Review of Quantitative Finance and Accounting
1995 - 2025
Current editor(s): Cheng-Few Lee From Springer Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 61, issue 4, 2023
- Chairperson (CEO) facial structure and risky investments: evidence from Chinese acquisitions pp. 1177-1205

- Wen Shi, Xiaogang Bi, Agyenim Boateng and Shuai Yuan
- CEO marital status and corporate tax planning behavior pp. 1207-1242

- Ming-Hua Liu, Shaohua Tian and Yang Zhang
- Regulation and post-crisis pay disclosure strategies of banks pp. 1243-1275

- Sara De Masi, Kose John, Agnieszka Slomka-Golebiowska and Piotr Urbanek
- Former CEOs chairing the board: does it matter to corporate social and environmental investments? pp. 1277-1313

- Vu Quang Trinh, Aly Salama, Teng Li, Ou Lyu and Savvas Papagiannidis
- The effect of co-opted directors on real earnings management pp. 1315-1339

- Robin Chen, Hongrui Feng, Xuechen Gao and Shenru Li
- The transfer of risk taking along the supply chain pp. 1341-1378

- Manh Cuong Nguyen, Viet Dang and Tri Tri Nguyen
- The impact of shareholder litigation risk on income smoothing pp. 1379-1413

- Yiwei Li, Wei Song, Tingyu Sun and Qingjing Zhang
- Policy uncertainty and real activities manipulation: evidence from Brexit pp. 1415-1440

- Naser Makarem, Harjinder Singh, Nigar Sultana and Darren Henderson
- Ex-ante determinants to delist or not delist targets after an M&A pp. 1441-1478

- Hubert Bruslerie and Jérôme Caby
- From boots to suits: do military directors protect shareholders’ wealth? pp. 1479-1511

- Tasawar Nawaz, Roszaini Haniffa and Mohammad Hudaib
- A new PIN model with application of the change-point detection method pp. 1513-1528

- Chu-Lan Michael Kao and Emily Lin
- Generalized dividend behavior model and dividend smoothing: theory and empirical evidence pp. 1529-1561

- Cheng-few Lee and James Juichia Lin
Volume 61, issue 3, 2023
- Do analysts’ target prices stabilize the stock market? pp. 763-816

- Markus Buxbaum, Wolfgang Schultze and Samuel L. Tiras
- Industry co-agglomeration, executive mobility and compensation pp. 817-854

- Markus Broman, Debarshi Nandy and Yisong S. Tian
- A nonlinear inversion procedure for modeling the effects of economic factors on credit risk migration pp. 855-878

- Jeffrey Stokes
- Another look at the dividend-price relationship in the accounting valuation framework pp. 879-925

- Kathryn E. Easterday and Pradyot K. Sen
- Political uncertainty and corporate working capital in China pp. 927-966

- Wei Yu, Jianjun Jia and Ying Zheng
- Attaining stochastic optimal control over debt ratios in U.S. markets pp. 967-993

- Wei-han Liu
- Customer concentration and target price accuracy pp. 995-1028

- Mu-Shu Yun, Lee-Young Cheng and Yan Zhao
- The implied cost of capital: accounting for growth pp. 1029-1056

- Stephen Penman, Julie Zhu and Haofei Wang
- Do lottery characteristics matter for analysts’ forecast behavior? pp. 1057-1091

- Mei-Chen Lin and J. Jimmy Yang
- Correcting estimation bias in regime switching dynamic term structure models pp. 1093-1127

- Sungjun Cho and Liu Liu
- Dynamic interactions of actual stock returns with forecasted stock returns and investors’ risk aversion: empirical evidence interplaying the impact of Covid-19 pandemic pp. 1129-1149

- Adnan Abo Al Haija and Rahma Lahyani
- The influences of information demand and supply on stock price synchronicity pp. 1151-1176

