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 44, issue 4, 2009
- EFA Keynote Speech: “Corporate Governance and Corporate Social Responsibility: What Do Investors Care about? What Should Investors Care about?” pp. 461-468

- Laura T. Starks
- Earnings‐Based Bonus Compensation pp. 469-488

- António Câmara
- Excess Control, Corporate Governance and Implied Cost of Equity: International Evidence pp. 489-524

- Omrane Guedhami and Dev Mishra
- Director Compensation and the Reliability of Accounting Information pp. 525-539

- Anwar Boumosleh
- The Intertemporal Risk‐Return Relation in the Stock Market pp. 541-558

- Xiaoquan Jiang and Bong Soo Lee
- Out‐of‐Sample Predictability in International Equity Markets: A Model Selection Approach pp. 559-582

- Xiaojing Su, Tao Wang and Jian Yang
- Fractional Integration in Commodity Futures Returns pp. 583-602

- John Elder and Hyun Jin
- The Corporate Acquisition Policy of Financially Distressed Firms pp. 603-623

- Dror Parnes
- The Forward Exchange Rate Bias Puzzle Is Persistent: Evidence from Stochastic and Nonparametric Cointegration Tests pp. 625-645

- Raj Aggarwal, Brian Lucey and Sunil K. Mohanty
- Personal Bankruptcy Law and New Business Formation pp. 647-663

- Bill Francis, Iftekhar Hasan and Haizhi Wang
Volume 44, issue 3, 2009
- An Analysis of Individual NYSE Specialist Portfolios and Execution Quality pp. 311-344

- Jerry W. Liu
- Higher‐Order Systematic Comoments and Asset Pricing: New Evidence pp. 345-369

- Duong Nguyen and Tribhuvan N. Puri
- The Forex Forward Puzzle: The Career Risk Hypothesis pp. 371-404

- Fang Liu and Piet Sercu
- The Impact of Large Changes in Asset Prices on Intra‐Market Correlations in the Domestic and International Markets pp. 405-436

- Ehud I. Ronn, Akin Sayrak and Stathis Tompaidis
- The Halloween Effect in U.S. Sectors pp. 437-459

- Ben Jacobsen and Nuttawat Visaltanachoti
Volume 44, issue 2, 2009
- Interactions between Corporate Agency Conflicts pp. 151-178

- Alan V. S. Douglas
- One Man Two Hats: What's All the Commotion! pp. 179-212

- Jay Dahya, Laura Galguera Garcia and Jos van Bommel
- Corporate Sustainability Performance and Idiosyncratic Risk: A Global Perspective pp. 213-237

- Darren D. Lee and Robert Faff
- The “Best Corporate Citizens”: Are They Good for Their Shareholders? pp. 239-262

- Greg Filbeck, Raymond Gorman and Xin Zhao
- The Correlation Structure of Unexpected Returns in U.S. Equities pp. 263-290

- R. Brian Balyeat and Jayaram Muthuswamy
- The Pricing of IPOs Post‐Sarbanes‐Oxley pp. 291-310

- Jarrod Johnston and Jeff Madura
Volume 44, issue 1, 2009
- Price Clustering: Evidence Using Comprehensive Limit‐Order Data pp. 1-29

- Chaoshin Chiao and Zi‐May Wang
- Short Selling and the Weekend Effect in Nasdaq Stock Returns pp. 31-57

- Stephen E. Christophe, Michael G. Ferri and James Angel
- Division Manager Lobbying Power and the Allocation of Capital pp. 59-85

- Chris R. McNeil and Thomas I. Smythe
- Pedigree or Placement? An Analysis of Research Productivity in Finance pp. 87-111

- Kam C. Chan, Carl R. Chen and Hung‐Gay Fung
- The Diversification Discount Puzzle: Evidence for a Transaction‐Cost Resolution pp. 113-135

