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Review of Finance

1997 - 2019

Continuation of Review of Finance.

Current editor(s): Josef ZechnerEditor-Name: Marco Pagano

From European Finance Association
Oxford University Press, Great Clarendon Street, Oxford OX2 6DP, UK.
Contact information at EDIRC.

Bibliographic data for series maintained by Oxford University Press ().

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Volume 2, issue 3, 1999

Capital Structure, Information Acquisition and Investment Decisions in an Industry Framework pp. 251-271 Downloads
Vojislav Maksimovic, Alex Stomper and Josef Zechner
Security Design, Insider Monitoring, and Financial Market Equilibrium pp. 273-302 Downloads
Hiroshi Osano
The Predictive Power of the French Market Volatility Index: A Multi Horizons Study pp. 303-320 Downloads
Franck Moraux, Patrick Navatte and Christophe Villa
A Model for Studying the Effect of EMU on European Yield Curves pp. 321-363 Downloads
Jesper Lund

Volume 2, issue 2, 1999

Learning about Risk: Some Lessons from Insurance pp. 113-124 Downloads
Hélyette Geman
Bank Capital Standards for Market Risk: A Welfare Analysis pp. 125-157 Downloads
David Marshall and Subu Venkataraman
Comment on ‘Bank Capital Standards for Market Risk: A Welfare Analysis’ pp. 159-160 Downloads
Pierre Mella-Barral
Non-Linear Value-at-Risk pp. 161-187 Downloads
Mark Britten-Jones and Stephen M. Schaefer
Comment on ‘Non-Linear Value-at-Risk’ pp. 189-193 Downloads
Zvi Wiener
Corporate Hedging: The Relevance of Contract Specifications and Banking Relationships pp. 195-223 Downloads
Ian A. Cooper and Antonio S. Mello
Comments on ‘Corporate Hedging: The Relevance of Contract Specifications and Banking Relationships’ pp. 225-228 Downloads
George Allayannis
Corporate Risk Management for Multinational Corporations: Financial and Operational Hedging Policies pp. 229-246 Downloads
Bhagwan Chowdhry and Jonathan T. B. Howe
Comment on ‘Corporate Risk Management for Multinational Corporations: Financial and Operational Hedging Policies’ pp. 247-249 Downloads
Harald Hau

Volume 2, issue 1, 1998

The Bankruptcy Decision and Debt Contract Renegotiations pp. 1-27 Downloads
Elazar Berkovitch and Ronen Israel
Front-Running by Mutual Fund Managers: A Mixed Bag pp. 29-56 Downloads
Jean-Pierre Danthine and Serge Moresi
Mutual Fund Performance: Evidence from the UK pp. 57-77 Downloads
David Blake and Allan Timmermann
The Variance Gamma Process and Option Pricing pp. 79-105 Downloads
Dilip B. Madan, Peter P. Carr and Eric C. Chang

Volume 1, issue 3, 1998

The Role of Learning in Dynamic Portfolio Decisions pp. 295-306 Downloads
M. J. Brennan
Periodic Information Asymmetry and Intraday Market Behaviour: An Empirical Analysis pp. 307-335 Downloads
Antonio Scalia
Intraday Lead-Lag Relationships Between the Futures-, Options and Stock Market pp. 337-359 Downloads
Frank De Jong and Monique W. M. Donders
Diversified Portfolios in Continuous Time pp. 361-387 Downloads
Tomas Björk and Bertil Näslund

Volume 1, issue 2, 1997

Monitoring, Implicit Contracting, and the Lack of Permanence of Leveraged Buyouts pp. 139-163 Downloads
Michel A. Habib
Comment on ‘Monitoring, Implicit Contracting, and the Lack of Permanence of Leveraged Buyouts’ pp. 165-168 Downloads
Josef Zechner
Matching Organizational Structure with Firm Attributes: A Study of Master Limited Partnerships pp. 169-191 Downloads
Conrad S. Ciccotello and Chris J. Muscarella
Comment on ‘Matching Organizational Structure with Firm Attributes: A study of Master Limited Partnerships’ pp. 193-196 Downloads
Claudio Loderer
Corporate Restructuring in Response to Performance Decline: Impact of Ownership, Governance and Lenders pp. 197-233 Downloads
Jim Lai and Sudi Sudarsanam
Comment on ‘Corporate Restructuring in Response to Performance Decline: Impact of Ownership, Governance and Lenders’ pp. 235-237 Downloads
Colin Mayer
Top Management Compensation and the Structure of the Board of Directors in Commercial Banks pp. 239-259 Downloads
Lazarus Angbazo and Ranga Narayanan
Comment on ‘Top Management Compensation and the Structure of the Board of Directors in Commercial Banks’ pp. 261-264 Downloads
Karin Thorburn
Determinants of Intercorporate Shareholdings pp. 265-287 Downloads
Øyvind Bøhren and Oyvind Norli
Comment on ‘Determinants of Intercorporate Shareholdings’ pp. 289-293 Downloads
B. Eckbo

Volume 1, issue 1, 1997

A Model of Contract Guarantees for Credit-Sensitive, Opaque Financial Intermediaries pp. 1-13 Downloads
Robert Merton
Is Mean-Variance Analysis Vacuous: Or was Beta Still Born? pp. 15-30 Downloads
Robert Jarrow and Dilip B. Madan
Warrants on the London Stock Exchange: Pricing Biases and Investor Confusion pp. 31-49 Downloads
Gordon Gemmill and Dylan Thomas
The Effect of Illegal Insider Trading on Takeover Premia pp. 51-80 Downloads
Lisa K. Meulbroek and Carolyn Hart
Two Closed-Form Formulas for the Futures Price in the Presence of a Quality Option pp. 81-104 Downloads
Avi Bick
The Dynamics of Short-Term Interest Rate Volatility Reconsidered pp. 105-130 Downloads
Kees G. Koedijk, François G. J. A. Nissen, Peter C. Schotman and Christian Wolff
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