- Yu-Fen Chen, Cheng-Few Lee and Fu-Lai Lin
Volume 61, issue 2, 2023
- The dynamics of leverage of newly controlled target firms: evidence after an acquisition pp. 411-445

- Hubert Bruslerie and Luminita Enache
- U.S. REIT banking relationships and syndicated loan pricing pp. 447-479

- Yang-pin Shen, Chou-Yen Wu and Chiuling Lu
- The role of earnings management via real activities and accrual management in PIPEs pp. 481-500

- Katherine Gunny and Troy Pollard
- The impact of organizational culture on bank stability pp. 501-533

- Hiep Ngoc Luu, Lan Thi Mai Nguyen, Kieu Trang Vu and Loan Quynh Thi Nguyen
- The effect of book-tax conformity on the information environment: from the analyst perspective pp. 535-565

- Audrey Hsu and Sophia Liu
- Do credit default swaps impact lenders’ monitoring of loans? pp. 567-600

- Naceur Essaddam, Miran Hossain and Tashfeen Hussain
- Bank failure prediction: corporate governance and financial indicators pp. 601-631

- Noora Alzayed, Rasol Eskandari and Hassan Yazdifar
- Can volume be more informative than prices? Evidence from Chinese housing markets pp. 633-672

- Jian Yang, Meng Tong and Ziliang Yu
- Does options trading deter real activities manipulation? pp. 673-699

- Mahmoud Delshadi, Mahmoud Hosseinniakani and Zabihollah Rezaee
- Does CDS market price intangible asset value? Evidence from SG&A expenditure pp. 701-728

- Rong Huang, Xintian Lin and Yuan Xie
- Optimal investment for defined-contribution pension plans under money illusion pp. 729-753

- Pengyu Wei and Charles Yang
- Recap of the 2022 annual conference on financial economics and accounting, November 4–5, 2022 pp. 755-762

- Cheng Few Lee, Siva Nathan and Vikas Agarwal
Volume 61, issue 1, 2023
- Fundamentals, real-time uncertainty and CDS index spreads pp. 1-33

- Alena Audzeyeva and Xu Wang
- The impact of clawback provisions on executive cash compensation pp. 35-62

- Hanni Liu, Harrison Liu and Jennifer Yin
- Board diversity and corporate innovation pp. 63-123

- I-Ju Chen, Wei Chih Lin, Huai-Chun Lo and Sheng-Syan Chen
- Nowcasting bitcoin’s crash risk with order imbalance pp. 125-154

- Dimitrios Koutmos and Wang Chun Wei
- Auctions of failed banks: an analysis of losing bidders pp. 155-176

- Tim M. Zhou
- An impact investment strategy pp. 177-211

- Kumari Juddoo, Issam Malki, Sudha Mathew and Sheeja Sivaprasad
- Whose trades contribute more to price discovery? Evidence from the Taiwan stock exchange pp. 213-263

- Donald Lien and Pi-Hsia Hung
- Hedging performance of volatility index futures: a partial cointegration approach pp. 265-294

- Hsiu-Chuan Lee, Donald Lien and Her-Jiun Sheu
- Robust risk choice under high-water mark contract pp. 295-322

- Congming Mu, Jingzhou Yan and Jinqiang Yang
- A comparison of multi-factor term structure models for interbank rates pp. 323-356

- Frank J. Fabozzi, Francesco A. Fabozzi and Diana Tunaru
- Creditor control rights and borrower protection: the role of borrower consent clause in private debt contracts pp. 357-394

- Saiying Deng and Yutao Li
- Intraday algorithmic trading strategies for cryptocurrencies pp. 395-409

- Gil Cohen
Volume 60, issue 4, 2023
- Corporate communication and shareholder base retention: evidence from spin-offs pp. 1283-1327

- Ryan P. McDonough
- Mutual funds and stock fundamentals pp. 1329-1361

- Qiyuan Peng, Sheri Tice and Ling Zhou
- Board overconfidence and M&A performance: evidence from the UK pp. 1363-1391

