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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 39, issue 4, 2015

When does CalPERS’ activism add value? pp. 641-660 Downloads
Thomas Smythe, Chris McNeil and Philip English
Liquidity and price discovery in Latin America: evidence from American depositary receipts pp. 661-678 Downloads
Alma Hales
Exchange rate movements and policy coordination in Latin America pp. 679-696 Downloads
Hem Basnet and Subhash Sharma
Marketable and non-hedgeable risk in a duopoly framework with hedging pp. 697-716 Downloads
Matthias Pelster
On inter-arrival times of bond market extreme events. An application to seven European markets pp. 717-741 Downloads
Vasileios Siakoulis and Ioannis Venetis
Credit, venture capital and regional economic growth pp. 742-761 Downloads
Barbara Pistoresi and Valeria Venturelli
Should the Fed take extra action for the recent housing bubble? Evidence from asymmetric transitory shocks pp. 762-781 Downloads
MeiChi Huang and LinYing Yeh
Hedonic valuation of land protection methods: implications for cluster development pp. 782-806 Downloads
Robert Kling, T. Scott Findley, Emin Gahramanov and David Theobald
Capital structure choice, information asymmetry, and debt capacity: evidence from India pp. 807-823 Downloads
Surenderrao Komera and Jijo Lukose P.J.
Industry cluster and performance sensitivity pp. 824-844 Downloads
Michaël Dewally and Yingying Shao

Volume 39, issue 3, 2015

Reducing agency conflicts with target debt ratios pp. 431-453 Downloads
Unyong Pyo, Yong Shin and Howard Thompson
Mutual fund fees and performance: new insights pp. 454-477 Downloads
Sharon Garyn-Tal
The response of state employment to oil price volatility pp. 478-500 Downloads
Wei Kang, David Penn and Joachim Zietz
Lumpy investments and capital adjustment patterns in the food manufacturing industry pp. 501-517 Downloads
Pinar Geylani
Are private banks the better banks? An insight into the principal–agent structure and risk-taking behavior of German banks pp. 518-540 Downloads
Frank Schmielewski and Thomas Wein
The linkage between the U.S. “fear index” and ADR premiums under non-frictionless stock markets pp. 541-556 Downloads
Omar Esqueda, Yongli Luo and Dave Jackson
Demand for broad money in Singapore: does wealth matter? pp. 557-573 Downloads
Ahmad Zubaidi Baharumshah and Siew-Voon Soon
Bankruptcy predictions for U.S. air carrier operations: a study of financial data pp. 574-589 Downloads
Chiuling Lu, Ann Yang and Jui-Feng Huang
On the spillovers between patents and innovation in Japan pp. 590-605 Downloads
Jin Guo
The determinants of effective corporate lobbying pp. 606-624 Downloads
Richard Borghesi and Kiyoung Chang
Asymmetry and revenue in second-price auctions: a majorization approach pp. 625-640 Downloads
Jihui Chen and Maochao Xu

Volume 39, issue 2, 2015

Do hubris and the information environment explain the effect of acquirers’ size on their gains from acquisitions? pp. 211-234 Downloads
Ivo Jansen, Lee Sanning and Nathan Stuart
A Kalman filter control technique in mean-variance portfolio management pp. 235-261 Downloads
James DiLellio
Two-step acquisitions and liquidity spread pp. 262-287 Downloads
Mufaddal Baxamusa and Dobrina Georgieva
Informed trading, institutional trading, and spread pp. 288-307 Downloads
Malay Dey and B. Radhakrishna
Do shareholder rights influence managerial propensity to engage in earnings management? pp. 308-326 Downloads
Kenneth Small, Seung Kwag and Joanne Li
The differing efficiency experiences of banks leading up to the global financial crisis: A comparative empirical analysis from Australia, Canada and the UK pp. 327-346 Downloads
Dong Xiang, Abul Shamsuddin and Andrew Worthington
Teachers’ salaries and human capital, and their effects on academic performance: an institution-level analysis of Los Angeles County high schools pp. 347-356 Downloads
Richard Cebula, Franklin Mixon and Mark Montez
Multiple reverse stock splits (investors beware!) pp. 357-369 Downloads
Claire Crutchley and Steve Swidler
On the accuracy of private forecasts of inflation and growth in Brazil pp. 370-381 Downloads
Hamid Baghestani and Cassia Marchon
Macroeconomic sources of foreign exchange risk premium: evidence from South Africa pp. 382-395 Downloads
Bernard Walley
Economic, welfare, demographic, and gender inequalities among selected Arab countries pp. 396-411 Downloads
Edward Nissan and Farhang Niroomand
The effects of agglomeration on interregional hospital patient flow pp. 412-430 Downloads
Johnathan Munn and Caroliniana Padgett

