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Journal of Financial Economics

1974 - 2025

Current editor(s): G. William Schwert

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

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Volume 102, issue 3, 2011

Stock price fragility pp. 471-490 Downloads
Robin Greenwood and David Thesmar
The fragile capital structure of hedge funds and the limits to arbitrage pp. 491-506 Downloads
Xuewen Liu and Antonio S. Mello
Directors' and officers' liability insurance and acquisition outcomes pp. 507-525 Downloads
Chen Lin, Micah S. Officer and Hong Zou
Liquidity mergers pp. 526-558 Downloads
Heitor Almeida, Murillo Campello and Dirk Hackbarth
The role of securitization in mortgage renegotiation pp. 559-578 Downloads
Sumit Agarwal, Gene Amromin, Itzhak Ben-David, Souphala Chomsisengphet and Douglas Evanoff
Local underwriter oligopolies and IPO underpricing pp. 579-601 Downloads
Xiaoding Liu and Jay Ritter
Deviation from the target capital structure and acquisition choices pp. 602-620 Downloads
Vahap B. Uysal
Egalitarianism and international investment pp. 621-642 Downloads
Jordan I. Siegel, Amir N. Licht and Shalom Schwartz
The influence of governance on investment: Evidence from a hazard model pp. 643-670 Downloads
Matthew T. Billett, Jon A. Garfinkel and Yi Jiang
Religious beliefs, gambling attitudes, and financial market outcomes pp. 671-708 Downloads
Alok Kumar, Jeremy K. Page and Oliver G. Spalt

Volume 102, issue 2, 2011

Corporate bond default risk: A 150-year perspective pp. 233-250 Downloads
Kay Giesecke, Francis A. Longstaff, Stephen Schaefer and Ilya Strebulaev
Equity grants to target CEOs during deal negotiations pp. 251-271 Downloads
Shane Heitzman
CEO ownership, external governance, and risk-taking pp. 272-292 Downloads
E. Han Kim and Yao Lu
What determines stock option contract design? pp. 293-316 Downloads
Eva Liljeblom, Daniel Pasternack and Matts Rosenberg
Post-merger restructuring and the boundaries of the firm pp. 317-343 Downloads
Vojislav Maksimovic, Gordon Phillips and N.R. Prabhala
The price of liquidity: The effects of market conditions and bank characteristics pp. 344-362 Downloads
Falko Fecht, Kjell Nyborg and Jörg Rocholl
Conditional risk and performance evaluation: Volatility timing, overconditioning, and new estimates of momentum alphas pp. 363-389 Downloads
Oliver Boguth, Murray Carlson, Adlai Fisher and Mikhail Simutin
Adding and subtracting Black-Scholes: A new approach to approximating derivative prices in continuous-time models pp. 390-415 Downloads
Dennis Kristensen and Antonio Mele
Ownership structure and financial constraints: Evidence from a structural estimation pp. 416-431 Downloads
Chen Lin, Yue Ma and Yuhai Xuan
Growth LBOs pp. 432-453 Downloads
Quentin Boucly, David Sraer and David Thesmar
Corporate governance when founders are directors pp. 454-469 Downloads
Feng Li and Suraj Srinivasan

Volume 102, issue 1, 2011

Behavioral biases of mutual fund investors pp. 1-27 Downloads
Warren Bailey, Alok Kumar and David Ng
Payday lenders: Heroes or villains? pp. 28-44 Downloads
Adair Morse
Long-run risk in durable consumption pp. 45-61 Downloads
Wei Yang
Institutional investors and the limits of arbitrage pp. 62-80 Downloads
Jonathan Lewellen
Short-term termination without deterring long-term investment: A theory of debt and buyouts pp. 81-101 Downloads
Alex Edmans
Hedge fund leverage pp. 102-126 Downloads
Andrew Ang, Sergiy Gorovyy and Gregory B. van Inwegen
Limits-to-arbitrage, investment frictions, and the asset growth anomaly pp. 127-149 Downloads
F.Y. Eric C. Lam and K.C. John Wei
Creditor rights and corporate risk-taking pp. 150-166 Downloads
Viral Acharya, Yakov Amihud and Lubomir Litov
Tracking down distress risk pp. 167-182 Downloads
Nishad Kapadia
Corporate cash holdings and CEO compensation incentives pp. 183-198 Downloads
Yixin Liu and David C. Mauer
The CEO pay slice pp. 199-221 Downloads
Lucian A. Bebchuk, K.J. Martijn Cremers and Urs Peyer
Structural breaks, parameter uncertainty, and term structure puzzles pp. 222-232 Downloads
George Bulkley and Paolo Giordani

