Review of Finance
1997 - 2025
Continuation of Review of Finance. Current editor(s): Marcin Kacperczyk 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 (). Access Statistics for this journal.
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Volume 12, issue 4, 2008
- Estimating the Costs of International Equity Investments pp. 587-634

- Piet Sercu and Rosanne Vanpée
- A Dynamic Analysis of Growth via Acquisition pp. 635-671

- Worawat Margsiri, Antonio S. Mello and Martin E. Ruckes
- The Optimality of Uniform Pricing in IPOs: An Optimal Auction Approach pp. 673-700

- Moez Bennouri and Sonia Falconieri
- Which Investors Leave Money on the Table? Evidence from Rights Issues pp. 701-733

- Elias Rantapuska and Samuli Knüpfer
- Should Insider Trading be Prohibited when Share Repurchases are Allowed? pp. 735-765

- Andrea M. Buffa and Giovanna Nicodano
Volume 12, issue 3, 2008
- Editorial Statistics pp. iii-iii

- Marco Pagano and Josef Zechner
- Equity Portfolio Diversification pp. 433-463

- William Goetzmann and Alok Kumar
- Are Economists More Likely to Hold Stocks? pp. 465-496

- Charlotte Christiansen, Juanna Joensen and Jesper Rangvid
- Informed Traders as Liquidity Providers: Anonymity, Liquidity and Price Formation pp. 497-532

- Barbara Rindi
- Suppressed Negative Information and Future Underperformance pp. 533-565

- Anna Scherbina
- Priming the Risk Attitudes of Professionals in Financial Decision Making pp. 567-586

- Dalia Gilad and Doron Kliger
Volume 12, issue 2, 2008
- Editorial Statistics pp. iii-iii

- Marco Pagano and Josef Zechner
- Short-Run Pain, Long-Run Gain: Financial Liberalization and Stock Market Cycles pp. 253-292

- Graciela Kaminsky and Sergio Schmukler
- Cross-listing and Firm Growth pp. 293-322

- Inder K. Khurana, Xiumin Martin and Raynolde Periera
- An Examination of Heterogeneous Beliefs with a Short-Sale Constraint in a Dynamic Economy pp. 323-364

- Michael Gallmeyer and Burton Hollifield
- Understanding Common Factors in Domestic and International Bond Spreads pp. 365-389

- Rodolfo Martell
- What Caused the Bank Capital Build-up of the 1990s? pp. 391-429

- Mark Flannery and Kasturi P. Rangan
Volume 12, issue 1, 2008
- Editorial Statistics pp. iii-iii

- Marco Pagano and Josef Zechner
- Special issue on corporate governance pp. v-vii

- Franklin Allen, Colin Mayer, Marco Pagano and Josef Zechner
- One Share - One Vote: the Theory pp. 1-49

- Mike Burkart and Samuel Lee
- One Share-One Vote: The Empirical Evidence pp. 51-91

- Renee Adams and Daniel Ferreira
- Board Structures Around the World: an Experimental Investigation pp. 93-140

- Ann B. Gillette, Thomas Noe and Michael J. Rebello
- Executive pay and shareholder litigation pp. 141-184

- Lin Peng and Ailsa Röell
- Institutional Investors and Private Equity pp. 185-219

- Kasper Meisner Nielsen
- Czech Mate: Expropriation and Investor Protection in a Converging World pp. 221-251

- Mihir A. Desai and Alberto Moel
Volume 11, issue 4, 2007
- Editorial Statistics pp. iii-iii

- Marco Pagano and Josef Zechner
- An Empirical Portfolio Perspective on Option Pricing Anomalies pp. 561-603

- Joost Driessen and Pascal Maenhout
- Fund Liquidation, Self-selection, and Look-ahead Bias in the Hedge Fund Industry pp. 605-632

- Jenke ter Horst and Marno Verbeek
- Time Variation in Mutual Fund Style Exposures pp. 633-661

- Jan Annaert and Geert Van Campenhout
- Hide-and-Seek in the Market: Placing and Detecting Hidden Orders pp. 663-692