Volume 39, issue 1, 2015

Can we consistently forecast a firm’s earnings? Using combination forecast methods to predict the EPS of Dow firms pp. 1-22 Downloads
Naresh Bansal, Jack Strauss and Alireza Nasseh
An empirical analysis of the impact of large changes in institutional ownership on CEO compensation risk pp. 23-47 Downloads
Yixi Ning, Xiankui Hu and Xavier Garza-Gomez
Property-type diversification and REIT performance: an analysis of operating performance and abnormal returns pp. 48-74 Downloads
Randy Anderson, Justin Benefield and Matthew Hurst
The effects of bank capital constraints on post-acquisition performance pp. 75-99 Downloads
Chris Brune, Kevin Lee and Scott Miller
Mean and volatility transmission for commodity futures pp. 100-118 Downloads
Terrance Grieb
The effects of stock splits on stock liquidity pp. 119-135 Downloads
Gow-Cheng Huang, Kartono Liano and Ming-Shiun Pan
A time series test to identify housing bubbles pp. 136-152 Downloads
Diego Escobari, Damian Damianov and Andres Bello
Health care and the cross-section of US stock returns pp. 153-170 Downloads
Brian Payne and John Geppert
The effect of the U.S. federal income tax appraisal requirement on noncash charitable contributions for individuals pp. 171-188 Downloads
James Serocki and Kevin Murphy
CEO age, education, and introduction of hedging in the oil and gas industry pp. 189-200 Downloads
Zahid Iqbal
On the demand for smoking quitlines pp. 201-210 Downloads
Rajeev Goel

Volume 38, issue 4, 2014

Investor behavior in the mutual fund industry: evidence from gross flows pp. 541-567 Downloads
George Cashman, Federico Nardari, Daniel Deli and Sriram Villupuram
An asset protection scheme for banks exposed to troubled loan portfolios pp. 568-588 Downloads
Anders Grosen, Pernille Jessen and Thomas Kokholm
Monetary policy implications of housing shift-contagion across regional markets pp. 589-608 Downloads
MeiChi Huang
The impact of private benefits on institutional ownership change: evidence from markets with different sentiments pp. 609-626 Downloads
Yong Wang
Causality-in-variance and causality-in-mean between the Greek sovereign bond yields and Southern European banking sector equity returns pp. 627-642 Downloads
Go Tamakoshi and Shigeyuki Hamori
The long-term performance following dividend initiations and resumptions revisited pp. 643-657 Downloads
Sheng-Syan Chen, Robin Chou and Yun-Chi Lee
Herding in the strategic allocations of Spanish pension plan managers pp. 658-671 Downloads
Laura Andreu, Cristina Ortiz and José Sarto
Technological change and the U.S. real interest rate pp. 672-686 Downloads
Constantine Alexandrakis
Greek sovereign bond index, volatility, and structural breaks pp. 687-697 Downloads
Go Tamakoshi and Shigeyuki Hamori
The impact of the disposition effect on asset prices: insight from the NBA pp. 698-711 Downloads
Richard Borghesi
An exploratory empirical inquiry into the impact of federal budget deficits on the ex post real interest rate yield on ten year Treasury notes over the last half century pp. 712-720 Downloads
Richard Cebula, Fiorentina Angjellari-Dajci and Maggie Foley

