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 110, issue 3, 2013

Equity yields pp. 503-519 Downloads
Jules van Binsbergen, Wouter Hueskes, Ralph Koijen and Evert Vrugt
Political uncertainty and risk premia pp. 520-545 Downloads
Lubos Pastor and Pietro Veronesi
The U.S. left behind? Financial globalization and the rise of IPOs outside the U.S pp. 546-573 Downloads
Craig Doidge, G. Karolyi and René Stulz
Legislating stock prices pp. 574-595 Downloads
Lauren Cohen, Karl Diether and Christopher Malloy
Quiet bubbles pp. 596-606 Downloads
Harrison Hong and David Sraer
Contracting under asymmetric information: Evidence from lockup agreements in seasoned equity offerings pp. 607-626 Downloads
Jonathan Karpoff, Gemma Lee and Ronald Masulis
How do staggered boards affect shareholder value? Evidence from a natural experiment pp. 627-641 Downloads
Alma Cohen and Charles C.Y. Wang
Reputational contagion and optimal regulatory forbearance pp. 642-658 Downloads
Alan D. Morrison and Lucy White
The effects of firm-initiated clawback provisions on bank loan contracting pp. 659-679 Downloads
Lilian H. Chan, Kevin C.W. Chen and Tai-Yuan Chen
Boards, CEO entrenchment, and the cost of capital pp. 680-695 Downloads
James Dow
The economics of options-implied inflation probability density functions pp. 696-711 Downloads
Yuriy Kitsul and Jonathan Wright
Word power: A new approach for content analysis pp. 712-729 Downloads
Narasimhan Jegadeesh and Di Wu
General equilibrium pricing of currency and currency options pp. 730-751 Downloads
Du Du

Volume 110, issue 2, 2013

Access to capital, investment, and the financial crisis pp. 280-299 Downloads
Kathleen M. Kahle and René Stulz
The economics of hedge funds pp. 300-323 Downloads
Yingcong Lan, Neng Wang and Jinqiang Yang
The performance of corporate alliances: Evidence from oil and gas drilling in the Gulf of Mexico pp. 324-346 Downloads
John Beshears
Stock returns and the Miller Modigliani valuation formula: Revisiting the Fama French analysis pp. 347-357 Downloads
Gil Aharoni, Bruce Grundy and Qi Zeng
Liquidity risk of corporate bond returns: conditional approach pp. 358-386 Downloads
Viral Acharya, Yakov Amihud and Sreedhar T. Bharath
The value of local political connections in a low-corruption environment pp. 387-402 Downloads
Mario Amore and Morten Bennedsen
Investment cycles and startup innovation pp. 403-418 Downloads
Ramana Nanda and Matthew Rhodes-Kropf
Predicting market returns using aggregate implied cost of capital pp. 419-436 Downloads
Yan Li, David T. Ng and Bhaskaran Swaminathan
Mutual fund skill and the performance of corporate acquirers pp. 437-456 Downloads
Amrita Nain and Tong Yao
Do jumps contribute to the dynamics of the equity premium? pp. 457-477 Downloads
John Maheu, Thomas McCurdy and Xiaofei Zhao
Human capital, capital structure, and employee pay: An empirical analysis pp. 478-502 Downloads
Thomas Chemmanur, Yingmei Cheng and Tianming Zhang

Volume 110, issue 1, 2013

The role of the media in corporate governance: Do the media influence managers' capital allocation decisions? pp. 1-17 Downloads
Baixiao Liu and John J. McConnell
Does the director labor market offer ex post settling-up for CEOs? The case of acquisitions pp. 18-36 Downloads
Jarrad Harford and Robert J. Schonlau
Directors' and officers' liability insurance and loan spreads pp. 37-60 Downloads
Chen Lin, Micah S. Officer, Rui Wang and Hong Zou
Are small firms less vulnerable to overpriced stock offers? pp. 61-86 Downloads
Anand M. Vijh and Ke Yang
Corporate social responsibility and stakeholder value maximization: Evidence from mergers pp. 87-109 Downloads
Xin Deng, Jun-koo Kang and Buen Sin Low
Pricing the term structure with linear regressions pp. 110-138 Downloads
Tobias Adrian, Richard Crump and Emanuel Moench
Predictability of currency carry trades and asset pricing implications pp. 139-163 Downloads
Gurdip Bakshi and George Panayotov
Investment shocks and the commodity basis spread pp. 164-184 Downloads
Fan Yang
Supply uncertainty of the bond investor base and the leverage of the firm pp. 185-214 Downloads
Massimo Massa, Ayako Yasuda and Lei Zhang
Asset management and investment banking pp. 215-231 Downloads
Janis Berzins, Crocker H. Liu and Charles Trzcinka
Brand perception, cash flow stability, and financial policy pp. 232-253 Downloads
Yelena Larkin
Allocation of decision rights and the investment strategy of mutual funds pp. 254-277 Downloads
Nishant Dass, Vikram Nanda and Qinghai Wang

