EconPapers    
Economics at your fingertips  
 

Journal of Financial Economics

1974 - 2025

Current editor(s): G. William Schwert

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 118, issue 3, 2015

Maturity rationing and collective short-termism pp. 553-570 Downloads
Konstantin Milbradt and Martin Oehmke
The impact of Treasury supply on financial sector lending and stability pp. 571-600 Downloads
Arvind Krishnamurthy and Annette Vissing-Jorgensen
Deposits and bank capital structure pp. 601-619 Downloads
Franklin Allen, Elena Carletti and Robert Marquez
A theory of risk capital pp. 620-635 Downloads
Isil Erel, Stewart C. Myers and James A. Read
Debt, labor markets, and the creation and destruction of firms pp. 636-657 Downloads
Andres Almazan, Adolfo de Motta and Sheridan Titman
A century of capital structure: The leveraging of corporate America pp. 658-683 Downloads
John R. Graham, Mark T. Leary and Michael R. Roberts
As certain as debt and taxes: Estimating the tax sensitivity of leverage from state tax changes pp. 684-712 Downloads
Florian Heider and Alexander Ljungqvist

Volume 118, issue 2, 2015

Regression-based estimation of dynamic asset pricing models pp. 211-244 Downloads
Tobias Adrian, Richard Crump and Emanuel Moench
Resource accumulation through economic ties: Evidence from venture capital pp. 245-267 Downloads
Yael V. Hochberg, Laura A. Lindsey and Mark Westerfield
Competition of the informed: Does the presence of short sellers affect insider selling? pp. 268-288 Downloads
Massimo Massa, Wenlan Qian, Weibiao Xu and Hong Zhang
Volatility and mutual fund manager skill pp. 289-298 Downloads
Bradford Jordan and Timothy B. Riley
Payout policy through the financial crisis: The growth of repurchases and the resilience of dividends pp. 299-316 Downloads
Eric Floyd, Nan Li and Douglas J. Skinner
Discount window stigma during the 2007–2008 financial crisis pp. 317-335 Downloads
Olivier Armantier, Eric Ghysels, Asani Sarkar and Jeffrey Shrader
Liquidity hoarding and interbank market rates: The role of counterparty risk pp. 336-354 Downloads
Florian Heider, Marie Hoerova and Cornelia Holthausen
Smart money, dumb money, and capital market anomalies pp. 355-382 Downloads
Ferhat Akbas, Will J. Armstrong, Sorin Sorescu and Avanidhar Subrahmanyam
Asymmetric decrease in liquidity trading before earnings announcements and the announcement return premium pp. 383-398 Downloads
Shai Levi and Xiao-Jun Zhang
Stocking up: Executive optimism, option exercise, and share retention pp. 399-430 Downloads
Rik Sen and Robert Tumarkin
The price of wine pp. 431-449 Downloads
Elroy Dimson, Peter Rousseau and Christophe Spaenjers

Volume 118, issue 1, 2015

Measuring skill in the mutual fund industry pp. 1-20 Downloads
Jonathan B. Berk and Jules van Binsbergen
Motivated monitors: The importance of institutional investors׳ portfolio weights pp. 21-48 Downloads
Eliezer M. Fich, Jarrad Harford and Anh Tran
Employee rights and acquisitions pp. 49-69 Downloads
Kose John, Anzhela Knyazeva and Diana Knyazeva
Dark trading and price discovery pp. 70-92 Downloads
Carole Comerton-Forde and Talis Putnins
Wealth transfers via equity transactions pp. 93-112 Downloads
Richard G. Sloan and Haifeng You
Tail risk premia and return predictability pp. 113-134 Downloads
Tim Bollerslev, Viktor Todorov and Lai Xu
Does realized skewness predict the cross-section of equity returns? pp. 135-167 Downloads
Diego Amaya, Peter Christoffersen, Kris Jacobs and Aurelio Vasquez
Government ownership and the cost of debt: Evidence from government investments in publicly traded firms pp. 168-191 Downloads
Ginka Borisova, Veljko Fotak, Kateryna Holland and William L. Megginson
Bank loans and troubled debt restructurings pp. 192-210 Downloads
Cem Demiroglu and Christopher James

