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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 ().

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Volume 26, issue 3, 2002

Costly state verification and optimal investment pp. 233-248 Downloads
Bappaditya Mukhopadhyay
Market mispricings and portfolio allocation to mutual fund classes pp. 249-266 Downloads
Theodore Syriopoulos
Revisiting managerial perspectives on dividend policy pp. 267-283 Downloads
H. Baker, Gary Powell and E. Veit
Why firms adopt and discontinue new-issue dividend reinvestment plans pp. 284-296 Downloads
Tarun Mukherjee, H. Baker and Vineeta Hingorani
Market index returns, macroeconomic variables, and tax-loss selling pp. 297-308 Downloads
Ken Johnston and Don Cox
Black’s hypothesis and developed economies pp. 309-326 Downloads
Matthew Rafferty
Macroeconomy and the well-being of low income African American families pp. 327-333 Downloads
Vasudeva Murthy
Using simulation as a tool in selecting a retirement age under defined benefit pension plans pp. 334-343 Downloads
Richard Bieker

Volume 26, issue 2, 2002

A data envelopment analysis of gas utilities' efficiency pp. 123-137 Downloads
Daniel Hollas, Kenneth Macleod and Stanley Stansell
Financial development and productive efficiency: A panel study of developed and developing countries pp. 138-148 Downloads
Farrokh Nourzad
Central bank transparency and market efficiency: An econometric analysis pp. 150-161 Downloads
Matthew Rafferty and Marc Tomljanovich
The 2000 Presidential Election and the stock market pp. 162-169 Downloads
Srinivas Nippani and W. Medlin
CEO ownership, corporate control, and bank performance pp. 170-183 Downloads
John Griffith, Lawrence Fogelberg and H. Weeks
Predicting corporate financial distress: Reflections on choice-based sample bias pp. 184-199 Downloads
Harlan Platt and Marjorie Platt
Determinants of corporate borrowing: Some evidence from the Indian corporate structure pp. 200-215 Downloads
Saumitra Bhaduri
Plastic choices: Consumer usage of bank cards versus proprietary credit cards pp. 216-232 Downloads
Kenneth Carow and Michael Staten

Volume 26, issue 1, 2002

Policy on the margin: Evaluating the impact of margin debt requirements on stock valuations pp. 1-15 Downloads
Christian Weller
The effect of portfolio weighting on investment performance evaluation: The case of actively managed mutual funds pp. 16-30 Downloads
Stanley Block and Dan French
Fee waivers for tax-exempt money market mutual funds pp. 31-49 Downloads
Joseph Farinella and Randy Jorgensen
Do institutions care about market structure? A case study of listing firms pp. 50-62 Downloads
Michele O’Neill
Market reaction to large bank merger announcements in oligopolies pp. 63-76 Downloads
Adham Chehab
Wealth effects of time variation in investor risk preferences pp. 77-87 Downloads
Bruce Niendorf and Thomas Ottaway
Hedging gas bills with weather derivatives pp. 88-100 Downloads
Karyl Leggio and Donald Lien
Sources of real exchange rate movements in Saudi Arabia pp. 101-110 Downloads
Eisa Aleisa and Selahattin Dibooglu
Cointegration of price measures: Evidence from the G-7 pp. 111-122 Downloads
Kay Strong and Subhash Sharma

Volume 25, issue 3, 2001

Recovery of hidden information from stock price data: A semiparametric approach pp. 243-258 Downloads
George Vachadze
Implied volatility surfaces and market activity over time pp. 259-275 Downloads
Thierry Ané and Chiraz Labidi
Capturing the volatility smile of options on high-tech stocks—A combined GARCH-neural network approach pp. 276-292 Downloads
Gunter Meissner and Noriko Kawano
The valuation of nature-linked bonds with exchange rate risk pp. 293-307 Downloads
Patrice Poncet and Victor Vaugirard
Corporate income tax and futures hedging pp. 308-315 Downloads
Donald Lien and Michael Metz
Macroeconomic factors, consumer behavior, and bankcard default rates pp. 316-327 Downloads
Terrance Grieb, Charles Hegji and Steven Jones
Can money market mutual funds provide sufficient liquidity to replace deposit insurance? pp. 328-342 Downloads
William Miles
Assessing the usefulness of SEC Form 20-F disclosures using return and volume metrics: The case of U.K. firms pp. 343-357 Downloads
Kingsley Olibe
Error correction exchange rate modeling: Evidence for Mexico pp. 358-368 Downloads
Thomas Fullerton, Miwa Hattori and Cuauhtemoc Calderon Villarreal

Volume 25, issue 2, 2001

Excess reserves during the 1930s: Empirical estimates of the costs of converting unintended cash inventory into income-producing assets pp. 135-148 Downloads
James Lindley, Clifford Sowell and Wm. Mounts
Price dynamics when there are alternatives to cash payment pp. 149-171 Downloads
Philip Jefferson
Convergence-divergence of U.S. State unemployment rates pp. 172-180 Downloads
Edward Nissan and George Carter
The day of the week effect on stock market volatility pp. 181-193 Downloads
Hakan Berument and Halil Kiymaz
The post-offering performance of IPOs in the health care industry pp. 194-205 Downloads
Hany Guirguis, Joseph Onochie and Harry Rosen
Asymmetric volatility spillover in the Tokyo stock exchange pp. 206-213 Downloads
Mario Reyes
The underwriter’s early lock-up release: Empirical evidence pp. 214-228 Downloads
Terrill Keasler
Student performance in business and economics statistics: Does exam structure matter? pp. 229-241 Downloads
Randall Krieg and Bulent Uyar

Volume 25, issue 1, 2001

An empirical investigation of the consumption based Capital Asset Pricing Model using a modified variance-ratio test pp. 1-22 Downloads
Petr Zemčík
Analyzing Fed behavior using a dynamic Taylor-type rule pp. 23-32 Downloads
William Seyfried and Dale Bremmer
Macroeconomic influences on the stock market pp. 33-49 Downloads
George Hondroyiannis and Evangelia Papapetrou
Stock returns and volatility: Evidence from the Athens Stock market index pp. 50-61 Downloads
Nicholas Apergis and Sophia Eleptheriou
A strategy for trading the S&P 500 futures market pp. 62-79 Downloads
Edward Olszewski
Corporate borrowing and growth option value: The limited liability effect pp. 80-99 Downloads
Jyh-Bang Jou
Board ownership and IPO returns pp. 100-114 Downloads
Shawn Howton, Shelly Howton and Gerard Olson
Acquisitions by Real Estate Investment Trusts as a strategy for minimization of investor tax liability pp. 115-134 Downloads
Jingyu Li, Fayez Elayan and Thomas Meyer
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