Journal of Corporate Finance
1994 - 2025
Current editor(s): A. Poulsen and J. Netter From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 37, issue C, 2016
- Political risk and international valuation pp. 1-23

- Geert Bekaert, Campbell R. Harvey, Christian T. Lundblad and Stephan Siegel
- Sentiment traders & IPO initial returns: The Indian evidence pp. 24-37

- Jonathan Clarke, Arif Khurshed, Alok Pande and Ajai K. Singh
- Social capital, investments, and external financing pp. 38-55

- David Javakhadze, Stephen P. Ferris and Dan W. French
- The wealth of private firm owners following reverse mergers pp. 56-75

- Daniel Greene
- Convertible bond announcement effects: Why is Japan different? pp. 76-92

- Marie Dutordoir, Hui Li, Frank Hong Liu and Patrick Verwijmeren
- Investment efficiency, state-owned enterprises and privatisation: Evidence from Viet Nam in Transition pp. 93-108

- Conor O'Toole, Edgar Morgenroth and Thuy T. Ha
- Who is successful on the finance Ph.D. job market? pp. 109-131

- Nikanor Volkov, Inga Chira and Arjan Premti
- Institutional investments in pure play stocks and implications for hedging decisions pp. 132-151

- Bernadette A. Minton and Catherine Schrand
- Media-expressed negative tone and firm-level stock returns pp. 152-172

- Khurshid Ahmad, JingGuang Han, Elaine Hutson, Colm Kearney and Sha Liu
- Directors' and officers' liability insurance and stock price crash risk pp. 173-192

- Rongli Yuan, Jian Sun and Feng Cao
- Industry IPOs, growth opportunities, and private target acquisitions pp. 193-209

- Nihat Aktas, Jean-Gabriel Cousin, Ali Ozdakak and Junyao Zhang
- Captive finance and firm's competitiveness pp. 210-228

- Andriy Bodnaruk, William O'Brien and Andrei Simonov
- Religion, gambling attitudes and corporate innovation pp. 229-248

- Binay Kumar Adhikari and Anup Agrawal
- Creditor rights, bank competition, and corporate investment during the global financial crisis pp. 249-270

- Francisco González
- Can Islamic injunctions indemnify the structural flaws of securitized debt? pp. 271-286

- M. Shahid Ebrahim, Aziz Jaafar, Fatma A. Omar and Murizah Osman Salleh
- What's in an education? Implications of CEO education for bank performance pp. 287-308

- Timothy King, Abhishek Srivastav and Jonathan Williams
- Leaders and followers in hot IPO markets pp. 309-334

- Shantanu Banerjee, Ufuk Güçbilmez and Grzegorz Pawlina
- Offshore operations and bank loan contracting: Evidence from firms that set up subsidiaries in offshore financial centers pp. 335-355

- Wenxia Ge, Jeong-Bon Kim, Tiemei Li and Yutao Li
- Are VC-backed IPOs delayed trade sales? pp. 356-374

- Andrej Gill and Uwe Walz
- Managerial confidence and initial public offerings pp. 375-392

- Thomas J. Boulton and T. Colin Campbell
- Debt maturity structure in private firms: Does the family control matter? pp. 393-411

- Nieves Lidia Díaz-Díaz, Pedro J. García-Teruel and Pedro Martínez-Solano
- Corporate social responsibility and corporate cash holdings pp. 412-430

- Adrian (Wai-Kong) Cheung
- The cost of equity for private firms pp. 431-443

- Menachem Abudy, Simon Benninga and Efrat Shust
Volume 36, issue C, 2016
- Institutional shareholders and SEO market timing pp. 1-14

- Armen Hovakimian and Huajing Hu
- Pyramidal structure, political intervention and firms' tax burden: Evidence from China's local SOEs pp. 15-25

- Min Zhang, Lijun M, Bo Zhang and Zhihong Yi
- Women on board: Does boardroom gender diversity affect firm risk? pp. 26-53

- Vathunyoo Sila, Angelica Gonzalez and Jens Hagendorff
- Corporate bond pricing and ownership heterogeneity pp. 54-74

- Kershen Huang and Alex Petkevich
- Product market effects of real estate collateral pp. 75-92

- Azizjon Alimov
- CEO overconfidence and corporate debt maturity pp. 93-110

- Ronghong Huang, Kelvin Jui Keng Tan and Robert Faff
- A balancing act: Managing financial constraints and agency costs to minimize investment inefficiency in the Chinese market pp. 111-130