- Raj Aggarwal and Shelly Zhao
- Entrepreneurial Financing and Costly Due Diligence pp. 137-149

- Chris Yung
Volume 43, issue 4, 2008
- The External Funding of Academic Finance Research pp. 477-507

- David R. Kuipers and Stephen Pruitt
- U.S. Monetary Policy Surprises and Currency Futures Markets: A New Look pp. 509-541

- Tao Wang, Jian Yang and Marc W. Simpson
- The Information Content of Multiple Stock Splits pp. 543-567

- Gow‐Cheng Huang, Kartono Liano, Herman Manakyan and Ming‐Shiun Pan
- Industry Signals Relayed by Corporate Earnings Restatements pp. 569-589

- Aigbe Akhigbe and Jeff Madura
- Globalization and Investment Opportunities: A Cointegration Study of Arab, U.S., and Emerging Stock Markets pp. 591-611

- Said Elfakhani, Mahmoud Arayssi and Hanin A. Smahta
Volume 43, issue 3, 2008
- Real‐Time Forecasting and Political Stock Market Anomalies: Evidence for the United States pp. 323-335

- Martin T. Bohl, Jörg Döpke and Christian Pierdzioch
- Political Views and Corporate Decision Making: The Case of Corporate Social Responsibility pp. 337-360

- Amir Rubin
- The Sarbanes‐Oxley Act of 2002 and Market Liquidity pp. 361-382

- Pankaj Jain, Jang‐Chul Kim and Zabihollah Rezaee
- Risk Shifts Following Sarbanes‐Oxley: Influences of Disclosure and Governance pp. 383-401

- Aigbe Akhigbe, Anna D. Martin and Melinda Newman
- Lease Financing and Corporate Governance pp. 403-437

- Sara H. Robicheaux, Xudong Fu and James A. Ligon
- Cointegration and Exogeneity in Eurobanking and Latin American Banking: Does Systemic Risk Linger? pp. 439-460

- John Simpson
- Do Commodity Traders Herd? pp. 461-476

- Bahram Adrangi and Arjun Chatrath
Volume 43, issue 2, 2008
- Price Momentum and Idiosyncratic Volatility pp. 159-190

- Matteo P. Arena, K. Stephen Haggard and Xuemin (Sterling) Yan
- Expected Time Value Decay of Options: Implications for Put‐Rolling Strategies pp. 191-218

- George F. Tannous and Clifton Lee‐Sing
- Price Discovery and Liquidity in Basket Securities pp. 219-239

- Thomas Henker and Martin Martens
- Information Asymmetry and Corporate Investment Decisions: A Dynamic Approach pp. 241-271

- Shih‐Chuan Tsai
- Tactical Industry Allocation and Model Uncertainty pp. 273-302

- Manuel Ammann and Michael Verhofen
- Isolating the Information Content of Equity Analysts' Recommendation Changes, Post Reg FD pp. 303-321

- Delbert Goff, Heather Hulburt, Terrill Keasler and Joe Walsh
Volume 43, issue 1, 2008
- Corporate Bond Returns and Volatility pp. 1-26

- Nianyun Cai and Xiaoquan Jiang
- Security Concentration and Active Fund Management: Do Focused Funds Offer Superior Performance? pp. 27-49

- Travis Sapp and Xuemin (Sterling) Yan
- Emerging Market Bond Funds: A Comprehensive Analysis pp. 51-84

- Sirapat Polwitoon and Oranee Tawatnuntachai
- Dual Class IPOs ARE Underpriced Less Severely pp. 85-106

- Scott B. Smart and Chad J. Zutter
- Investor Sentiment, Trading Behavior and Informational Efficiency in Index Futures Markets pp. 107-127

- Alexander Kurov
- Voluntary Listing Requirements and Corporate Performance: The Case of the Dey Report and Canadian Firms pp. 129-157

- Christine Panasian, Andrew K. Prevost and Harjeet S. Bhabra
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