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Journal of Economics and Finance

1997 - 2018

Current editor(s): James Payne

From:
Springer
Academy of Economics and Finance
Contact information at EDIRC.

Series data maintained by Sonal Shukla ().

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Volume 42, issue 1, 2018

Does geographical location matter for managerial compensation design? pp. 1-32 Downloads
Jing Zhang and Jieun Chung
New insights about the relationship between corporate cash holdings and interest rates pp. 33-65 Downloads
Anna-Leigh Stone, Benton E. Gup and Junsoo Lee
Are standard asset pricing factors long-range dependent? pp. 66-88 Downloads
Benjamin Rainer Auer
Oil and equity: too deep into each other pp. 89-111 Downloads
Natalya (Natasha) Delcoure and Harmeet Singh
On the relation between exchange rates and stock prices: a non-linear ARDL approach and asymmetry analysis pp. 112-137 Downloads
Mohsen Bahmani-Oskooee and Sujata Saha
CEO ability and firm performance: Stock market and job market reactions pp. 138-154 Downloads
Tarun Mukherjee and Huong Nguyen
The transmission of international stock market volatilities pp. 155-173 Downloads
Bruce Q. Budd
The effects of income and population demographics on single-county bank performance pp. 174-190 Downloads
Ken B. Cyree and Brandon C. L. Morris
A synthesized model of short selling constraints and their impact on stock returns pp. 191-210 Downloads
Jose Gutierrez, Steve Johnson and Robert Stretcher

Volume 41, issue 4, 2017

Improving (E)GARCH forecasts with robust realized range measures: Evidence from international markets pp. 631-658 Downloads
Beatriz Vaz de Melo Mendes and Victor Bello Accioly
Security issuance decisions, idiosyncratic risk, and macroeconomic dynamics pp. 659-678 Downloads
Abdul Rashid
Litigation risk and cash holdings pp. 679-700 Downloads
James Malm and Srinidhi Kanuri
Liquidity, overpricing, and the tactics of informed traders pp. 701-713 Downloads
Richard Borghesi
Uninsured deposits and excess share insurance at US credit unions: the impact on risk and returns to members pp. 714-738 Downloads
Shane A. Van Dalsem
The role of HFTs in order flow toxicity and stock price variance, and predicting changes in HFTs’ liquidity provisions pp. 739-762 Downloads
Bonnie F. Van Ness, Robert A. Van Ness and Serhat Yildiz
Investing strategies as continuous rising (falling) share prices released pp. 763-773 Downloads
Manhwa Wu, Paoyu Huang and Yensen Ni
The effect of gold market speculation on REIT returns in South Africa: a behavioral perspective pp. 774-793 Downloads
Omokolade Akinsomi, Mehmet Balcilar, Riza Demirer and Rangan Gupta
Deposit dollarization in emerging markets: modelling the hysteresis effect pp. 794-805 Downloads
Anna Krupkina and Alexey Ponomarenko
Open market operations and associated movements of the federal funds rate during the week prior to target changes pp. 806-828 Downloads
Yasuo Nishiyama
Litigation risk and investment policy pp. 829-840 Downloads
James Malm, Hari P. Adhikari, Marcin Krolikowski and Nilesh Sah

Volume 41, issue 3, 2017

The many conditions under which monopolistic advertising can differ from the social optimum pp. 421-440 Downloads
Richard Just and Rulon D. Pope
Effects of Bush Tax Cut and Obama Tax Increase on corporate payout policy and stock returns pp. 441-462 Downloads
Andre Vianna
The real miss-specification in the forward rate premium puzzle pp. 463-473 Downloads
Amit K. Sinha, Philip A. Horvath and Robert C. Scott
Animal spirits, beauty contests and expected returns pp. 474-486 Downloads
Jukka Ilomäki
Effects of derivatives usage and financial statement items on capital market risk measures of Bank stocks: evidence from India pp. 487-504 Downloads
Gaurango Banerjee, Abhiman Das, Kalidas Jana and Shekar Shetty
Bank risk in a decade of low interest rates pp. 505-528 Downloads
Yen-Ling Chang and Daniel A. Talley
Searching for rational bubble footprints in the Singaporean and Indonesian stock markets pp. 529-552 Downloads
Gilbert Nartea, Muhammad Cheema and Kenneth R. Szulczyk
An economic analysis of the trial penalty: a comparative analysis of three alternative trial settings pp. 553-568 Downloads
Christopher Boudreaux
Market share, firm innovation, and idiosyncratic volatility pp. 569-580 Downloads
Frederick Adjei and Mavis Adjei
An examination of the REIT return–implied volatility relation: a frequency domain approach pp. 581-594 Downloads
Emmanuel Anoruo and Vasudeva N. R. Murthy
Preaching and politics: disentangling religiosity and political choice pp. 595-609 Downloads
Brian L. Goff and Michelle W. Trawick
Foreign direct investment in the Dominican Republic: consequences and recommendations for sustainable growth pp. 610-629 Downloads
Harri Ramcharran
Erratum to: Foreign direct investment in the Dominican Republic: consequences and recommendations for sustainable growth pp. 630-630 Downloads
Harri Ramcharran

