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 77, issue 3, 2005
- Payout policy in the 21st century pp. 483-527

- Alon Brav, John R. Graham, Campbell Harvey and Roni Michaely
- What drives merger waves? pp. 529-560

- Jarrad Harford
- Valuation waves and merger activity: The empirical evidence pp. 561-603

- Matthew Rhodes-Kropf, David Robinson and S Viswanathan
- Determinants and implications of arbitrage holdings in acquisitions pp. 605-648

- Jim Hsieh and Ralph A. Walkling
- The dynamics of mergers and acquisitions pp. 649-672

- Erwan Morellec and Alexei Zhdanov
- Does it pay to be loyal? An empirical analysis of underwriting relationships and fees pp. 673-699

- Timothy R. Burch, Vikram Nanda and Vincent Warther
Volume 77, issue 2, 2005
- The dynamics of international equity market expectations pp. 257-288

- Michael Brennan, Huining Cao, Norman Strong and Xinzhong Xu
- Earnings expectations, investor trade size, and anomalous returns around earnings announcements pp. 289-319

- Robert H. Battalio and Richard R. Mendenhall
- Optimal toeholds in takeover contests pp. 321-346

- Eitan Goldman and Jun Qian
- Issuer surplus and the partial adjustment of IPO prices to public information pp. 347-373

- Roger M. Edelen and Gregory B. Kadlec
- Asset pricing with liquidity risk pp. 375-410

- Viral Acharya and Lasse Pedersen
- Liquidity of emerging markets pp. 411-452

- David A. Lesmond
- Politicians and banks: Political influences on government-owned banks in emerging markets pp. 453-479

- I. Serdar Dinc
Volume 77, issue 1, 2005
- Does financial liberalization spur growth? pp. 3-55

- Geert Bekaert, Campbell Harvey and Christian Lundblad
- Law, finance, and economic growth in China pp. 57-116

- Franklin Allen, Jun Qian and Meijun Qian
- Institutions, ownership, and finance: the determinants of profit reinvestment among Chinese firms pp. 117-146

- Robert Cull and Lixin Xu
- Market manipulation: A comprehensive study of stock pools pp. 147-170

- Guolin Jiang, Paul G. Mahoney and Jianping Mei
- Strategic trading behavior and price distortion in a manipulated market: anatomy of a squeeze pp. 171-218

- John Merrick, Narayan Y. Naik and Pradeep K. Yadav
- Do hedge funds have enough capital? A value-at-risk approach pp. 219-253

- Anurag Gupta and Bing Liang
Volume 76, issue 3, 2005
- Why stocks may disappoint pp. 471-508

- Andrew Ang, Geert Bekaert and Jun Liu
- There is a risk-return trade-off after all pp. 509-548

- Eric Ghysels, Pedro Santa-Clara and Rossen Valkanov
- Financing decisions: who issues stock? pp. 549-582

- Eugene Fama and Kenneth French
- Expected returns and expected dividend growth pp. 583-626

- Martin Lettau and Sydney Ludvigson
- Conflicts between principals and agents: evidence from residential brokerage pp. 627-665

- R.C. Rutherford, T.M. Springer and Abdullah Yavas
- Interactions of corporate financing and investment decisions: The effects of agency conflicts pp. 667-690

- Paul D. Childs, David C. Mauer and Steven H. Ott
Volume 76, issue 2, 2005
- Does function follow organizational form? Evidence from the lending practices of large and small banks pp. 237-269

- Allen Berger, Nathan H. Miller, Mitchell Petersen, Raghuram Rajan and Jeremy Stein
- Evidence on the speed of convergence to market efficiency pp. 271-292

- Tarun Chordia, Richard Roll and Avanidhar Subrahmanyam
- The economics of interest rates pp. 293-307

- Oldrich Alfons Vasicek
- Informational effects of regulation FD: evidence from rating agencies pp. 309-330

