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.
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Volume 45, issue 4, 2021
- Capital structure adjustment behavior of listed firms on the Mexican stock exchange pp. 573-595

- Carlos Omar Trejo-Pech, NyoNyo A. Kyaw and Wei He
- Discipline, risk, and the endogeneity between financial decisionmaking and health pp. 596-636

- Stefani Milovanska-Farrington and Stephen Farrington
- The clientele effect around the turn of the year: evidence from the bond markets pp. 637-653

- Vladimir Kotomin
- Fixed income mutual fund performance during and after a crisis: a Canadian case pp. 654-676

- Laleh Samarbakhsh and Meet Shah
- Dynamic volatility spillover and network connectedness across ASX sector markets pp. 677-691

- Ki-Hong Choi, Ron P. McIver, Salvatore Ferraro, Lei Xu and Sang Hoon Kang
- Empirical analysis of bitcoin price pp. 692-715

- Yuanyuan Chen
- COVID-19 internet vaccination information and vaccine administration: evidence from the United States pp. 716-734

- Rajeev Goel and Michael Nelson
- Patience is a virtue: exploiting behavior bias in gambling markets pp. 735-750

- Kevin Krieger, Justin L. Davis and James Strode
- Religiosity and corporate risk-taking: evidence from Italy pp. 751-763

- Richard Cebula and Fabrizio Rossi
- Information asymmetry in fire insurance: a frontier approach pp. 764-773

- Donald Vitaliano
Volume 45, issue 3, 2021
- An examination of the liquidity of equity carve-out parents pp. 395-412

- Thomas H. Thompson
- Persistence in the market risk premium: evidence across countries pp. 413-427

- Guglielmo Maria Caporale, Luis Gil-Alana and Miguel Martin-Valmayor
- What Can explain catering of dividend? Environment information and investor sentiment pp. 428-450

- Hadfi Bilel and Kouki Mondher
- The role of institutional investors in pension risk transfers pp. 451-468

- Mary McCarthy, Elisabeta Pana and Andrew Weinberger
- Currency risk exposure and the presidential effect in stock returns pp. 469-485

- Samar Ashour, David Rakowski and Salil K. Sarkar
- Determinants of defined-contribution corporate pension adoptions in Japan pp. 486-503

- Yutaka Horiba and Kazuo Yoshida
- Additionality of government guaranteed loans for SMEs in Israel pp. 504-528

- Tzameret H. Rubin and Nir Ben-Aharon
- Sukuk and bond spreads pp. 529-543

- Faruk Balli, Hassan Ghassan and Essam H. Jeefri
- Is fund performance driven by flows into connected funds? spillover effects in the mutual fund industry pp. 544-571

- Bing Zhu and René-Ojas Woltering
- Correction to: Is fund performance driven by flows into connected funds? spillover effects in the mutual fund industry pp. 572-572

- Bing Zhu and René-Ojas Woltering
Volume 45, issue 2, 2021
- ECB’s unconventional monetary policy and bank lending supply and performance in the euro area pp. 211-224

- Dimitris Kenourgios and Despoina Ntaikou
- The slowdown in trade: end of the “globalisation hype” and a return to normal?* pp. 225-239

- Ansgar Belke and Daniel Gros
- Six decades of inflation and money demand pp. 240-251

- Alexi Thompson and Henry Thompson
- Can country-specific interest rate factors explain the forward premium anomaly? pp. 252-269

- Efthymios Argyropoulos, Nikolaos Elias, Dimitris Smyrnakis and Elias Tzavalis
- Public debt and economic growth: panel data evidence for Asian countries pp. 270-287

- Dimitrios Asteriou, Keith Pilbeam and Cecilia Eny Pratiwi
- African equity markets’ exposure to oil and other commodities - implications for global portfolio diversification pp. 288-315

- Imhotep Alagidede, Gideon Boako and Bo Sjo
- Assessing macro-prudential policies: the case of FX lending pp. 316-359

- Michael Sigmund
- Empirical analysis of term structure shifts pp. 360-371

- Joel R. Barber
- Income convergence across the U.S. states: further evidence from new recent data pp. 372-380

- Rati Ram
- Impact of green bond policies on insurers: evidence from the European equity market pp. 381-393

- Petr Jakubík and Sibel Uguz
- Erratum to: RETRACTED ARTICLE: The role of circuit breakers in the oil futures market pp. 394-394

- Nicholas Apergis
Volume 45, issue 1, 2021
- EU accession: A boon or bane for corruption? pp. 1-21

- Vincenzo Alfano, Salvatore Capasso and Rajeev Goel
- On the performance of Bank-managed mutual funds: Canadian evidence pp. 22-48

- Greg Hebb
- Efficiency on the dynamic adjustment path in a financial market pp. 49-74

- Nasreen Nawaz
- Time series analysis of Cryptocurrency returns and volatilities pp. 75-94

- Rama Malladi and Prakash L. Dheeriya
- Stock performance subsequent to combinations in quarterly revenue surprise, earnings surprise, guidance, valuation, and report time pp. 95-117

- Jose I. Alvarado, Lindsay C. Clark and Jose A. Gutierrez
- Financing constraints and exports: evidence from India pp. 118-145

- M. Padmaja and Subash Sasidharan
- Derivative use, ownership structure and lending activities of US banks pp. 146-170

- Benjamin A. Abugri and Theophilus T. Osah
- Social health insurance in the Philippines: do the poor really benefit? pp. 171-187

- Salaheddine El Omari and Mahmoud Karasneh
- Keeping what you like: grandfathering and health insurance coverage take-up rates under the ACA pp. 188-199

- Nour Kattih, Fady Mansour and Franklin Mixon
- Dynamic linkages between US and Eurodollar interest rates: new evidence from causality in quantiles pp. 200-210

