Journal of Finance
1946 - 2025
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Volume 70, issue 6, 2015
- Should Derivatives Be Privileged in Bankruptcy? pp. 2353-2394

- Patrick Bolton and Martin Oehmke
- Regulatory Arbitrage and Cross‐Border Bank Acquisitions pp. 2395-2450

- G. Karolyi and Alvaro G. Taboada
- Risk Overhang and Loan Portfolio Decisions: Small Business Loan Supply before and during the Financial Crisis pp. 2451-2488

- Robert Deyoung, Anne Gron, Gӧkhan Torna and Andrew Winton
- Is Historical Cost Accounting a Panacea? Market Stress, Incentive Distortions, and Gains Trading pp. 2489-2538

- Andrew Ellul, Chotibhak Jotikasthira, Christian T. Lundblad and Yihui Wang
- Internal Capital Markets in Business Groups: Evidence from the Asian Financial Crisis pp. 2539-2586

- Heitor Almeida, Chang‐soo Kim and Hwanki Brian Kim
- Foreclosures, House Prices, and the Real Economy pp. 2587-2634

- Atif Mian, Amir Sufi and Francesco Trebbi
- Asset Quality Misrepresentation by Financial Intermediaries: Evidence from the RMBS Market pp. 2635-2678

- Tomasz Piskorski, Amit Seru and James Witkin
- The People in Your Neighborhood: Social Interactions and Mutual Fund Portfolios pp. 2679-2732

- Veronika K. Pool, Noah Stoffman and Scott E. Yonker
- Mandatory Portfolio Disclosure, Stock Liquidity, and Mutual Fund Performance pp. 2733-2776

- Vikas Agarwal, Kevin A. Mullally, Yuehua Tang and Baozhong Yang
- Government Intervention and Information Aggregation by Prices pp. 2777-2812

- Philip Bond and Itay Goldstein
- CEO Preferences and Acquisitions pp. 2813-2852

- Dirk Jenter and Katharina Lewellen
- The Wall Street Walk when Blockholders Compete for Flows pp. 2853-2896

- Amil Dasgupta and Giorgia Piacentino
- The Value of Control and the Costs of Illiquidity: Erratum pp. 2899-2900

- Rui Albuquerque and Enrique Schroth
- The Role of Institutional Investors in Voting: Evidence from the Securities Lending Market: Erratum pp. 2901-2902

- Reena Aggarwal, Pedro Saffi and Jason Sturgess
Volume 70, issue 5, 2015
- Reaching for Yield in the Bond Market pp. 1863-1902

- Bo Becker and Victoria Ivashina
- Arbitrage Asymmetry and the Idiosyncratic Volatility Puzzle pp. 1903-1948

- Robert Stambaugh, Jianfeng Yu and Yu Yuan
- Wall Street Occupations pp. 1949-1996

- Ulf Axelson and Philip Bond
- Market Making Contracts, Firm Value, and the IPO Decision pp. 1997-2028

- Hendrik Bessembinder, Jia Hao and Kuncheng Zheng
- Asymmetric Learning from Financial Information pp. 2029-2062

- Camelia Kuhnen
- Informational Frictions and Commodity Markets pp. 2063-2098

- Michael Sockin and Wei Xiong
- The Beauty Contest and Short-Term Trading pp. 2099-2154

- Giovanni Cespa and Xavier Vives
- CEO Turnover and Relative Performance Evaluation pp. 2155-2184

- Dirk Jenter and Fadi Kanaan
- The Cost of Capital for Alternative Investments pp. 2185-2226

- Jakub W. Jurek and Erik Stafford
- Hidden Liquidity: Some New Light on Dark Trading pp. 2227-2274

- Robert Bloomfield, Maureen O'Hara and Gideon Saar
- Outsourcing in the International Mutual Fund Industry: An Equilibrium View pp. 2275-2308

- Oleg Chuprinin, Massimo Massa and David Schumacher
- The Role of Institutional Investors in Voting: Evidence from the Securities Lending Market pp. 2309-2346

- Reena Aggarwal, Pedro Saffi and Jason Sturgess
- Agency Conflicts, Investment, and Asset Pricing: Erratum pp. 2347-2348

- Rui Albuquerue and Neng Wang
Volume 70, issue 4, 2015
- Presidential Address: Does Finance Benefit Society? pp. 1327-1363

- Luigi Zingales
- Does Going Public Affect Innovation? pp. 1365-1403

- Shai Bernstein
- The Value of Control and the Costs of Illiquidity pp. 1405-1455

- Rui Albuquerque and Enrique Schroth
- The Impact of Incentives and Communication Costs on Information Production and Use: Evidence from Bank Lending pp. 1457-1493

- Jun (qj) Qian, Philip E. Strahan and Zhishu Yang
- A Model of Mortgage Default pp. 1495-1554

- John Campbell and João F. Cocco
- Do Prices Reveal the Presence of Informed Trading? pp. 1555-1582

- Pierre Collin-Dufresne and Vyacheslav Fos
- Investment Decisions of Nonprofit Firms: Evidence from Hospitals pp. 1583-1628

- Manuel Adelino, Katharina Lewellen and Anant Sundaram
- The Brain Gain of Corporate Boards: Evidence from China pp. 1629-1682

- Mariassunta Giannetti, Guanmin Liao and Xiaoyun Yu
- A Comparative-Advantage Approach to Government Debt Maturity pp. 1683-1722

- Robin Greenwood, Samuel Hanson and Jeremy C. Stein
- Information Diversity and Complementarities in Trading and Information Acquisition pp. 1723-1765

