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 41, issue 4, 2017
- Improving (E)GARCH forecasts with robust realized range measures: Evidence from international markets pp. 631-658

- Beatriz Vaz de Melo Mendes and Victor Bello Accioly
- Security issuance decisions, idiosyncratic risk, and macroeconomic dynamics pp. 659-678

- Abdul Rashid
- Litigation risk and cash holdings pp. 679-700

- James Malm and Srinidhi Kanuri
- Liquidity, overpricing, and the tactics of informed traders pp. 701-713

- Richard Borghesi
- Uninsured deposits and excess share insurance at US credit unions: the impact on risk and returns to members pp. 714-738

- 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

- Bonnie F. Van Ness, Robert A. Van Ness and Serhat Yildiz
- Investing strategies as continuous rising (falling) share prices released pp. 763-773

- 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

- Omokolade Akinsomi, Mehmet Balcilar, Riza Demirer and Rangan Gupta
- Deposit dollarization in emerging markets: modelling the hysteresis effect pp. 794-805

- 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

- Yasuo Nishiyama
- Litigation risk and investment policy pp. 829-840

- 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

- 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

- Andre Vianna
- The real miss-specification in the forward rate premium puzzle pp. 463-473

- Amit K. Sinha, Philip A. Horvath and Robert C. Scott
- Animal spirits, beauty contests and expected returns pp. 474-486

- Jukka Ilomäki
- Effects of derivatives usage and financial statement items on capital market risk measures of Bank stocks: evidence from India pp. 487-504

- Gaurango Banerjee, Abhiman Das, Kalidas Jana and Shekar Shetty
- Bank risk in a decade of low interest rates pp. 505-528

- Yen-Ling Chang and Daniel A. Talley
- Searching for rational bubble footprints in the Singaporean and Indonesian stock markets pp. 529-552

- Gilbert Nartea, Muhammad Cheema and Kenneth Szulczyk
- An economic analysis of the trial penalty: a comparative analysis of three alternative trial settings pp. 553-568

- Christopher Boudreaux
- Market share, firm innovation, and idiosyncratic volatility pp. 569-580

- Frederick Adjei and Mavis Adjei
- An examination of the REIT return–implied volatility relation: a frequency domain approach pp. 581-594

- Emmanuel Anoruo and Vasudeva N. R. Murthy
- Preaching and politics: disentangling religiosity and political choice pp. 595-609

- Brian L. Goff and Michelle W. Trawick
- Foreign direct investment in the Dominican Republic: consequences and recommendations for sustainable growth pp. 610-629

- Harri Ramcharran
- Erratum to: Foreign direct investment in the Dominican Republic: consequences and recommendations for sustainable growth pp. 630-630

- Harri Ramcharran
Volume 41, issue 2, 2017
- Factors driving systemic risk of banks in Latin America pp. 211-234

- Jacob Kleinow, Andreas Horsch and Mario Garcia-Molina
- Output subsidies in mixed oligopoly with research spillovers pp. 235-256

- Shoji Haruna and Rajeev Goel
- Schwab’s equity ratings: value added or old news? pp. 257-275

- Ray R. Sturm
- Monetary targeting in Sri Lanka: how much control does the central bank have over the money supply? pp. 276-296

- Wasanthi Thenuwara and Bryan Morgan
- Okun’s law: evidence of 13 selected developed countries pp. 297-310

- Matiur Rahman and Muhammad Mustafa
- Admitting mistakes pays: the long term impact of goodwill impairment write-offs on stock prices pp. 311-329

- Yingmei Cheng, David Peterson and Karen Sherrill
- Determinants of export diversification in Sub-Sahara African region: a fractionalized logit estimation model pp. 330-342

- Dobdinga Cletus Fonchamnyo and Afuge Ramsy Akame
- The fisher relationship in Nigeria pp. 343-353

- 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

- Ryan Murphy and Jiawen Chen
- Financial development, role of government, and bank profitability: evidence from the 2008 financial crisis pp. 370-391