- Kenneth Tah and Geoffrey Ngene
Volume 44, issue 4, 2020
- Price Volatility, the Maturity Effect, and Global Oil Prices: Evidence from Chinese Commodity Futures Markets pp. 627-654

- Jing Ao and Jihui Chen
- Financial market risk and macroeconomic stability variables: dynamic interactions and feedback effects pp. 655-669

- Agnieszka M. Chomicz-Grabowska and Lucjan Orlowski
- Economic policy uncertainty spillover effects on sectoral equity returns of New Zealand pp. 670-686

- Faruk Balli, Hatice Balli, Mudassar Hasan and Russell Gregory-Allen
- The U.S. term structure and return volatility in emerging stock markets pp. 687-707

- Riza Demirer, Asli Yuksel and Aydin Yuksel
- The effect of oil price shocks on economic activity: a local projections approach pp. 708-723

- Mirko Abbritti, Juan Equiza-Goñi, Fernando Pérez de Gracia and Tommaso Trani
- Does what happen in Vegas stay in Vegas? Football gambling and stock market activity pp. 724-748

- Justin Cox, Adam Schwartz and Robert Ness
- Efficient market hypothesis: a ruinous implication for Portugese stock market pp. 749-763

- Farhang Niroomand, Massoud Metghalchi and Massomeh Hajilee
- Job Movement and Real Wage Flexibility in Eastern and Western Parts of Germany pp. 764-789

- Fei Peng, Sajid Anwar and Lili Kang
- Manufacturing as a Growth Escalator in Low and Middle Income Countries pp. 790-809

- Ummad Mazhar and Fahd Rehman
- Gold market price spillover between COMEX, LBMA and SGE pp. 810-831

- Xinyi Qian
Volume 44, issue 3, 2020
- Risk factors explaining returns anomaly in emerging market banks – study on Indian banking system pp. 417-433

- Sabyasachi Mohapatra, Arun Kumar Misra and Marimuthu Murali Kannan
- Firm size proxies and the value relevance of predictive stock return models pp. 434-457

- Gulraze Wakil
- Stock returns and investor sentiment: textual analysis and social media pp. 458-485

- Zachary McGurk, Adam Nowak and Joshua Hall
- U.S. Small Business Administration loans and U.S. state-level employment pp. 486-505

- Paul E. Orzechowski
- Managerial optimism, CEO retention, and corporate performance: evidence from bankruptcy-filing firms pp. 506-527

- Mao-Wei Hung and Wen-Hsin Tsai
- Are earnings predictable? pp. 528-562

- Shahram Amini and Vijay Singal
- Long-run memory in ethical and conventional investments. Novel evidence from a VAR(1)-FIEGARCH model pp. 563-569

- Athanasios Koulakiotis, Vassilios Babalos, Apostolos Kiohos and Maria I. Kyriakou
- Real activities manipulation in stock-for-stock mergers pp. 570-586

- Olukemi Fasipe and Huey-Lian Sun
- Market fragmentation and post-earnings announcement drift pp. 587-610

- Justin Cox
- Efficiency in the madness? examining the betting market for the ncaa men’s basketball tournament pp. 611-626

- Daniel Hickman
Volume 44, issue 2, 2020
- Forming appropriate peer groups for bank research: a cluster analysis of bank financial statements pp. 211-237

- Ken B. Cyree, Travis R. Davidson and John Stowe
- Remittances, market size, and foreign direct investment: a case of sub-Saharan Africa pp. 238-257

- William A. Amponsah, Pablo A. Garcia-Fuentes and Joseph A. Smalley
- An optimization model of retiree decisions under recursive utility with housing pp. 258-277

- Asiye Aydilek and Harun Aydilek
- Banking Competition and Bank Size: Some Evidence from Italy pp. 278-299

- Paolo Coccorese and Laura Santucci
- Is the flow-performance relationship really convex? - The impact of data treatment and model specification pp. 300-320

- Alexander Schiller, René-Ojas Woltering and Steffen Sebastian
- The intra-industry effects of proxy contests pp. 321-347

- Fang Chen, Jian Huang and Han Yu
- Do directional predictions of US gasoline prices reveal asymmetries? pp. 348-360

- Hamid Baghestani and Jorg Bley
- Corporate governance and employee treatment: evidence from takeover defenses pp. 361-391

- Omer Unsal and Blake Rayfield
- Correction to: Corporate governance and employee treatment: Evidence from takeover defenses pp. 392-416

- Omer Unsal and Blake Rayfield
Volume 44, issue 1, 2020
- Monetary policy, social capital, and corporate investment pp. 1-34

- Chad Kwon, Gongfu Zhang and Haiyan Zhou
- Board leadership structure and corporate headquarters location pp. 35-58

- Nilakshi Borah and Hui James
- Analyzing the impact of workers’ remittances on household consumption in Latin American and Caribbean Countries pp. 59-77

- Harri Ramcharran
- Real estate prices and banking performance: evidence from Canada pp. 78-98

- Robert N. Killins
- Is the empirical relationship between hours and productivity effected by corporate profits? pp. 99-119

- Kashif Zaheer Malik and Syed Ali
- Learning advanced technology in easier ways from developed countries pp. 120-139

- Inyong Shin
- Converting remittances to investment: a dynamic optimal policy pp. 140-160

- Nasreen Nawaz
- Do more financing obstacles trigger tax avoidance behavior? Evidence from Indian SMEs pp. 161-178

- Mohamed Elbannan and Omar Farooq
- International movements of money and men: impact on the informal economy pp. 179-197

- Rajeev Goel, Rati Ram, Friedrich Schneider and Ashley Potempa
- Structural change in Asia, the real effective exchange rate, and agricultural productivity pp. 198-210

- Richard Grabowski and Sharmistha Self
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