Volume 117, issue 3, 2015

Banks as patient fixed-income investors pp. 449-469 Downloads
Samuel Hanson, Andrei Shleifer, Jeremy Stein and Robert W. Vishny
Incremental variables and the investment opportunity set pp. 470-488 Downloads
Eugene F. Fama and Kenneth French
Distilling the macroeconomic news flow pp. 489-507 Downloads
Alessandro Beber, Michael W. Brandt and Maurizio Luisi
The effect of institutional ownership on firm transparency and information production pp. 508-533 Downloads
Audra L. Boone and Joshua White
Financing bidders in takeover contests pp. 534-557 Downloads
Vladimir Vladimirov
The risk premia embedded in index options pp. 558-584 Downloads
Torben Andersen, Nicola Fusari and Viktor Todorov
Modeling financial contagion using mutually exciting jump processes pp. 585-606 Downloads
Yacine Ait-Sahalia, Julio Cacho-Diaz and Roger Laeven
A theory of LBO activity based on repeated debt-equity conflicts pp. 607-627 Downloads
Andrey Malenko and Nadya Malenko
Social interaction at work pp. 628-652 Downloads
Hans Hvide and Per Östberg
Social learning and corporate peer effects pp. 653-669 Downloads
Markku Kaustia and Ville Rantala

Volume 117, issue 2, 2015

Deflating profitability pp. 225-248 Downloads
Ray Ball, Joseph Gerakos, Juhani T. Linnainmaa and Valeri V. Nikolaev
Are institutions informed about news? pp. 249-287 Downloads
Terrence Hendershott, Dmitry Livdan and Norman Schürhoff
House prices, collateral, and self-employment pp. 288-306 Downloads
Manuel Adelino, Antoinette Schoar and Felipe Severino
The bonding hypothesis of takeover defenses: Evidence from IPO firms pp. 307-332 Downloads
William C. Johnson, Jonathan Karpoff and Sangho Yi
Value versus growth investing: Why do different investors have different styles? pp. 333-349 Downloads
Henrik Cronqvist, Stephan Siegel and Frank Yu
The illiquidity premium: International evidence pp. 350-368 Downloads
Yakov Amihud, Allaudeen Hameed, Wenjin Kang and Huiping Zhang
Good and bad uncertainty: Macroeconomic and financial market implications pp. 369-397 Downloads
Gill Segal, Ivan Shaliastovich and Amir Yaron
Signal or noise? Uncertainty and learning about whether other traders are informed pp. 398-423 Downloads
Snehal Banerjee and Brett Green
Costs and benefits of friendly boards during mergers and acquisitions pp. 424-447 Downloads
Breno Schmidt

Volume 117, issue 1, 2015

Executives' “off-the-job” behavior, corporate culture, and financial reporting risk pp. 5-28 Downloads
Robert Davidson, Aiyesha Dey and Abbie Smith
Should one hire a corrupt CEO in a corrupt country? pp. 29-42 Downloads
Maxim Mironov
Military CEOs pp. 43-59 Downloads
Efraim Benmelech and Carola Frydman
The value of corporate culture pp. 60-76 Downloads
Luigi Guiso, Paola Sapienza and Luigi Zingales
Female leadership and gender equity: Evidence from plant closure pp. 77-97 Downloads
Geoffrey Tate and Liu Yang
Suspect CEOs, unethical culture, and corporate misbehavior pp. 98-121 Downloads
Lee Biggerstaff, David C. Cicero and Andy Puckett
Importing corruption culture from overseas: Evidence from corporate tax evasion in the United States pp. 122-138 Downloads
Jason DeBacker, Bradley Heim and Anh Tran
Foreign corporations and the culture of transparency: Evidence from Russian administrative data pp. 139-164 Downloads
Serguey Braguinsky and Sergey Mityakov
Lost in translation? The effect of cultural values on mergers around the world pp. 165-189 Downloads
Kenneth Ahern, Daniele Daminelli and Cesare Fracassi
When firms talk, do investors listen? The role of trust in stock market reactions to corporate earnings announcements pp. 190-223 Downloads
Mikhail Pevzner, Fei Xie and Xiangang Xin
Page updated 2025-03-31