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 (). Access Statistics for this journal.
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Volume 48, issue 2, 2025
- Insider trading restriction enforcement, investor protection, and innovation pp. 431-472

- D. Brian Blank, Jiawei Chen and Valeriya Posylnaya
- The threat of voiced shareholder disapproval and the value of voting pp. 473-502

- Justin Balthrop and Jonathan Bitting
- Artificial intelligence innovation and stock price crash risk pp. 503-543

- Junru Zhang, Chen Cui, Chen Zheng and Grantley Taylor
- Distracted institutional shareholders and debt maturity pp. 545-577

- Adrian (Wai Kong) Cheung, Joye Khoo and Rui Wang
- Estimating background risk hedging demands from cross‐sectional data pp. 579-604

- James Brugler, Joachim Inkmann and Adrian Rizzo
- Personal connections, financial advisors and M&A outcomes pp. 605-643

- Dobrina Jandik, Tomas Jandik and Weineng Xu
- Social connections and information leakage: Evidence from target stock price run‐up in takeovers pp. 645-672

- 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

- James C. Brau, Ninon K. Sutton and Qiancheng Zheng
- The taxonomy of tail risk pp. 701-724

- Evarist Stoja, Arnold Polanski and Linh H. Nguyen
- Treasury auction method and underpricing: Evidence from Iceland pp. 725-756

- Antoine Noel and Mark Wu
- Mutual fund partial liquidation and future performance pp. 757-784

- George Jiang, Ping McLemore and Ao Wang
- Model for optimizing lender's decision on dealing with collateral of defaulted mortgage pp. 785-806

- Shu Ling Chiang and Ming Shann Tsai
- Organizational capital and private placements of common equity pp. 807-837

- Oneil Harris and Thanh Ngo
- Time‐Series Factor Modeling and Selection pp. 839-875

- Michael Michaelides
- Foreign corporations as large shareholders pp. 877-904

- Fuxiu Jiang, Kenneth A. Kim, John R. Nofsinger and Bing Zhu
- Do traders overweight experience from first movers? pp. 905-922

- Naomi Boyd and Shenru Li
Volume 48, issue 1, 2025
- Democracy and stock market returns pp. 5-39

- Xun Lei and Tomasz Piotr Wisniewski
- Debt dispersion and corporate liquidity pp. 41-72

- Goutham Abotula and Douglas (DJ) Fairhurst
- VC ownership post‐IPO: When, why, and how do VCs exit? pp. 73-102

- 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

- 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

- Benjamin M. Blau and Brad Cannon
- Project risk and the bank monitored credit line pp. 149-166

- Eric Van Tassel
- Predictable time‐series biases in analyst target prices and stock returns pp. 167-194

- Ahmadreza Vafaeimehr
- Import competition, credit reallocation, and small business lending pp. 195-226

- Saiying Deng and Xiaoling Pu
- Who can see the iceberg's peak? How icebergs are used by information and liquidity traders pp. 227-265

- 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

- Faisal Abbas, Ghulame Rubbaniy, Shoaib Ali and Walayet A. Khan
- MIDAS and dividend growth predictability: Revisiting the excess volatility puzzle pp. 295-319

- Enoch Quaye, Radu Tunaru and Nikolaos Voukelatos
- Synthetic long stock and option trading: Evidence from stock splits pp. 321-350

- Yifan Liu and Louis R. Piccotti
- The role of existing shareholders in private equity placements in China pp. 351-385

- Yini Liu, Di Lu and Suhua Tian
- Asset versus equity acquisitions by financial institutions pp. 387-423

- Jennifer Brodmann, Charles Armah Danso, Surendranath Rakesh Jory and Thanh Ngo
Volume 47, issue 4, 2024
- Climate risk and credit ratings pp. 947-980

- Nhu Tran and Cihan Uzmanoglu
- CEO extraversion and the cost of equity capital pp. 981-1020

- Biljana Adebambo, Robert M. Bowen, Shavin Malhotra and Pengcheng Zhu
- Bond pairs and the term structure pp. 1021-1054

- Antonio Diaz and Miles Livingston
- Sink or swim? Managerial ability and trade credit pp. 1055-1082

- Md Mahmudul Hasan, Sayan Sarkar and Andrew C. Spieler
- Impacts of firm life cycle on bond ratings and yields pp. 1083-1117

- Kelly Cai, Heiwai Lee and Hui Zhu
- Military independent directors and merger activity pp. 1119-1134

- Zhe Li and Megan Ramsey
- Social connections and innovation in diversified conglomerates pp. 1135-1163

- Tomas Jandik and Tatiana Salikhova
- Threats to human capital: The effect of health risk on corporate financial policy pp. 1165-1206

- Özde Öztekin
- Tax‐loss selling and the January effect revisited: Evidence from municipal bond closed‐end funds and exchange‐traded funds pp. 1207-1227

- Allen Carrion and Jiang Zhang
- Toeholds and information quality in common‐value takeover auctions pp. 1229-1244

- Anna Dodonova
- How does the JOBS act affect the rule 144A market? pp. 1245-1276

- Kelly Cai and Hui Zhu
- Intraday variation in trading costs: Evidence from the TSPP pp. 1277-1292

- Justin Cox, Bonnie Van Ness and Robert Van Ness
Volume 47, issue 2, 2024
- Institutional investors and mispricing of unionized firms pp. 249-274

- Viktoriya Lantushenko, Dalia Marciukaityte and Samuel H. Szewczyk
- Lending and risk controls for BHCs after the Dodd–Frank act pp. 275-315

- Marta Degl'Innocenti, Si Zhou and Yue Zhou
- CEO–board connections and the cost of equity capital: International evidence pp. 317-365

- Md Nazmul Hasan Bhuyan and David Javakhadze
- Active mutual funds and their passive ETF investments pp. 367-399

- Hsiu‐Lang Chen
- Excess cash and equity option liquidity pp. 401-433

- Min Deng and Minh Nguyen
- Corporate cash holdings and industry risk pp. 435-470

- Jinsook Lee
- The role of the dual holder in mitigating underinvestment pp. 471-495

- Roman Bohdan and Tarun Mukherjee
- Predicting corporate restructuring and financial distress in banks: The case of the Swiss banking industry pp. 497-533

- 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

- Stephen P. Ferris, Narayanan Jayaraman and Min‐Yu (Stella) Liao
- The impact of labor on the performance of founder‐family firms pp. 27-60

- 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

- Destan Kirimhan, Saban Nazlioglu and James Payne
- Interstate migration networks and stock return comovement pp. 89-121

- Suin Lee, Christos Pantzalis and Jung Chul Park
- The causal effect of corporate governance on employee satisfaction pp. 123-146

- Marco Menner and Frederic Menninger
- Executive compensation, internal control quality, and corporate social responsibility in China pp. 147-177

- Junnan Hu, Xuan Lin and Feixue Xie
- Managing other people's money: An agency theory in financial management industry pp. 179-209

- Dimitris Papadimitriou, Konstantinos Tokis, Georgios Vichos and Panos Mourdoukoutas
- Capital gain overhang and risk–return trade‐off: An international study pp. 211-242

- Dazhi Zheng, Huimin Li and Fengyun Li
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