Volume 101, issue 3, 2011

How did increased competition affect credit ratings? pp. 493-514 Downloads
Bo Becker and Todd Milbourn
The role of risk management in mergers and merger waves pp. 515-532 Downloads
Jon A. Garfinkel and Kristine Hankins
Does geography matter? Firm location and corporate payout policy pp. 533-551 Downloads
Kose John, Anzhela Knyazeva and Diana Knyazeva
Explaining asset pricing puzzles associated with the 1987 market crash pp. 552-573 Downloads
Luca Benzoni, Pierre Collin-Dufresne and Robert S. Goldstein
Performance maximization of actively managed funds pp. 574-595 Downloads
Paolo Guasoni, Gur Huberman and Zhenyu Wang
Regulatory pressure and fire sales in the corporate bond market pp. 596-620 Downloads
Andrew Ellul, Chotibhak Jotikasthira and Christian Lundblad
Does the stock market fully value intangibles? Employee satisfaction and equity prices pp. 621-640 Downloads
Alex Edmans
Do small shareholders count? pp. 641-665 Downloads
Eugene Kandel, Massimo Massa and Andrei Simonov
Corporate financing decisions, managerial market timing, and real investment pp. 666-683 Downloads
Alexander Butler, Jess Cornaggia, Gustavo Grullon and James P. Weston
Information asymmetry and self-selection bias in bank loan announcement studies pp. 684-694 Downloads
Pankaj K. Maskara and Donald J. Mullineaux
CEO optimism and forced turnover pp. 695-712 Downloads
T. Colin Campbell, Michael Gallmeyer, Shane Johnson, Jessica Rutherford and Brooke W. Stanley
CFOs versus CEOs: Equity incentives and crashes pp. 713-730 Downloads
Jeong-Bon Kim, Yinghua Li and Liandong Zhang

Volume 101, issue 2, 2011

Recent trends in trading activity and market quality pp. 243-263 Downloads
Tarun Chordia, Richard Roll and Avanidhar Subrahmanyam
Equilibrium prices in the presence of delegated portfolio management pp. 264-296 Downloads
Domenico Cuoco and Ron Kaniel
Liquidity risk management and credit supply in the financial crisis pp. 297-312 Downloads
Marcia Millon Cornett, Jamie John McNutt, Philip E. Strahan and Hassan Tehranian
Time-varying rare disaster risk and stock returns pp. 313-332 Downloads
Henk Berkman, Ben Jacobsen and John B. Lee
Labor income dynamics at business-cycle frequencies: Implications for portfolio choice pp. 333-359 Downloads
Anthony W. Lynch and Sinan Tan
Friends or foes? Target selection decisions of sovereign wealth funds and their consequences pp. 360-381 Downloads
Jason Kotter and Ugur Lel
IPO waves, product market competition, and the going public decision: Theory and evidence pp. 382-412 Downloads
Thomas Chemmanur and Jie He
Stock option grants to target CEOs during private merger negotiations pp. 413-430 Downloads
Eliezer M. Fich, Jie Cai and Anh Tran
The market reaction to corporate governance regulation pp. 431-448 Downloads
David F. Larcker, Gaizka Ormazabal and Daniel J. Taylor
Financial literacy and stock market participation pp. 449-472 Downloads
Maarten van Rooij, Annamaria Lusardi and Rob Alessie
The value of a flow-through entity in an integrated corporate tax system pp. 473-491 Downloads
Alexander Edwards and Terry Shevlin

Volume 101, issue 1, 2011

Information spillovers and performance persistence for hedge funds pp. 1-17 Downloads
Vincent Glode and Richard Green
The effect of regulation on optimal corporate pension risk pp. 18-35 Downloads
David Love, Paul A. Smith and David Wilcox
Do hedge funds' exposures to risk factors predict their future returns? pp. 36-68 Downloads
Turan G. Bali, Stephen Brown and Mustafa Onur Caglayan
Accelerated share repurchases pp. 69-89 Downloads
Leonce Bargeron, Manoj Kulchania and Shawn Thomas
The term structures of equity and interest rates pp. 90-113 Downloads
Martin Lettau and Jessica Wachter
Information aggregation around macroeconomic announcements: Revisions matter pp. 114-131 Downloads
Thomas Gilbert
The causes and consequences of venture capital stage financing pp. 132-159 Downloads
Xuan Tian
The costs of intense board monitoring pp. 160-181 Downloads
Olubunmi Faleye, Rani Hoitash and Udi Hoitash
Real investment and risk dynamics pp. 182-205 Downloads
Ilan Cooper and Richard Priestley
Missing the marks? Dispersion in corporate bond valuations across mutual funds pp. 206-226 Downloads
Gjergji Cici, Scott Gibson and John J. Merrick
International diversification with frontier markets pp. 227-242 Downloads
Dave Berger, Kuntara Pukthuanthong and J. Jimmy Yang
Page updated 2025-03-31