Volume 41, issue 2, 2017

Factors driving systemic risk of banks in Latin America pp. 211-234 Downloads
Jacob Kleinow, Andreas Horsch and Mario Garcia-Molina
Output subsidies in mixed oligopoly with research spillovers pp. 235-256 Downloads
Shoji Haruna and Rajeev Goel
Schwab’s equity ratings: value added or old news? pp. 257-275 Downloads
Ray R. Sturm
Monetary targeting in Sri Lanka: how much control does the central bank have over the money supply? pp. 276-296 Downloads
Wasanthi Thenuwara and Bryan Morgan
Okun’s law: evidence of 13 selected developed countries pp. 297-310 Downloads
Matiur Rahman and Muhammad Mustafa
Admitting mistakes pays: the long term impact of goodwill impairment write-offs on stock prices pp. 311-329 Downloads
Yingmei Cheng, David Peterson and Karen Sherrill
Determinants of export diversification in Sub-Sahara African region: a fractionalized logit estimation model pp. 330-342 Downloads
Dobdinga Cletus Fonchamnyo and Afuge Ramsy Akame
The fisher relationship in Nigeria pp. 343-353 Downloads
Borja Balparda, Guglielmo Maria Caporale and Luis Gil-Alana
A simple empirical investigation into the optimal size of the NGDP Target and Level targeting pp. 354-369 Downloads
Ryan H. Murphy and Jiawen Chen
Financial development, role of government, and bank profitability: evidence from the 2008 financial crisis pp. 370-391 Downloads
Hsiu-I Ting
Bank capital, loan activity, and monetary policy: evidence from the FDIC’s Historical Statistics on Banking pp. 392-407 Downloads
Paul E. Orzechowski
The demand for money in Angola pp. 408-420 Downloads
Carlos Barros, João Ricardo Faria and Luis Gil-Alana

Volume 41, issue 1, 2017

Exploring stock recommenders’ behavior and recommendation receivers’ sophistication pp. 1-26 Downloads
Chih-Hsiang Chang
Capital investment and non-constant marginal cost of capital pp. 27-50 Downloads
Robert Stretcher, Mary Funck and Steve Johnson
Institutional investors’ activism and credit ratings pp. 51-77 Downloads
Javeria Farooqi, Surendranath Jory and Thanh Ngo
Index trading and portfolio risk pp. 78-99 Downloads
Joakim Kvamvold and Snorre Lindset
Mortgage loan securitization and personal consumption smoothening pp. 100-115 Downloads
Jenny Gu, Rodrigo J. Hernandez, Pu Liu and Yingying Shao
Short selling restrictions in 2005–2009 in Indian market and underpricing of initial public offerings pp. 116-135 Downloads
Tanya Gulati, S. K. Bose and Supriyo Roy
Foreign exchange rate moments and FDI in Ghana pp. 136-152 Downloads
Lord Mensah, Godfred Alufar Bokpin and Eric Dei Fosu-Hene
Nominal GDP targeting under learning pp. 153-159 Downloads
George Waters
Asymmetric reaction is rational behavior pp. 160-179 Downloads
Philip A. Horvath and Amit K. Sinha
Litigation risk and financial leverage pp. 180-194 Downloads
James Malm and Marcin Krolikowski
Do credit associations compete with each other in Japanese regional lending markets? pp. 195-210 Downloads
Kazumine Kondo
Page updated 2018-02-20