EconPapers    
Economics at your fingertips  
 

Journal of Economics and Finance

1997 - 2025

Current editor(s): James Payne

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

Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing ().

Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 28, issue 3, 2004

Return interval, dependence structure, and multivariate normality pp. 285-299 Downloads
Thierry Ané and Chiraz Labidi
Market portfolio efficiency and value stocks pp. 300-306 Downloads
Thierry Post and Pim Vliet
Ownership structure and post-issue operating performance of firms conducting seasoned equity offerings in Thailand pp. 307-332 Downloads
Piman Limpaphayom and Anchalee Ngamwutikul
The impact of the Gramm-Leach-Bliley act on the financial services industry pp. 333-347 Downloads
Abdullah Mamun, M. Kabir Hassan and Van Son Lai
Marital status and the decision to file for personal bankruptcy: A duration model approach pp. 348-360 Downloads
Jonathan Fisher
Top finance journals: Do they add value? pp. 361-378 Downloads
C. Krishnan and Robert Bricker
New developments in tobacco research: An introduction pp. 379-381 Downloads
Rajeev Goel
International patterns of cigarette smoking and global antismoking policies pp. 382-394 Downloads
Rajeev Goel and Michael Nelson
The impact of nicotine replacement therapies on cigarette demand pp. 395-403 Downloads
Frank Chaloupka and John Tauras
The efficacy of state-level antismoking laws: Demand and supply considerations pp. 404-412 Downloads
Craig Gallet
Quantile-regression estimates of cigarette demand elasticities for the United States pp. 413-421 Downloads
Rajeev Goel and Rati Ram
State tax changes and quasi-experimental price elasticities of U.S. cigarette demand: An update pp. 422-429 Downloads
Badi Baltagi and Rajeev Goel
Has a quarter-trillion-dollar settlement helped the tobacco industry? pp. 430-444 Downloads
Stuart Fowler and William Ford

Volume 28, issue 2, 2004

Duration dependence testing for speculative bubbles pp. 147-154 Downloads
Yvette Harman and Thomas Zuehlke
Dating structural changes: An illustration from financial deregulation pp. 155-163 Downloads
Duane Graddy, Reuben Kyle, Thomas Strickland and David Bass
Firm risk, investment, and employment growth pp. 164-184 Downloads
Matts Rosenberg
A time-varying volatility approach to modeling the phillips curve: A cross-country analysis pp. 186-197 Downloads
William Seyfried and Bradley Ewing
Random walks, cointegration, and the transmission of shocks across global real estate and equity markets pp. 198-210 Downloads
James Payne and Anandi Sahu
Modeling volatility in sector index returns with GARCH models using an iterated algorithm pp. 211-225 Downloads
Farooq Malik and Syed Hassan
An empirical analysis of market and institutional mechanisms for alleviating information asymmetry in the municipal bond market pp. 226-238 Downloads
Jun Peng and Peter Brucato
International mergers and acquisitions: A jump diffusion model application pp. 239-251 Downloads
Halil Kiymaz and Osman Kilic
Stock market volatility, the news, and monetary policy pp. 252-259 Downloads
Adrienne Kearney and Raymond Lombra
The causal relation between government revenue and spending: Evidence from Egypt and Jordan pp. 260-269 Downloads
Bassam AbuAl-Foul and Hamid Baghestani
Compensation-based stock trading by corporate executive and aggregate management ownership of the firm: Some additional evidence pp. 270-284 Downloads
Zahid Iqbal and Shekar Shetty

Volume 28, issue 1, 2004

Some empirical evidence on the real effects of nominal volatility pp. 1-13 Downloads
John Elder
Consolidation in the financial services industry: Are there industry gains for acquisitions of security firms? pp. 14-31 Downloads
Aigbe Akhigbe, Jarrod Johnston and Jeff Madura
The J-curve dynamics of U.S. bilateral trade pp. 32-38 Downloads
Mohsen Bahmani-Oskooee and Artatrana Ratha
Budget deficits and the current account balance: New evidence from panel data pp. 39-45 Downloads
Hassan Mohammadi
Empirical evidence on the effects of delisting from the National Market System pp. 46-55 Downloads
P. Chandy, Salil Sarkar and Niranjan Tripathy
IPO research symposium review pp. 56-67 Downloads
Sanjay Varshney and Rich Robinson
Valuation uncertainty and IPOs: Investment bank versus commercial bank underwriters pp. 68-87 Downloads
Gregory Hebb and Gregory MacKinnon
The effect of firm financial characteristics and the availability of alternative finance on IPO underpricing pp. 88-103 Downloads
Beverly Marshall
Early internet IPOs versus subsequent entrants pp. 104-116 Downloads
Beverly Marshall, Claire Crutchley and Diane Lending
Managerial bonding and stock liquidity: An analysis of dual-class firms pp. 117-131 Downloads
Ekkehart Boehmer, Gary Sanger and Sanjay Varshney
Underpricing and IPO ownership retention pp. 132-146 Downloads
Richard Robinson, Mary Robinson and Chien-Chih Peng