- Sanjukta Brahma, Agyenim Boateng and Sardar Ahmad
- Corporate social responsibility and annual report reading difficulty pp. 1393-1428

- Akhilesh Bajaj, Lori N. K. Leonard, Li Sun and Zhenze Xing
- Common institutional ownership and mergers and acquisitions outcomes pp. 1429-1449

- Fan Xia
- The impact of ESG risks on corporate value pp. 1451-1468

- Gil Cohen
- When in Rome, do as the Romans do: loan syndication in a state-dominated market pp. 1469-1494

- Luqiao Zhang, Biao Mi, Yun Shen and Liang Han
- Open-market stock repurchases, insider trading, and price informativeness pp. 1495-1513

- Gow-Cheng Huang, Kartono Liano and Ming-Shiun Pan
- Fundamental strength and the 52-week high anchoring effect pp. 1515-1542

- Zhaobo Zhu, Licheng Sun and Min Chen
- Asymmetric dynamic risk transmission between financial stress and monetary policy uncertainty: thinking in the post-covid-19 world pp. 1543-1567

- Chao Liang, Yanran Hong, Luu Duc Toan Huynh and Feng Ma
- Does corporate social responsibility affect leverage adjustments? pp. 1569-1604

- Trung Do, Henry Hongren Huang and Te-Chien Lo
- Advertising, product market competition and stock returns pp. 1605-1628

- Huong Le, Andros Gregoriou and Tung Nguyen
- Underpricing of corporate and independent venture capital-backed IPOs: Do they differ? pp. 1629-1650

- Fatima Shuwaikh, Emmanuelle Dubocage and Dennis Murer
Volume 60, issue 3, 2023
- Dividend policy, systematic liquidity risk, and the cost of equity capital pp. 839-876

- Khelifa Mazouz, Yuliang Wu, Rabab Ebrahim and Abhijit Sharma
- Same same but different: how preferential claims trigger valuation discounts in equity tranches of VC-backed firms pp. 877-914

- Julian Kaboth, Arnd Lodowicks, Maximilian Schreiter and Bernhard Schwetzler
- Does religiosity improve analyst forecast accuracy? pp. 915-948

- Zuobao Wei and Yicheng Zhu
- Bank CEO risk-taking incentives and bank lending quality pp. 949-981

- Rui-Xiang Zhai, Po-Hsin Ho, Chih-Yung Lin and Tran Thi Thuy Linh
- The relationship between religiosity and voluntary disclosure quality: a cross-country evidence from the banking sector pp. 983-1023

- Rami Salem, Ernest Ezeani and Xi Song
- CEO power and CSR-linked compensation for corporate environmental responsibility: UK evidence pp. 1025-1063

- Habiba Al-Shaer, Khaldoon Albitar and Jia Liu
- Mean reverting in stock ratings distribution pp. 1065-1097

- Huai-Chun Lo and Chia-Ying Chan
- Trade credit and firm investments: empirical evidence from Italian cooperative banks pp. 1099-1141

- Stefano Filomeni, Michele Modina and Elena Tabacco
- Option implied riskiness and risk-taking incentives of executive compensation pp. 1143-1160

- Chia-Chi Lu, Carl Hsin-han Shen, Pai-Ta Shih and Wei‐Che Tsai
- Female CFOs and managerial opportunism pp. 1161-1207

- Dina El Mahdy and Fatima Alali
- Trade-time clustering pp. 1209-1242

- Jeffrey R. Black, Pankaj K. Jain and Wei Sun
- What underlies key audit matters? Evidence from Taiwan pp. 1243-1258

- Shao-Huai Liang, Yu-Ting Hsieh, Hsuan-Chu Lin and Hui-Yu Hsiao
- CDS and equity markets’ volatility linkages: lessons from the EMU crisis pp. 1259-1281

- Theodoros Bratis, Nikiforos Laopodis and Georgios Kouretas
Volume 60, issue 2, 2023
- Air pollution and innovation-evidence from quasi-natural experiment of China’s Huai River policy pp. 425-443