- Itay Goldstein and Liyan Yang
- Capital and Labor Reallocation within Firms pp. 1767-1804

- Xavier Giroud and Holger M. Mueller
- Transparency in the Financial System: Rollover Risk and Crises pp. 1805-1837

- Matthieu Bouvard, Pierre Chaigneau and Adolfo de Motta
- Report of the Editor of the Journal of Finance for the Year 2014 pp. 1839-1854

- Kenneth Singleton, Bruno Biais and Michael Roberts
- Change You Can Believe In? Hedge Fund Data Revisions: Erratum pp. 1862-1862

- Andrew Patton, Tarun Ramadorai and Michael Streatfield
Volume 70, issue 3, 2015
- Rewarding Trading Skills without Inducing Gambling pp. 925-962

- Igor Makarov and Guillaume Plantin
- Change You Can Believe In? Hedge Fund Data Revisions pp. 963-999

- Andrew Patton, Tarun Ramadorai and Michael Streatfield
- Innovation, Growth, and Asset Prices pp. 1001-1037

- Howard Kung and Lukas Schmid
- Anchoring on Credit Spreads pp. 1039-1080

- Casey Dougal, Joseph Engelberg, Christopher A. Parsons and Edward D. van Wesep
- Is a VC Partnership Greater Than the Sum of Its Partners? pp. 1081-1113

- Michael Ewens and Matthew Rhodes-Kropf
- Dividend Dynamics and the Term Structure of Dividend Strips pp. 1115-1160

- Frederico Belo, Pierre Collin-Dufresne and Robert S. Goldstein
- The Effect of Providing Peer Information on Retirement Savings Decisions pp. 1161-1201

- John Beshears, James Choi, David Laibson, Brigitte Madrian and Katherine Milkman
- CEO Connectedness and Corporate Fraud pp. 1203-1252

- Vikramaditya Khanna, E. Han Kim and Yao Lu
- The WACC Fallacy: The Real Effects of Using a Unique Discount Rate pp. 1253-1285

- Philipp Krüger, Augustin Landier and David Thesmar
- Corporate Taxes and Securitization pp. 1287-1321

- Joongho Han, Kwangwoo Park and George Pennacchi
Volume 70, issue 2, 2015
- How Does Household Portfolio Diversification Vary with Financial Literacy and Financial Advice? pp. 489-507

- Hans-Martin von Gaudecker
- Subsidizing Liquidity: The Impact of Make/Take Fees on Market Quality pp. 509-536

- Katya Malinova and Andreas Park
- Incentivizing Calculated Risk-Taking: Evidence from an Experiment with Commercial Bank Loan Officers pp. 537-575

- Shawn Cole, Martin Kanz and Leora Klapper
- Aggregate Jump and Volatility Risk in the Cross-Section of Stock Returns pp. 577-614

- Martijn Cremers, Michael Halling and David Weinbaum
- The Recovery Theorem pp. 615-648

- Steve Ross
- The Effect of Succession Taxes on Family Firm Investment: Evidence from a Natural Experiment pp. 649-688

- Margarita Tsoutsoura
- Subprime Mortgage Defaults and Credit Default Swaps pp. 689-731

- Eric Arentsen, David C. Mauer, Brian Rosenlund, Harold H. Zhang and Feng Zhao
- Size Anomalies in U.S. Bank Stock Returns pp. 733-768

- Priyank Gandhi and Hanno Lustig
- Estimating Oil Risk Factors Using Information from Equity and Derivatives Markets pp. 769-804

- I-Hsuan Ethan Chiang, W. Keener Hughen and Jacob S. Sagi
- Defined Contribution Pension Plans: Sticky or Discerning Money? pp. 805-838

- Clemens Sialm, Laura T. Starks and Hanjiang Zhang
- Yesterday's Heroes: Compensation and Risk at Financial Firms pp. 839-879

- Ing-Haw Cheng, Harrison Hong and Jose Scheinkman
- On the Design of Contingent Capital with a Market Trigger pp. 881-920

- Suresh Sundaresan and Zhenyu Wang
Volume 70, issue 1, 2015
- A Crisis of Banks as Liquidity Providers pp. 1-43

- Viral Acharya and Nada Mora
- Taxes and Corporate Policies: Evidence from a Quasi Natural Experiment pp. 45-89

- Craig Doidge and Alexander Dyck
- Money Doctors pp. 91-114

- Nicola Gennaioli, Andrei Shleifer and Robert Vishny
- Inflation Risk in Corporate Bonds pp. 115-162

- Johnny Kang and Carolin Pflueger
- Urban Vibrancy and Corporate Growth pp. 163-210

- Casey Dougal, Christopher A. Parsons and Sheridan Titman
- Short-Term Debt as Bridge Financing: Evidence from the Commercial Paper Market pp. 211-255

- Matthias Kahl, Anil Shivdasani and Yihui Wang
- Taking the Long Way Home: U.S. Tax Evasion and Offshore Investments in U.S. Equity and Debt Markets pp. 257-287

- Michelle Hanlon, Edward L. Maydew and Jacob R. Thornock
- Do Acquisitions Relieve Target Firms’ Financial Constraints? pp. 289-328

- Isil Erel, Yeejin Jang and Michael Weisbach
- The Pre-FOMC Announcement Drift pp. 329-371

- David Lucca and Emanuel Moench
- How Stable Are Corporate Capital Structures? pp. 373-418

- DeANGELO Harry and Richard Roll
- Click or Call? Auction versus Search in the Over-the-Counter Market pp. 419-447

- Terrence Hendershott and Ananth Madhavan
- Borrower Misreporting and Loan Performance pp. 449-484

- Mark J. Garmaise
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