Volume 27, issue 3, 2003

Client-firm market reaction to regulatory action against a major accounting firm pp. 279-299 Downloads
Carl Pacini and William Hillison
The role of U.S. Investors in international equity market inflows, outflows, and net flows for selected emerging asian markets pp. 300-320 Downloads
Peggy Swanson and Anchor Lin
Long-term performance of divesting firms and the effect of managerial ownership pp. 321-336 Downloads
Robert Hanson and Moon Song
The informational content of credit rating announcements for share prices in a small market pp. 337-356 Downloads
Fayez Elayan, Wei Hsu and Thomas Meyer
Cross-border linkages among Asian closed-end funds pp. 357-372 Downloads
Emmanuel Anoruo, Sanjay Ramchander and Harold Thiewes
Intra-industry and inter-country effects of European mergers pp. 373-395 Downloads
Jorg Bley and Jeff Madura
A note on transfer prices and exchange rate pass-through pp. 396-403 Downloads
Charles Hegji
Taxes, time diversification, and asset choice at retirement pp. 404-421 Downloads
Thomas Howe and David Mistic

Volume 27, issue 2, 2003

Quantification of political risk with multiple dependent sources pp. 125-135 Downloads
Ephraim Clark and Radu Tunaru
Long memory and structural breaks in hyperinflation countries pp. 136-152 Downloads
Guglielmo Maria Caporale and Luis Gil-Alana
Relative importance of scheduled macroeconomic news for stock market investors pp. 153-165 Downloads
Michael Graham, Jussi Nikkinen and Petri Sahlström
Detecting speculative bubbles in an IT-intensive stock market pp. 166-189 Downloads
Juha Junttila
Variation in ex day dividend pricing: Myth or reality? pp. 190-210 Downloads
Rakesh Bali
An empirical examination of the effectiveness of dollar-cost averaging using downside risk performance measures pp. 211-223 Downloads
Karyl Leggio and Donald Lien
Mutual fund managers: Does longevity imply expertise? pp. 224-235 Downloads
Bruce Costa and Gary Porter
Fair bets and profitability in college football gambling pp. 236-242 Downloads
Rodney Paul, Andrew Weinbach and J. Weinbach
Contributions of state to regional income dispersion pp. 243-261 Downloads
Edward Nissan and George Carter
The effect of European integration on trade with the APEC countries: 1981–2000 pp. 262-278 Downloads
Donny Tang

Volume 27, issue 1, 2003

Consumption insurance and entrepreneurial risk: Evidence from Italian micro-data pp. 1-18 Downloads
Carlo Declich and Luigi Ventura
The reversal of large stock price declines: The case of large firms pp. 19-38 Downloads
Georgina Benou and Nivine Richie
An international study of causality-in-variance: Interest rate and financial sector returns pp. 39-55 Downloads
V. Alaganar and Ramaprasad Bhar
Understanding the determinants of sovereign debt ratings: Evidence for the two leading agencies pp. 56-74 Downloads
Antonio Afonso
Determinants of credit card delinquency and bankruptcy: Macroeconomic factors pp. 75-84 Downloads
Sumit Agarwal and Chunlin Liu
The impact of inflationary news on money market yields and volatilities pp. 85-101 Downloads
Sanjay Ramchander, Marc Simpson and Mukesh Chaudhry
A disaggregated approach to test the J-Curve phenomenon: Japan versus her major trading partners pp. 102-113 Downloads
Mohsen Bahmani-Oskooee and Gour Goswami
Estimating the sensitivity of state tax revenue to cyclical and wealth effects pp. 114-124 Downloads
William Seyfried and Louis Pantuosco
Page updated 2025-04-14