- Hsiu-I Ting
- Bank capital, loan activity, and monetary policy: evidence from the FDIC’s Historical Statistics on Banking pp. 392-407

- Paul E. Orzechowski
- The demand for money in Angola pp. 408-420

- Carlos Barros, Joao Faria and Luis Gil-Alana
Volume 41, issue 1, 2017
- Exploring stock recommenders’ behavior and recommendation receivers’ sophistication pp. 1-26

- Chih-Hsiang Chang
- Capital investment and non-constant marginal cost of capital pp. 27-50

- Robert Stretcher, Mary Funck and Steve Johnson
- Institutional investors’ activism and credit ratings pp. 51-77

- Javeria Farooqi, Surendranath Jory and Thanh Ngo
- Index trading and portfolio risk pp. 78-99

- Joakim Kvamvold and Snorre Lindset
- Mortgage loan securitization and personal consumption smoothening pp. 100-115

- Jenny Gu, Rodrigo Hernandez, Pu Liu and Yingying Shao
- Short selling restrictions in 2005–2009 in Indian market and underpricing of initial public offerings pp. 116-135

- Tanya Gulati, S. K. Bose and Supriyo Roy
- Foreign exchange rate moments and FDI in Ghana pp. 136-152

- Lord Mensah, Godfred Alufar Bokpin and Eric Dei Fosu-Hene
- Nominal GDP targeting under learning pp. 153-159

- George Waters
- Asymmetric reaction is rational behavior pp. 160-179

- Philip A. Horvath and Amit K. Sinha
- Litigation risk and financial leverage pp. 180-194

- James Malm and Marcin Krolikowski
- Do credit associations compete with each other in Japanese regional lending markets? pp. 195-210

- Kazumine Kondo
Volume 40, issue 4, 2016
- Do travel visa requirements impede tourist travel? pp. 817-828

- Robert A. Lawson and Saurav Roychoudhury
- Institutional convergence: exit or voice? pp. 829-840

- Joshua Hall
Volume 40, issue 3, 2016
- Interest rate movements and US consumers’ inflation forecast errors: is there a link? pp. 623-630

- Hamid Baghestani
Volume 40, issue 1, 2016
- The location of initial public offering headquarters: An empirical examination pp. 1-18

- Michael Cichello and Douglas Lamdin
- The role of the seller’s stock performance in the market reaction to divestiture announcements pp. 19-40

- Pascal Nguyen
- Effects of time horizon and asset condition on the profitability of technical trading rules pp. 41-59

- Roy Hayes, Jingwei Wu, Ruijra Chaysiri, Jean Bae, Peter Beling and William Scherer
- International strengthen of intellectual property rights, and financial markets development pp. 60-67

- Giuseppe Di Vita
- Specification errors of asset-pricing models for a market characterized by few large capitalization firms pp. 68-84

- Nader Virk and Hilal Butt
- Powerful CEOs and employee relations: evidence from corporate social responsibility indicators pp. 85-104

- Joan Wiggenhorn, Seema Pissaris and Kimberly Gleason
- The debt-equity financing decisions of U.S. startup firms pp. 105-126

- Susan Coleman, Carmen Cotei and Joseph Farhat
- The great recession and changes in faculty expected retirement age pp. 127-136

- Kathleen Arano and Carl Parker
- Federal Home Loan Bank advances and bank risk pp. 137-156

- Travis Davidson and W. Simpson
- Persistence and cyclical dependence in the monthly euribor rate pp. 157-171

- Guglielmo Maria Caporale and Luis Gil-Alana
- Corruption perceptions versus corruption incidence: Competition for rents across Russian regions pp. 172-187

- Veronika Belousova, Rajeev Goel and Iikka Korhonen
- Comparing Africa, Asia and Latin America/Caribbean countries using per capita GDP, remittances, openness, capital/labor ratios and freedom pp. 188-198

- Sondra Collins and Edward Nissan
- Determinants of public spending efficiency in education and health: evidence from selected CEMAC countries pp. 199-210

- Dobdinga Fonchamnyo and Molem Sama
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