Volume 38, issue 3, 2014

Hedge fund attributes and volatility around equity offerings pp. 359-382 Downloads
Robert Hull, Sungkyu Kwak and Rosemary Walker
Cross listing, disclosure regimes, and trading volume sensitivity to stock returns pp. 383-406 Downloads
Haiyan Zhou and Stephen Owusu-Ansah
The day-of-the-week effect revisited: international evidence pp. 407-437 Downloads
Mehmet Dicle and John Levendis
Over-investment in corporate R&D, risk, and stock returns pp. 438-460 Downloads
Mohsen Saad and Zaher Zantout
Insider trading around open-market share repurchases pp. 461-491 Downloads
Fei Leng and Kevin Zhao
Volatility analysis of precious metals returns and oil returns: An ICSS approach pp. 492-517 Downloads
Lucía Morales and Bernadette Andreosso-O’Callaghan
On the loss structure of federal reserve forecasts of output growth pp. 518-527 Downloads
Hamid Baghestani
Comparing U.S. regions for selected economic and financial variables pp. 528-540 Downloads
Edward Nissan and Shahdad Naghshpour

Volume 38, issue 2, 2014

Hedge funds versus private equity funds as shareholder activists in Germany — differences in value creation pp. 181-208 Downloads
Mark Mietzner and Denis Schweizer
An empirical analysis of the Carbon Financial Instrument pp. 209-234 Downloads
Omid Sabbaghi and Navid Sabbaghi
Investigating the PPP hypothesis using constructed U.S. dollar equilibrium exchange rate misalignments over the post-bretton woods period pp. 235-268 Downloads
Axel Grossmann, Marc Simpson and Teofilo Ozuna
Acquisitions of family owned firms: boon or bust? pp. 269-286 Downloads
Kimberly Gleason, Anita Pennathur and Joan Wiggenhorn
The determinants of business start-ups in tertiary education: evidence for Greece through a panel data approach pp. 287-301 Downloads
Nicholas Apergis and Irene Fafaliou
Stock markets, banks and the sources of economic growth in low and high income countries pp. 302-320 Downloads
Felix Rioja and Neven Valev
Subprime lending over time: the role of race pp. 321-344 Downloads
Marvin Smith and Christy Hevener
A road to assimilation: immigrants and financial markets pp. 345-358 Downloads
Swarnankur Chatterjee and Velma Zahirovic-Herbert

Volume 38, issue 1, 2014

Euro conversion and return dynamics of European financial markets: a frequency domain approach pp. 1-26 Downloads
Axel Grossmann, Emiliano Giudici and Marc Simpson
The influence of industry concentration on merger motives—empirical evidence from machinery industry mergers pp. 27-52 Downloads
Florian Geiger and Dirk Schiereck
The impact of governance characteristics on the stock price of cross listed companies pp. 53-70 Downloads
Inga Chira
Budget deficits and real interest rates: a regime-switching reflection on Ricardian Equivalence pp. 71-83 Downloads
Daniel Choi and Mark Holmes
Interest-rate and calendar-time effects in money market fund and bank deposit cash flows pp. 84-95 Downloads
Vladimir Kotomin, Stanley Smith and Drew Winters
OPEC and political considerations when deciding on oil extraction pp. 96-118 Downloads
Khalid Kisswani
A nonparametric approach to market timing: evidence from Spanish mutual funds pp. 119-132 Downloads
José Alvarez, Laura Andreu, Cristina Ortiz and José Sarto
Hedge funds, fund attributes and risk adjusted returns pp. 133-149 Downloads
Gokce Soydemir, Jan Smolarski and Sangheon Shin
Similarities in fan preferences for minor-league baseball across the American Southeast pp. 150-163 Downloads
Tyler Anthony, Tim Kahn, Briana Madison, Rodney Paul and Andrew Weinbach
Empirical analysis of the impact of cigarette excise taxes on cigarette consumption: estimates from recent state-level data pp. 164-180 Downloads
Richard Cebula, Maggie Foley and Robert Houmes
Page updated 2025-04-14