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Journal of Financial Research

1978 - 2025

Current editor(s): Jayant Kale and Gerald Gay

From:
Southern Finance Association
Contact information at EDIRC.

Southwestern Finance Association
Contact information at EDIRC.

Bibliographic data for series maintained by Wiley Content Delivery ().

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Volume 48, issue 2, 2025

Insider trading restriction enforcement, investor protection, and innovation pp. 431-472 Downloads
D. Brian Blank, Jiawei Chen and Valeriya Posylnaya
The threat of voiced shareholder disapproval and the value of voting pp. 473-502 Downloads
Justin Balthrop and Jonathan Bitting
Artificial intelligence innovation and stock price crash risk pp. 503-543 Downloads
Junru Zhang, Chen Cui, Chen Zheng and Grantley Taylor
Distracted institutional shareholders and debt maturity pp. 545-577 Downloads
Adrian (Wai Kong) Cheung, Joye Khoo and Rui Wang
Estimating background risk hedging demands from cross‐sectional data pp. 579-604 Downloads
James Brugler, Joachim Inkmann and Adrian Rizzo
Personal connections, financial advisors and M&A outcomes pp. 605-643 Downloads
Dobrina Jandik, Tomas Jandik and Weineng Xu
Social connections and information leakage: Evidence from target stock price run‐up in takeovers pp. 645-672 Downloads
Iftekhar Hasan, Lin Tong and An Yan
The impact of changing disclosure requirements, competition, and private capital on firm exit methods and premiums pp. 673-699 Downloads
James C. Brau, Ninon K. Sutton and Qiancheng Zheng
The taxonomy of tail risk pp. 701-724 Downloads
Evarist Stoja, Arnold Polanski and Linh H. Nguyen
Treasury auction method and underpricing: Evidence from Iceland pp. 725-756 Downloads
Antoine Noel and Mark Wu
Mutual fund partial liquidation and future performance pp. 757-784 Downloads
George Jiang, Ping McLemore and Ao Wang
Model for optimizing lender's decision on dealing with collateral of defaulted mortgage pp. 785-806 Downloads
Shu Ling Chiang and Ming Shann Tsai
Organizational capital and private placements of common equity pp. 807-837 Downloads
Oneil Harris and Thanh Ngo
Time‐Series Factor Modeling and Selection pp. 839-875 Downloads
Michael Michaelides
Foreign corporations as large shareholders pp. 877-904 Downloads
Fuxiu Jiang, Kenneth A. Kim, John R. Nofsinger and Bing Zhu
Do traders overweight experience from first movers? pp. 905-922 Downloads
Naomi Boyd and Shenru Li

Volume 48, issue 1, 2025

Democracy and stock market returns pp. 5-39 Downloads
Xun Lei and Tomasz Piotr Wisniewski
Debt dispersion and corporate liquidity pp. 41-72 Downloads
Goutham Abotula and Douglas (DJ) Fairhurst
VC ownership post‐IPO: When, why, and how do VCs exit? pp. 73-102 Downloads
Anup Basnet, Kuntara Pukthuanthong, Harry Turtle and Thomas Walker
Social media and cost of debt financing: Evidence from stock forum text analysis pp. 103-131 Downloads
Qingxi Meng, Shenwei Mo, Xiaofeng Quan and Joseph H. Zhang
The asset growth return premium and anchoring on the 52‐week high pp. 133-148 Downloads
Benjamin M. Blau and Brad Cannon
Project risk and the bank monitored credit line pp. 149-166 Downloads
Eric Van Tassel
Predictable time‐series biases in analyst target prices and stock returns pp. 167-194 Downloads
Ahmadreza Vafaeimehr
Import competition, credit reallocation, and small business lending pp. 195-226 Downloads
Saiying Deng and Xiaoling Pu
Who can see the iceberg's peak? How icebergs are used by information and liquidity traders pp. 227-265 Downloads
Paul Lajbcygier and Vu Van Hoang
Income and balance sheet diversification effects on banks' cost and profit efficiency: Evidence from the United States pp. 267-293 Downloads
Faisal Abbas, Ghulame Rubbaniy, Shoaib Ali and Walayet A. Khan
MIDAS and dividend growth predictability: Revisiting the excess volatility puzzle pp. 295-319 Downloads
Enoch Quaye, Radu Tunaru and Nikolaos Voukelatos
Synthetic long stock and option trading: Evidence from stock splits pp. 321-350 Downloads
Yifan Liu and Louis R. Piccotti
The role of existing shareholders in private equity placements in China pp. 351-385 Downloads
Yini Liu, Di Lu and Suhua Tian
Asset versus equity acquisitions by financial institutions pp. 387-423 Downloads
Jennifer Brodmann, Charles Armah Danso, Surendranath Rakesh Jory and Thanh Ngo