- Rudy De Winne and Catherine D'hondt
- Secret Reservation Prices in Bookbuilding pp. 693-718

- Neil Brisley and Walid Y. Busaba
Volume 11, issue 3, 2007
- Editorial Statistics pp. iii-iii

- Marco Pagano and Josef Zechner
- Improved Forecasting of Mutual Fund Alphas and Betas pp. 359-400

- Harry Mamaysky, Matthew Spiegel and Hong Zhang
- A Dynamic Model of Optimal Capital Structure pp. 401-451

- Sheridan Titman and Sergey Tsyplakov
- The Positive Effects of Biased Self-Perceptions in Firms pp. 453-496

- Simon Gervais and Itay Goldstein
- Liquidity and Arbitrage in Options Markets: A Survival Analysis Approach pp. 497-525

- Laurent Deville and Fabrice Riva
- Learning, Cascades, and Transaction Costs pp. 527-560

- Maria Romano
Volume 10, issue 4, 2006
- Government Debt, Reputation and Creditors’ Protections: The Tale of San Giorgio pp. 487-506

- Michele Fratianni
- Hope Springs Eternal – French Bondholders and the Soviet Repudiation (1915–1919) pp. 507-535

- Kim Oosterlinck and John Landon-Lane
- The Origins of the German Corporation - Finance, Ownership and Control pp. 537-585

- Julian Franks, Colin Mayer and Hannes Wagner
- Trading Costs in Early Securities Markets: The Case of the Berlin Stock Exchange 1880–1910 pp. 587-612

- Thomas Gehrig and Caroline Fohlin
- Integration of Trans-Atlantic Capital Markets, 1790-1845 pp. 613-644

- Richard Sylla, Jack Wilson and Robert Wright
- Large Investors, Price Manipulation, and Limits to Arbitrage: An Anatomy of Market Corners pp. 645-693

- Franklin Allen, Lubomir Litov and Jianping Mei
Volume 10, issue 3, 2006
- The Financial Accelerator: Evidence from International Housing Markets pp. 321-352

- Heitor Almeida, Murillo Campello and Crocker Liu
- Structuring the Initial Offering: Who to Sell To and How to Do It pp. 353-387

- Vojislav Maksimovic and Pegaret Pichler
- When Less (Potential Demand) Is More (Revenue): Asymmetric Bidding Capacities in Divisible Good Auctions pp. 389-416

- Orly Sade, Charles Schnitzlein and Jaime Zender
- Takeover Timing, Implementation Uncertainty, and Embedded Divestment Options pp. 417-441

- Luis Alvarez and Rune Stenbacka
- Nonlinearity in Deviations from Uncovered Interest Parity: An Explanation of the Forward Bias Puzzle pp. 443-482

- Lucio Sarno, Giorgio Valente and Hyginus Leon
Volume 10, issue 2, 2006
- Competition in Lending: Theory and Experiments pp. 189-219

- Elena Asparouhova
- Towards a General Theory of Good-Deal Bounds pp. 221-260

- Tomas Bjork and Irina Slinko
- British Investment Overseas 1870-1913: A Modern Portfolio Theory Approach pp. 261-300

- William Goetzmann and Andrey D. Ukhov
- Chinese Walls in German Banks pp. 301-320

- Alfred Lehar and Otto Randl
Volume 10, issue 1, 2006
- Preface pp. 1-1

- Franklin Allen and Marco Pagano
- The Real Effects of the Euro: Evidence from Corporate Investments pp. 1-37

- Arturo Bris, Yrjö Koskinen and Mattias Nilsson
- Informational Barriers to Entry into Credit Markets pp. 39-67

- Marcello Bofondi and Giorgio Gobbi
- Firm-Level Evidence on International Stock Market Comovement pp. 69-98

- Robin Brooks and Marco Del Negro
- The World of Cross-Listings and Cross-Listings of the World: Challenging Conventional Wisdom pp. 99-152

- G. Karolyi
- Internationalization and Stock Market Liquidity pp. 153-187

- Ross Levine and Sergio Schmukler
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