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.
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Volume 114, issue 3, 2014
- Price pressures pp. 405-423

- Terrence Hendershott and Albert Menkveld
- Refinancing, profitability, and capital structure pp. 424-443

- Andras Danis, Daniel A. Rettl and Toni Whited
- Preemptive bidding, target resistance, and takeover premiums pp. 444-470

- Theodosios Dimopoulos and Stefano Sacchetto
- CEO deal-making activities and compensation pp. 471-492

- Eliezer M. Fich, Laura T. Starks and Adam S. Yore
- Fails-to-deliver, short selling, and market quality pp. 493-516

- Veljko Fotak, Vikas Raman and Pradeep K. Yadav
- Forecasting stock returns under economic constraints pp. 517-553

- Davide Pettenuzzo, Allan Timmermann and Rossen Valkanov
- The euro and corporate financing before the crisis pp. 554-575

- Arturo Bris, Yrjö Koskinen and Mattias Nilsson
- Fact or friction: Jumps at ultra high frequency pp. 576-599

- Kim Christensen, Roel C.A. Oomen and Mark Podolskij
- Advancing the universality of quadrature methods to any underlying process for option pricing pp. 600-612

- Ding Chen, Hannu J. Härkönen and David P. Newton
- The long of it: Odds that investor sentiment spuriously predicts anomaly returns pp. 613-619

- Robert Stambaugh, Jianfeng Yu and Yu Yuan
Volume 114, issue 2, 2014
- Conditional risk premia in currency markets and other asset classes pp. 197-225

- Martin Lettau, Matteo Maggiori and Michael Weber
- Disagreement and asset prices pp. 226-238

- Bruce I. Carlin, Francis A. Longstaff and Kyle Matoba
- Access to management and the informativeness of analyst research pp. 239-255

- T. Clifton Green, Russell Jame, Stanimir Markov and Musa Subasi
- Corporate distress and lobbying: Evidence from the Stimulus Act pp. 256-272

- Manuel Adelino and I. Serdar Dinc
- Did bank distress stifle innovation during the Great Depression? pp. 273-292

- Ramana Nanda and Tom Nicholas
- Did going public impair Moody׳s credit ratings? pp. 293-315

- Simi Kedia, Shivaram Rajgopal and Xing Zhou
- Shareholder democracy in play: Career consequences of proxy contests pp. 316-340

- Vyacheslav Fos and Margarita Tsoutsoura
- Dispersion in beliefs among active mutual funds and the cross-section of stock returns pp. 341-365

- Hao Jiang and Zheng Sun
- CEO optimism and incentive compensation pp. 366-404

- Clemens A. Otto
Volume 114, issue 1, 2014
- Macroeconomic risk and hedge fund returns pp. 1-19

- Turan G. Bali, Stephen Brown and Mustafa O. Caglayan
- News-driven return reversals: Liquidity provision ahead of earnings announcements pp. 20-35

- Eric C. So and Sean Wang
- Price informativeness and stock return synchronicity: Evidence from the pricing of seasoned equity offerings pp. 36-53

- Kalok Chan and Yue-Cheong Chan
- The death of the deal: Are withdrawn acquisition deals informative of CEO quality? pp. 54-83

- Stacey Jacobsen
- On the systematic volatility of unpriced earnings pp. 84-104

- Timothy C. Johnson and Jaehoon Lee
- What do firms do when dividend tax rates change? An examination of alternative payout responses pp. 105-124

- Michelle Hanlon and Jeffrey Hoopes
- Financial expert CEOs: CEO׳s work experience and firm׳s financial policies pp. 125-154

- Claudia Custodio and Daniel Metzger
- The determinants of recovery rates in the US corporate bond market pp. 155-177

- Rainer Jankowitsch, Florian Nagler and Marti G. Subrahmanyam
- Does PIN affect equity prices around the world? pp. 178-195

- Sandy Lai, Lilian Ng and Bohui Zhang
Volume 113, issue 3, 2014
- Crash-neutral currency carry trades pp. 325-347

- Jakub W. Jurek
- Debt covenant renegotiations and creditor control rights pp. 348-367

- David J. Denis and Jing Wang
- The international transmission of bank capital requirements: Evidence from the UK pp. 368-382

- Shekhar Aiyar, Charles Calomiris, John Hooley, Yevgeniya Korniyenko and Tomasz Wieladek
- Do independent directors cause improvements in firm transparency? pp. 383-403

- Christopher S. Armstrong, John E. Core and Wayne R. Guay
- Distracted directors: Does board busyness hurt shareholder value? pp. 404-426

- Antonio Falato, Dalida Kadyrzhanova and Ugur Lel
- Monetary policy regimes: Implications for the yield curve and bond pricing pp. 427-454

- Kameliya Filipova, Francesco Audrino and Enrico De Giorgi
- Death and jackpot: Why do individual investors hold overpriced stocks? pp. 455-475

- Jennifer Conrad, Nishad Kapadia and Yuhang Xing
- Uncertainty, market structure, and liquidity pp. 476-499

- Kee H. Chung and Chairat Chuwonganant
- China׳s secondary privatization: Perspectives from the Split-Share Structure Reform pp. 500-518

- Li Liao, Bibo Liu and Hao Wang
Volume 113, issue 2, 2014
- Asset pricing: A tale of two days pp. 171-201

- Pavel Savor and Mungo Wilson
- Stock market returns and annuitization pp. 202-214

- Alessandro Previtero
- The genetics of investment biases pp. 215-234

- Henrik Cronqvist and Stephan Siegel
- Trading networks and liquidity provision pp. 235-251

- Ethan Cohen-Cole, Andrei Kirilenko and Eleonora Patacchini
- Tailspotting: Identifying and profiting from CEO vacation trips pp. 252-269

- David Yermack
- Mortgage convexity pp. 270-299

- Samuel Hanson
- Income hedging and portfolio decisions pp. 300-324

- Yosef Bonaparte, George M. Korniotis and Alok Kumar
Volume 113, issue 1, 2014
- Safer ratios, riskier portfolios: Banks׳ response to government aid pp. 1-28

- Ran Duchin and Denis Sosyura
- Predatory lending and the subprime crisis pp. 29-52

- Sumit Agarwal, Gene Amromin, Itzhak Ben-David, Souphala Chomsisengphet and Douglas Evanoff
- Winners in the spotlight: Media coverage of fund holdings as a driver of flows pp. 53-72

- David H. Solomon, Eugene Soltes and Denis Sosyura
- Comovement and investment banking networks pp. 73-89

- Gustavo Grullon, Shane Underwood and James P. Weston
- The Idealized Electoral College voting mechanism and shareholder power pp. 90-108

- Edward D. Van Wesep
- Beauty is in the eye of the beholder: The effect of corporate tax avoidance on the cost of bank loans pp. 109-130

- Iftekhar Hasan, Hoi, Chun Keung (Stan), Qiang Wu and Hao Zhang
- Performance evaluation with high moments and disaster risk pp. 131-155

- Ohad Kadan and Fang Liu
- A dynamic limit order market with fast and slow traders pp. 156-169

- Peter Hoffmann
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