Volume 47, issue 4, 2024

Climate risk and credit ratings pp. 947-980 Downloads
Nhu Tran and Cihan Uzmanoglu
CEO extraversion and the cost of equity capital pp. 981-1020 Downloads
Biljana Adebambo, Robert M. Bowen, Shavin Malhotra and Pengcheng Zhu
Bond pairs and the term structure pp. 1021-1054 Downloads
Antonio Diaz and Miles Livingston
Sink or swim? Managerial ability and trade credit pp. 1055-1082 Downloads
Md Mahmudul Hasan, Sayan Sarkar and Andrew C. Spieler
Impacts of firm life cycle on bond ratings and yields pp. 1083-1117 Downloads
Kelly Cai, Heiwai Lee and Hui Zhu
Military independent directors and merger activity pp. 1119-1134 Downloads
Zhe Li and Megan Ramsey
Social connections and innovation in diversified conglomerates pp. 1135-1163 Downloads
Tomas Jandik and Tatiana Salikhova
Threats to human capital: The effect of health risk on corporate financial policy pp. 1165-1206 Downloads
Özde Öztekin
Tax‐loss selling and the January effect revisited: Evidence from municipal bond closed‐end funds and exchange‐traded funds pp. 1207-1227 Downloads
Allen Carrion and Jiang Zhang
Toeholds and information quality in common‐value takeover auctions pp. 1229-1244 Downloads
Anna Dodonova
How does the JOBS act affect the rule 144A market? pp. 1245-1276 Downloads
Kelly Cai and Hui Zhu
Intraday variation in trading costs: Evidence from the TSPP pp. 1277-1292 Downloads
Justin Cox, Bonnie Van Ness and Robert Van Ness

Volume 47, issue 2, 2024

Institutional investors and mispricing of unionized firms pp. 249-274 Downloads
Viktoriya Lantushenko, Dalia Marciukaityte and Samuel H. Szewczyk
Lending and risk controls for BHCs after the Dodd–Frank act pp. 275-315 Downloads
Marta Degl'Innocenti, Si Zhou and Yue Zhou
CEO–board connections and the cost of equity capital: International evidence pp. 317-365 Downloads
Md Nazmul Hasan Bhuyan and David Javakhadze
Active mutual funds and their passive ETF investments pp. 367-399 Downloads
Hsiu‐Lang Chen
Excess cash and equity option liquidity pp. 401-433 Downloads
Min Deng and Minh Nguyen
Corporate cash holdings and industry risk pp. 435-470 Downloads
Jinsook Lee
The role of the dual holder in mitigating underinvestment pp. 471-495 Downloads
Roman Bohdan and Tarun Mukherjee
Predicting corporate restructuring and financial distress in banks: The case of the Swiss banking industry pp. 497-533 Downloads
Daniel Boos, Nikolaos Karampatsas, Wolfgang Garn and Lampros K. Stergioulas

Volume 47, issue 1, 2024

Cultural, trust, and transparency effects on the use of anchoring in mergers and acquisitions pp. 5-25 Downloads
Stephen P. Ferris, Narayanan Jayaraman and Min‐Yu (Stella) Liao
The impact of labor on the performance of founder‐family firms pp. 27-60 Downloads
Murali Jagannathan, Brett W. Myers and Xu Niu
Are stress‐tested banks in the United States becoming similar? Evidence from convergence tests pp. 61-88 Downloads
Destan Kirimhan, Saban Nazlioglu and James Payne
Interstate migration networks and stock return comovement pp. 89-121 Downloads
Suin Lee, Christos Pantzalis and Jung Chul Park
The causal effect of corporate governance on employee satisfaction pp. 123-146 Downloads
Marco Menner and Frederic Menninger
Executive compensation, internal control quality, and corporate social responsibility in China pp. 147-177 Downloads
Junnan Hu, Xuan Lin and Feixue Xie
Managing other people's money: An agency theory in financial management industry pp. 179-209 Downloads
Dimitris Papadimitriou, Konstantinos Tokis, Georgios Vichos and Panos Mourdoukoutas
Capital gain overhang and risk–return trade‐off: An international study pp. 211-242 Downloads
Dazhi Zheng, Huimin Li and Fengyun Li
Page updated 2025-06-05