- Alessandra Guariglia and Junhong Yang
- Are offshore firms worth more? pp. 131-156

- Art Durnev, TieMei Li and Michel Magnan
- Tax noncompliance and insider trading pp. 157-173

- Juha-Pekka Kallunki, Jenni Mikkonen, Henrik Nilsson and Hanna Setterberg
- Political uncertainty and corporate investment: Evidence from China pp. 174-189

- Heng An, Yanyan Chen, Danglun Luo and Ting Zhang
- Cash holding adjustments and managerial entrenchment pp. 190-205

- Zhan Jiang and Erik Lie
- Do managers matter for corporate innovation? pp. 206-229

- Chanho Cho, Joseph T. Halford, Scott Hsu and Lilian Ng
- Debt decisions in deregulated industries pp. 230-254

- Alexei Ovtchinnikov
- Do external labor market incentives motivate CEOs to adopt more aggressive corporate tax reporting preferences? pp. 255-277

- Thomas R. Kubick and G. Brandon Lockhart
- An evaluation of Altman's Z-score using cash flow ratio to predict corporate failure amid the recent financial crisis: Evidence from the UK pp. 278-285

- Jeehan Almamy, John Aston and Leonard N. Ngwa
Volume 35, issue C, 2015
- Dividend changes and stock price informativeness pp. 1-17

- Amedeo De Cesari and Winifred Huang-Meier
- CEO risk preferences and dividend policy decisions pp. 18-42

- Deren Caliskan and John A. Doukas
- Do managers manipulate earnings prior to management buyouts? pp. 43-61

- Yaping Mao and Luc Renneboog
- Disproportionate insider control and board of director characteristics pp. 62-80

- Lindsay Baran and Arno Forst
- When governance fails: Naming directors in class action lawsuits pp. 81-96

- Claire E. Crutchley, Kristina Minnick and Patrick J. Schorno
- Write-Down Bonds and Capital and Debt Structures pp. 97-119

- Sami Attaoui and Patrice Poncet
- Does individual investor trading impact firm valuation? pp. 120-135

- Qin Wang and Jun Zhang
- Mind the gap: The age dissimilarity between the chair and the CEO pp. 136-158

- Marc Goergen, Peter Limbach and Meik Scholz
- Venture capital and the investment curve of young high-tech companies pp. 159-176

- Fabio Bertoni, Annalisa Croce and Massimiliano Guerini
- Media news and earnings management prior to equity offerings pp. 177-195

- Salim Chahine, Sattar Mansi and Mohamad Mazboudi
- Product market competition and corporate investment: Evidence from China pp. 196-210

- Fuxiu Jiang, Kenneth Kim, John R. Nofsinger and Bing Zhu
- The effects of stock liquidity on firm value and corporate governance: Endogeneity and the REIT experiment pp. 211-231

- William Mingyan Cheung, Richard Chung and Scott Fung
- Are hedge funds registered in Delaware different? pp. 232-246

- Douglas Cumming, Na Dai and Sofia Johan
- Why are CEOs paid for good luck? An empirical comparison of explanations for pay-for-luck asymmetry pp. 247-264

- T. Colin Campbell and Mary Elizabeth Thompson
- Ownership structure, control contestability, and corporate debt maturity pp. 265-285

- Hamdi Ben-Nasr, Sabri Boubaker and Wael Rouatbi
- The effect of poison pill adoptions and court rulings on firm entrenchment pp. 286-296

- Randall A. Heron and Erik Lie
- Corporate social responsibility, stakeholder risk, and idiosyncratic volatility pp. 297-309

- Leonardo Becchetti, Rocco Ciciretti and Iftekhar Hasan
- The financial crisis and corporate debt maturity: The role of banking structure pp. 310-328

- Víctor M. González
- Corporate innovation, default risk, and bond pricing pp. 329-344

- Po-Hsuan Hsu, Hsiao-Hui Lee, Alfred Zhu Liu and Zhipeng Zhang
- Are female top managers really paid less? pp. 345-369

- Philipp Geiler and Luc Renneboog
- A comparison of CEO pay–performance sensitivity in privately-held and public firms pp. 370-388

- Huasheng Gao and Kai Li
- Employee–management trust and M&A activity pp. 389-406

- Leonce Bargeron, Kenneth Lehn and Jared Smith
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