- Zhuo Qiao, Zhaohua Li and Yanzhi Wang
- Can credit default swaps exert an enduring monitoring influence on political integrity? pp. 445-469

- Hsien-Yi Chen and Sheng-Syan Chen
- Impact of information disclosure ratings on investment efficiency: evidence from China pp. 471-500

- Chang-Chih Chen, Kung-Cheng Ho, Hui-Min Li and Min-Teh Yu
- Consumption with earnings, liquidity, and market based models pp. 501-530

- Robert Snigaroff and David Wroblewski
- A dark side to options trading? Evidence from corporate default risk pp. 531-564

- Haoyi Yang and Shikong Luo
- The effect of customer concentration on stock sentiment risk pp. 565-606

- Jian Wang, Yanhuang Huang, Hongrui Feng and Jun Yang
- Auditor industry specialization and real earnings management pp. 607-641

- Audrey Wen-Hsin Hsu and Chih-Hsien Liao
- Information environment and interfirm alliance pp. 643-677

- Feng Gao and Rong Zhong
- Do managers' professional connections benefit their firms in mergers and acquisitions: Chinese evidence pp. 679-713

- Jingbo Luo and Weimin Wang
- Risk factors in stock returns of U.S. oil and gas companies: evidence from quantile regression analysis pp. 715-746

- Sunil K. Mohanty, Stein Frydenberg, Petter Osmundsen, Sjur Westgaard and Christian Skjøld
- Who cares about corporate fraud? Evidence from cross-border mergers and acquisitions of Chinese companies pp. 747-789

- Chao Fu, Xiuyuan Deng and Hongfei Tang
- The disciplinary effect of taxpayer balloting on public spending: some empirical evidence pp. 791-819

- Yaw M. Mensah, Michael P. Schoderbek, Min Cao and Savita A. Sahay
- Monetary sterilization response to the movements in exchange rates and official net foreign assets: a case of China pp. 821-838

- Ying Wu
Volume 60, issue 1, 2023
- Investor sentiment and bitcoin prices pp. 1-29

- Dimitrios Koutmos
- What do we know about the stock markets’ reaction to regulatory announcements regarding financial institutions? Evidence from UK financial institutions pp. 31-67

- Stephen Kawas and Everton Dockery
- The informational role of audit partner industry specialization pp. 69-109

- Yi-Hsing Liao, Hua Lee and Chao-Jung Chen
- Can trade credit rejuvenate Islamic banking? pp. 111-146

- Wahyu Jatmiko, M. Shahid Ebrahim, Abdullah Iqbal and Rafal M. Wojakowski
- How do insider trading incentives shape nonfinancial disclosures? Evidence from product and business expansion disclosures pp. 147-194

- Guanming He
- Enhancing stock market anomalies with machine learning pp. 195-230

- Vitor Azevedo and Christopher Hoegner
- Evidence that financing decisions contribute to the zero-earnings discontinuity pp. 231-257

- Naser Makarem, Frank Hong Liu and Lei Chen
- Do investors infer future cash flow volatility based on liquidity? pp. 259-294

- Ben Angelo and Mitchell Johnston
- Firm-level political risk and corporate tax avoidance pp. 295-327

- Mahmud Hossain, Gerald J. Lobo and Santanu Mitra
- The COVID-19 pandemic and firm value: the mediating effect of FinTech applications pp. 329-344

- Ya-Chih Yang, Wu-Po Liu and Kung-Hong Shih
- The impact of sovereign defaults on lending countries pp. 345-374

- Si Guo and Yun Pei
- Competitive threat and strategic disclosure during the IPO quiet period pp. 375-416

- Yetaotao Qiu, Michel Magnan and Shafu Zhang
- Recap of the 31st Annual Conference on Financial Economics and Accounting, November 5-6, 2021 pp. 417-423

- Cheng-Few Lee
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