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The Quarterly Review of Economics and Finance

1993 - 2025

Current editor(s): R. J. Arnould and J. E. Finnerty

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

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Volume 60, issue C, 2016

The role of bank lending tightening on corporate bond issuance in the eurozone pp. 1-11 Downloads
Orcun Kaya and Lulu Wang
Risk-taking incentives through excess variable compensation: Evidence from European banks pp. 12-28 Downloads
André Uhde
Is euro area money demand for M3 still stable? pp. 29-39 Downloads
Alexander Jung
Export constraint and domestic fiscal reform: Lessons from 2011 subsidy reform in Iran pp. 40-57 Downloads
Firouz Gahvari and Seyed Mohammad Karimi
Banking performance and industry growth in an oil-rich economy: Evidence from Qatar pp. 58-69 Downloads
Ali Mirzaei and Tomoe Moore
Argentina's post-2001 economy and the 2014 default pp. 70-80 Downloads
Carolyn Thomas and Nicolas Cachanosky
Are costs of capital necessarily constant over time and across states of nature? pp. 81-85 Downloads
Daniela Lorenz, Lutz Kruschwitz and Andreas Löffler
Cost of capital and US investment: Does financing matter after all? pp. 86-93 Downloads
Banu Simmons-Süer
National bank window dressing and the call loan market, 1865–1872 pp. 94-102 Downloads
Christopher Hoag
Consumer welfare and the strategic choice of price cap and leverage ratio pp. 103-114 Downloads
Sudipto Sarkar
Do short-term international capital inflows drive China's asset markets? pp. 115-124 Downloads
Chieh-Hsuan Wang, Jen-Te Hwang and Chien-Ping Chung
Stock market efficiency in China: Evidence from the split-share reform pp. 125-137 Downloads
Andrea Beltratti, Bernardo Bortolotti and Marianna Caccavaio
Realized correlation analysis of contagion pp. 138-148 Downloads
Dimitrios I. Vortelinos
Does market microstructure matter for corporate finance? Theory and evidence on seasoned equity offering decisions pp. 149-161 Downloads
William Cheung, Scott Fung and Lewis Tam
How does divergence of opinions affect the relative trading activity and information content in option and stock prior to takeover announcement? pp. 162-171 Downloads
H.C. Huang and P.S. Tung
Impact of demographic change on stock prices pp. 172-179 Downloads
Shakil Quayes and Abul M.M. Jamal
Inflation forecasts extracted from nominal and real yield curves pp. 180-188 Downloads
Alois Geyer, Michael Hanke and Alex Weissensteiner
A portfolio insurance strategy for volatility index (VIX) futures pp. 189-200 Downloads
Young Cheol Jung
Asymmetry: Resurrecting the roots pp. 201-206 Downloads
Manuel Frondel, Christoph Schmidt and Colin Vance
Out of inequality and poverty: Evidence for the effectiveness of remittances in Sub-Saharan Africa pp. 207-223 Downloads
Eric Akobeng
Date stamping bubbles in Real Estate Investment Trusts pp. 224-230 Downloads
Diego Escobari and Mohammad Jafarinejad
On animal spirits and economic decisions: Value-at-Risk and Value-within-Reach as measures of risk and return pp. 231-233 Downloads
Domingo Castelo Joaquin