- Philippe Jorion, Zhu Liu and Charles Shi
- Management quality, certification, and initial public offerings pp. 331-368

- Thomas Chemmanur and Imants Paeglis
- Postprivatization corporate governance: The role of ownership structure and investor protection pp. 369-399

- Narjess Boubakri, Jean-Claude Cosset and Omrane Guedhami
- Professional trader discipline and trade disposition pp. 401-444

- Peter R. Locke and Steven Mann
- Exercise behavior, valuation, and the incentive effects of employee stock options pp. 445-470

- J. Carr Bettis, John M. Bizjak and Michael L. Lemmon
Volume 76, issue 1, 2005
- Do tender offers create value? New methods and evidence pp. 3-60

- Sanjai Bhagat, Ming Dong, David Hirshleifer and Robert Noah
- Industry structure and horizontal takeovers: Analysis of wealth effects on rivals, suppliers, and corporate customers pp. 61-98

- Husayn Shahrur
- Why do some firms give stock options to all employees?: An empirical examination of alternative theories pp. 99-133

- Paul Oyer and Scott Schaefer
- Shareholder investment horizons and the market for corporate control pp. 135-165

- Jose-Miguel Gaspar, Massimo Massa and Pedro Matos
- Let's make a deal! How shareholder control impacts merger payoffs pp. 167-190

- Thomas Moeller
- How much value can blockholders tunnel? Evidence from the Bulgarian mass privatization auctions pp. 191-234

- Vladimir Atanasov
Volume 75, issue 3, 2005
- Investment timing, agency, and information pp. 493-533

- Steven R. Grenadier and Neng Wang
- Financial intermediation as a beliefs-bridge between optimists and pessimists pp. 535-569

- Joshua D. Coval and Anjan Thakor
- Dealer behavior and trading systems in foreign exchange markets pp. 571-605

- Geir Bjønnes and Dagfinn Rime
- Short- and long-term demand curves for stocks: theory and evidence on the dynamics of arbitrage pp. 607-649

- Robin Greenwood
- Stock and bond market interaction: Does momentum spill over? pp. 651-690

- William R. Gebhardt, Soeren Hvidkjaer and Bhaskaran Swaminathan
- News spillovers in the sovereign debt market pp. 691-734

- Amar Gande and David Parsley
Volume 75, issue 2, 2005
- Information content of equity analyst reports pp. 245-282

- Paul Asquith, Michael B. Mikhail and Andrea S. Au
- Comovement pp. 283-317

- Nicholas Barberis, Andrei Shleifer and Jeffrey Wurgler
- Can foreign firms bond themselves effectively by renting U.S. securities laws? pp. 319-359

- Jordan Siegel
- The many facets of privately negotiated stock repurchases pp. 361-395

- Urs Peyer and Theo Vermaelen
- Pricing, exit, and location decisions of firms: Evidence on the role of debt and operating efficiency pp. 397-427

- Naveen Khanna and Sheri Tice
- Inflation risk premia and the expectations hypothesis pp. 429-490

- Andrea Buraschi and Alexei Jiltsov
Volume 75, issue 1, 2005
- The risk and return of venture capital pp. 3-52

- John Cochrane
- Accounting transparency and the term structure of credit spreads pp. 53-84

- Fan Yu
- The cross-section of expected corporate bond returns: Betas or characteristics? pp. 85-114

- William R. Gebhardt, Soeren Hvidkjaer and Bhaskaran Swaminathan
- The timing of initial public offerings pp. 115-132

- Simon Benninga, Mark Helmantel and Oded Sarig
- The effect of external finance on the equilibrium allocation of capital pp. 133-164

- Heitor Almeida and Daniel Wolfenzon
- The "make or take" decision in an electronic market: Evidence on the evolution of liquidity pp. 165-199

- Robert Bloomfield, Maureen O'Hara and Gideon Saar
- Integration, organizational processes, and allocation of resources pp. 201-242

- Oguzhan Ozbas
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