schrowang
- Board cultural diversity and firm performance under competitive pressures pp. 89-111

- Olga Dodd, Bart Frijns, Robin Kaiji Gong and Shushu Liao
- Interstate migration‐based social networks and M&A decisions pp. 113-153

- Suin Lee, Christos Pantzalis and Jung Chul Park
- Repeated innovations and excessive spin‐offs pp. 155-179

- Pierre Mella‐Barral and Hamid Sabourian
- The determinants of limit order cancellations pp. 181-201

- Petter Dahlström, Björn Hagströmer and Lars L. Nordén
- Short seller monitoring and real earnings management pp. 203-225

- Tianyu Cai, Lixiong Guo and Yongxian Tan
- Bank competition and the design of syndicated loans pp. 227-251

- Chongyang Chen and Robert Kieschnick
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