Volume 59, issue C, 2016

Exchange rate misalignment and export diversification in developing countries pp. 1-14 Downloads
Khalid Sekkat
Long-term economic growth under environmental pressure: An optimal path pp. 15-24 Downloads
Feng Dai, Pengpeng Li and Ling Liang
Economic growth, development of telecommunications infrastructure, and financial development in Asia, 1991–2012 pp. 25-38 Downloads
Rudra P. Pradhan, Mak Arvin and John H. Hall
Pure technology gaps and production predictability pp. 39-50 Downloads
Ziemowit Bednarek
Do socially (ir)responsible investments pay? New evidence from international ESG data pp. 51-62 Downloads
Benjamin R. Auer and Frank Schuhmacher
Sin stock returns and investor sentiment pp. 63-70 Downloads
Daniel Perez Liston
Home and foreign investor sentiment and the stock returns pp. 71-77 Downloads
Dorsaf Ben Aissia
(Country) Home bias in Italian occupational pension funds asset allocation choices pp. 78-82 Downloads
Andrea Lippi
The fair value option for liabilities and stock returns during the financial crisis pp. 83-98 Downloads
Robert Couch and Wei Wu
Incentive pay and acquirer returns – The impact of Sarbanes–Oxley pp. 99-111 Downloads
Marcin W. Krolikowski
Does style-shifting activity predict performance? Evidence from equity mutual funds pp. 112-130 Downloads
Ulf Herrmann, Martin Rohleder and Hendrik Scholz
Does analyst coverage constrain real earnings management? pp. 131-140 Downloads
Jerry Sun and Guoping Liu
Household risk taking after the financial crisis pp. 141-160 Downloads
Sarah Necker and Michael Ziegelmeyer
Intergenerational altruism and the transfer paradox in an overlapping generations model pp. 161-167 Downloads
Kojun Hamada and Mitsuyoshi Yanagihara
Is the January effect rational? Insights from the accounting valuation model pp. 168-185 Downloads
Kathryn E. Easterday and Pradyot K. Sen
Signaling, corporate governance, and the equilibrium dividend policy pp. 186-199 Downloads
Omar Esqueda
Trusting financial institutions: Out of reach, out of trust? pp. 200-214 Downloads
Ute Filipiak
Stock options: From backdating to spring loading pp. 215-221 Downloads
Giuliano Bianchi
Forecasting stock market volatility using Realized GARCH model: International evidence pp. 222-230 Downloads
Prateek Sharma and Vipul,
U.S. stock markets and the role of real interest rates pp. 231-242 Downloads
Wanling Huang, Andre Mollick and Khoa Huu Nguyen

Volume 58, issue C, 2015

Playing the lottery or dressing up? A model of firm-level heterogeneity and the decision to export pp. 1-17 Downloads
Wim Naudé, Thomas Gries and Natasa Bilkic
How interdependent are Eastern European economies and the Euro area? pp. 18-31 Downloads
Catherine Keppel and Klaus Prettner
Determinants of the governance quality of microfinance institutions pp. 32-43 Downloads
Hubert Tchakoute Tchuigoua
Discrimination by microcredit officers: Theory and evidence on disability in Uganda pp. 44-55 Downloads
Marc Labie, Pierre-Guillaume Méon, Roy Mersland and Ariane Szafarz
The evolution of the weekend effect in US markets pp. 56-63 Downloads
Dennis Olson, Charles Mossman and Nan-Ting Chou
Islamic calendar anomalies: Evidence from Pakistani firm-level data pp. 64-73 Downloads
Anwar Halari, Nongnuch Tantisantiwong, David. M. Power and Christine Helliar
Do IPOs matter for price limits? Evidence from Taiwan pp. 74-83 Downloads
Yensen Ni and Paoyu Huang
Demographic transition and economic welfare: The role of in-cash and in-kind transfers pp. 84-92 Downloads
Stephen Miller and Kyriakos Neanidis
Long-term impact of merger synergies on performance and value pp. 93-118 Downloads
Yasser Alhenawi and Sudha Krishnaswami
Can a path-dependent strategy outperform a path-independent strategy? pp. 119-127 Downloads
Huai-I Lee, Tsung-Yu Hsieh, Wen-Hsiu Kuo and Hsinan Hsu
The linkage between aggregate investor sentiment and metal futures returns: A nonlinear approach pp. 128-142 Downloads
Yao Zheng
The performances of acquired firms in the steel industry: Do financial institutions cause bubbles? pp. 143-153 Downloads
Kwang-Sook Huh
Business cycle and financial cycle spillovers in the G7 countries pp. 154-162 Downloads
Nikolaos Antonakakis, Max Breitenlechner and Johann Scharler
Security design and capital structure of business groups pp. 163-179 Downloads
Alexandre Messa
Bank runs and self-insured bank deposits pp. 180-189 Downloads
Robert Jarrow and Liheng Xu
The influence of price limits on overreaction in emerging markets: Evidence from the Egyptian stock market pp. 190-199 Downloads
Hisham Farag
Trading behavior and stock returns in Japan pp. 200-212 Downloads
Weifeng Hung, Sheng-Tang Huang, Chia-Chi Lu and Nathan Liu
Alternative errors-in-variables models and their applications in finance research pp. 213-227 Downloads
Hong-Yi Chen, Alice C. Lee and Cheng-Few Lee
Page updated 2025-04-11