Volume 109, issue 3, 2013

The European Union, the Euro, and equity market integration pp. 583-603 Downloads
Geert Bekaert, Campbell Harvey, Christian Lundblad and Stephan Siegel
Why Gaussian macro-finance term structure models are (nearly) unconstrained factor-VARs pp. 604-622 Downloads
Scott Joslin, Anh Le and Kenneth Singleton
Determinants of corporate cash policy: Insights from private firms pp. 623-639 Downloads
Huasheng Gao, Jarrad Harford and Kai Li
The dividend month premium pp. 640-660 Downloads
Samuel M. Hartzmark and David H. Solomon
Controlling shareholders and market timing in share issuance pp. 661-681 Downloads
Borja Larrain and Francisco Urzúa I.
Externalities of public firm presence: Evidence from private firms' investment decisions pp. 682-706 Downloads
Brad Badertscher, Nemit Shroff and Hal D. White
The term structure of interbank risk pp. 707-733 Downloads
Damir Filipović and Anders B. Trolle
Exploring uncharted territories of the hedge fund Industry: Empirical characteristics of mega hedge fund firms pp. 734-758 Downloads
Daniel Edelman, William Fung and David A. Hsieh
Banking deregulation and innovation pp. 759-774 Downloads
Sudheer Chava, Alexander Oettl, Ajay Subramanian and Krishnamurthy Subramanian
Why does junior put all his eggs in one basket? A potential rational explanation for holding concentrated portfolios pp. 775-796 Downloads
Hervé Roche, Stathis Tompaidis and Chunyu Yang
Undisclosed orders and optimal submission strategies in a limit order market pp. 797-812 Downloads
Sabrina Buti and Barbara Rindi
Company name fluency, investor recognition, and firm value pp. 813-834 Downloads
T. Clifton Green and Russell Jame
Credit supply and corporate innovation pp. 835-855 Downloads
Mario Amore, Cédric Schneider and Alminas Zaldokas
The dark side of analyst coverage: The case of innovation pp. 856-878 Downloads
He, Jie (Jack) and Xuan Tian

Volume 109, issue 2, 2013

A production-based model for the term structure pp. 293-306 Downloads
Urban Jermann
IPO first-day returns, offer price revisions, volatility, and form S-1 language pp. 307-326 Downloads
Tim Loughran and Bill McDonald
The relation between equity incentives and misreporting: The role of risk-taking incentives pp. 327-350 Downloads
Christopher S. Armstrong, David F. Larcker, Gaizka Ormazabal and Daniel J. Taylor
CEO turnover in a competitive assignment framework pp. 351-372 Downloads
Andrea Eisfeldt and Camelia Kuhnen
The timing of pay pp. 373-397 Downloads
Christopher A. Parsons and Edward D. Van Wesep
Monitoring and corporate disclosure: Evidence from a natural experiment pp. 398-418 Downloads
Rustom M. Irani and David Oesch
Does risk management matter? Evidence from the U.S. agricultural industry pp. 419-440 Downloads
Jess Cornaggia
Limits to arbitrage and hedging: Evidence from commodity markets pp. 441-465 Downloads
Viral Acharya, Lars A. Lochstoer and Tarun Ramadorai
Collateral and capital structure pp. 466-492 Downloads
Adriano Rampini and S Viswanathan
Can hedge funds time market liquidity? pp. 493-516 Downloads
Charles Cao, Yong Chen, Bing Liang and Andrew Lo
Corporate ownership structure and the choice between bank debt and public debt pp. 517-534 Downloads
Chen Lin, Yue Ma, Paul Malatesta and Yuhai Xuan
Feedback effects of credit ratings pp. 535-548 Downloads
Gustavo Manso
Do personal taxes affect capital structure? Evidence from the 2003 tax cut pp. 549-565 Downloads
Leming Lin and Mark Flannery
Trading frenzies and their impact on real investment pp. 566-582 Downloads
Itay Goldstein, Emre Ozdenoren and Kathy Yuan

Volume 109, issue 1, 2013

The mystery of zero-leverage firms pp. 1-23 Downloads
Ilya A. Strebulaev and Baozhong Yang
Acquisitions driven by stock overvaluation: Are they good deals? pp. 24-39 Downloads
Fangjian Fu, Leming Lin and Micah S. Officer
Market timing, investment, and risk management pp. 40-62 Downloads
Patrick Bolton, Hui Chen and Neng Wang
Are busy boards detrimental? pp. 63-82 Downloads
Laura Field, Michelle Lowry and Anahit Mkrtchyan
Firm characteristics and long-run stock returns after corporate events pp. 83-102 Downloads
Hendrik Bessembinder and Feng Zhang
Managerial attitudes and corporate actions pp. 103-121 Downloads
John R. Graham, Campbell Harvey and Manju Puri
The deep-pocket effect of internal capital markets pp. 122-145 Downloads
Xavier Boutin, Giacinta Cestone, Chiara Fumagalli, Giovanni Pica and Nicolas Serrano-Velarde
How does capital affect bank performance during financial crises? pp. 146-176 Downloads
Allen N. Berger and Christa Bouwman
Worldwide reach of short selling regulations pp. 177-197 Downloads
Archana Jain, Pankaj Jain, Thomas McInish and Michael McKenzie
Sharing information in the credit market: Contract-level evidence from U.S. firms pp. 198-223 Downloads
Antonio Doblas-Madrid and Raoul Minetti
The leverage effect puzzle: Disentangling sources of bias at high frequency pp. 224-249 Downloads
Yacine Ait-Sahalia, Jianqing Fan and Yingying Li
Productivity, restructuring, and the gains from takeovers pp. 250-271 Downloads
Xiaoyang Li
Firms as liquidity providers: Evidence from the 2007–2008 financial crisis pp. 272-291 Downloads
Emilia Garcia-Appendini and Judit Montoriol-Garriga
Page updated 2025-03-31