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 33, issue 4, 2009
- Spillover effects on government bond yields in euro zone. Does full financial integration exist in European government bond markets? pp. 331-363

- Faruk Balli
- Multiple shifts and fractional integration in the US and UK unemployment rates pp. 364-375

- Guglielmo Maria Caporale and Luis Gil-Alana
- Does time have value? An empirical examination of the put option embedded in refundable U.S. air fares pp. 376-392

- Ray Sturm and Drew Winters
- Real exchange rate, stationarity, and economic fundamentals pp. 393-409

- Angelos Kanas
- Predicting stock splits with the help of firm-specific experiences pp. 410-421

- Kevin Krieger and David Peterson
- Age, investing horizon and asset allocation pp. 422-436

- James Dow
Volume 33, issue 3, 2009
- Market reactions to announcements to expense options pp. 223-245

- Larry Prather, Ting-Heng Chu and Paul Bayes
- Economic freedom: a comparative study pp. 246-258

- Rolando Peláez
- Deposit rate sensitivity of credit union shares pp. 259-272

- Liliana Stern, Steve Swidler and Christoph Hinkelmann
- US elections and monthly stock market returns pp. 273-287

- Steven Jones and Kevin Banning
- Structural changes, market growth and productivity gains of the US real estate investment trusts in the 1990s pp. 288-315

- John Topuz and İhsan Işık
- Foreign direct investment and its impact on the Thai economy: the role of financial development pp. 316-323

- James Ang
- The Obama effect pp. 324-329

- Dennis Halcoussis, Anton Lowenberg and G. Phillips
Volume 33, issue 2, 2009
- The relation between the equity risk premium and the bond maturity premium in the UK: 1900–2006 pp. 111-127

- Angelos Kanas
- An examination of the performance and prospects for the future of internet-primary banks pp. 128-147

- Ken Cyree, Natalya Delcoure and Ross Dickens
- Specialization of state sectoral employment pp. 148-160

- Edward Nissan and George Carter
- Entrenched management, capital structure changes and firm value pp. 161-175

- Leonard Lundstrum
- The Feldstein–Horioka puzzle in Latin American and Caribbean countries: a panel cointegration analysis pp. 176-188

- N. Vasudeva Murthy
- Convertibles and milestones in staged financing pp. 189-221

- Lanfang Wang and Susheng Wang
Volume 33, issue 1, 2009
- Do liquidity induced changes in aggregate dividends signal aggregate future earnings growth? pp. 1-12

- Christi Wann and D. Long
- A multivariate unobserved component analysis of US housing market pp. 13-26

- Mohamadou Fadiga and Yongsheng Wang
- Agency problems in tracking stock and minority carve-out decisions: Explaining the discrepancy in short- and long-term performances pp. 27-42

- Wei He, Tarun Mukherjee and Peihwang Wei
- The permanent income hypothesis in five major industrial countries: a multivariate trend-cycle decomposition test pp. 43-59

- Hassan Shirvani and Barry Wilbratte
- How useful are signals? A micro-structure analysis pp. 60-70

- Michele O’Neill and Judith Swisher
- Equilibrium exchange rates in oil-exporting countries pp. 71-79

- Iikka Korhonen and Tuuli Juurikkala
- On understanding mutual fund terminations pp. 80-99

- Qiang Bu and Nelson Lacey
- Inter-industry differences in layoff announcement effects for financial institutions pp. 100-110

- Julie Cagle, Amit Sen and James Pawlukiewicz
Volume 32, issue 4, 2008
- How to value a life pp. 311-323

- W Viscusi
- Introduction to the special issue in honor of Richard Abel Musgrave pp. 324-329

- Attiat Ott and Richard Cebula
- A tribute to Richard Abel Musgrave pp. 330-333

- Attiat Ott, Robert Solow, Henry Aaron, Martin Feldstein, Oliver Oldman and Paul Samuelson
- Public finance and three branch model pp. 334-339

- Richard Musgrave
- Comments on two Musgravian concepts pp. 340-347

- Peggy Musgrave
- Musgrave’s vision of the public sector: the complex relationship between individual, society and state in public good theory pp. 348-355

- Karl Case
- The public economics of self control pp. 356-367

- Sang Hoo Bae and Attiat Ott
- The relative decline of a Musgrave ‘Merit Good:’ the case of public support of flagship public universities pp. 368-379

- James Koch
- State-imposed solutions to negative externalities: employment impact of pollution abatement policy pp. 380-393

- Richard Cebula, Jay Carmichael and Holly Meads
- “A reappraisal of social security financing”—revisited pp. 394-408

- Alicia Munnell
- The behavioral justification for public pensions: a survey pp. 409-425

- T. Scott Findley and Frank Caliendo
- Musgrave’s “target saver” theory: Implications for macroeconomic stability and economic policy effectiveness” pp. 426-433

- Richard Cebula and Shyam Menon
Volume 32, issue 3, 2008
- The J-Curve: Evidence from commodity trade between Canada and the U.S pp. 207-225

- Mohsen Bahmani-Oskooee and Marzieh Bolhasani
- The retention of CEOs that make poor acquisitions pp. 226-242

- Carolyn Carroll and John Griffith
- Applying intervention analysis to financial performance data: The case of US airlines and September 11th pp. 243-259

- Vitaly Guzhva
- Short-cuts in issuance decisions and subsequent small firm performance pp. 260-270

- Mike Cudd, Marcelo Eduardo and Lloyd Roberts
- Noise trading and autocorrelation interactions in the foreign exchange market: Evidence from developed and emerging economies pp. 271-293

- Nikiforos Laopodis
- The long-run performance of diversifying firms pp. 294-310

- David Hyland
Volume 32, issue 2, 2008
- Interest rate and bank stock returns asymmetry: Evidence from U.S. banks pp. 105-118

- Priti Verma and Dave Jackson
- A macroeconomic analysis of foreign assets and foreign liabilities pp. 119-135

- Ying Wu
- An investigation of long memory in various measures of stock market volatility, using wavelets and aggregate series pp. 136-147

- Robert DiSario, Hakan Saraoglu, Joseph McCarthy and Hui Li
- Incorporating correlation regimes in an integrated stressed risk modeling process pp. 148-157

- José Aragonés and Carlos Blanco
- Potential targets: An analysis of stock price reactions to acquisition program announcements pp. 158-175

- Gurmeet Bhabra
- The determinants and survival of reverse mergers vs IPOs pp. 176-194

- Frederick Adjei, Ken Cyree and Mark Walker
- Smoking prevalence in the United States: Differences across socioeconomic groups pp. 195-205

- Rajeev Goel
Volume 32, issue 1, 2008
- Pricing behavior of exchange traded funds pp. 1-23

- Jeff Madura and Thanh Ngo
- Duration dependence in US business cycles: An analysis using the modulated power law process pp. 25-34

- Haigang Zhou and Steven Rigdon
- Testing for infinite order stochastic dominance with applications to finance, risk and income inequality pp. 35-46

- John Knight and Stephen Satchell
- Predicting capacity utilization: Federal Reserve vs time-series models pp. 47-57

- Hamid Baghestani
- A closer look at Black–Scholes option thetas pp. 59-74

- Douglas Emery, Weiyu Guo and Tie Su
- Day trading and stock price volatility pp. 75-89

- Petri Kyröläinen
- Degrees of tax indexation and nominal interest rates: Effects of inflation on incentives to save and invest pp. 91-104

- Anandi Sahu
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