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 31, issue 1, 2007
- Export growth and output growth: An application of bounds testing approach pp. 1-11

- Mohsen Bahmani-Oskooee and Maharouf Oyolola
- Spread volume for currency futures pp. 12-19

- Robert Daigler
- A longitudinal study of net interest margin by bank asset size: 1992–2005 pp. 20-32

- Albert DePrince and Pamela Morris
- Ownership structure, expectations, and short sales on the Nasdaq pp. 33-48

- J. Graham and J. Hughen
- Empirical evidence of error in pricing of favorites and longshots in greyhound racing pp. 49-58

- Anil Gulati and Shekar Shetty
- Impact of regulation fair disclosure on the information flow associated with profit warnings pp. 59-74

- Dave Jackson and Jeff Madura
- Technical efficiency in texas nursing facilities: A stochastic production frontier approach pp. 75-86

- Kris Knox, Eric Blankmeyer and J. Stutzman
- The impact of regulation fair disclosure on earnings management and analyst forecast bias pp. 87-98

- Seung-Woog Kwag and Kenneth Small
- The long-run relationship between private and public savings: An empirical note pp. 99-103

- Abir Mandal and James Payne
- National culture and environmental sustainability: A cross-national analysis pp. 104-121

- Hoon Park, Clifford Russell and Junsoo Lee
- An error-correction model for forecasting changes in foreign currency futures spreads pp. 122-142

- Stephen Wilcox and John Geppert
Volume 30, issue 3, 2006
- To what extent are public savings offset by private savings in the OECD? pp. 285-296

- Mark Holmes
- Accidents airline safety perceptions and consumer demand pp. 297-305

- Jay Squalli and Mohsen Saad
- Are there racial differences in faculty salaries? pp. 306-316

- Javed Ashraf and Tayyeb Shabbir
- Obesity: An economic and financial perspective pp. 317-324

- Rajeev Goel
- The valuation effects of bank loan ratings in the presence of multiple monitors pp. 325-346

- Thomas Meyer, Wei-Huei Hsu and Fayez Elayan
- Performance persistence of fixed income mutual funds pp. 347-355

- William Droms and David Walker
- Leveraged stock portfolios over long holding periods: A continuous-time model pp. 356-375

- Dale Domian, Marie Racine and Craig Wilson
- Volatility transmission and financial crises pp. 376-390

- Guglielmo Maria Caporale, Nikitas Pittis and Nicola Spagnolo
- Motives behind equity holding by banks: Evidence from India pp. 391-406

- Mita Choudhury
- Explaining momentum profits with an epidemic diffusion model pp. 407-422

- Nauzer Balsara, Lin Zheng, Andrea Vidozzi and Luca Vidozzi
Volume 30, issue 2, 2006
- The impact of productivity adjusted deviations from PPP on the U.S. inbound FDI: Evidence from Japan, U.K. and Germany pp. 140-154

- Axel Grossmann and Gokce Soydemir
- Prudence and precautionary saving pp. 155-168

- Luigi Ventura and Joseph Eisenhauer
- Bubbles detection for inter-war European hyperinflation: A threshold cointegration approach pp. 169-185

- Hing Chan and Kai Woo
- The measurement of employment diversity for states and regions pp. 186-197

- Edward Nissan and George Carter
- Payroll tax incidence when the tax varies by jurisdiction: The case of the U.S. unemployment insurance tax pp. 198-204

- Kevin Murphy
- Empirics of corruption and crime: Symposium editor’s introduction pp. 205-207

- Serdar Sayan
- The effects of corruption on growth performance of the mena countries pp. 208-221

- Imene Guetat
- Corruption and distribution of public spending in developing countries pp. 222-239

- Clara Delavallade
- Corruption in transition economies: Effects of government size, country size and economic reforms pp. 240-250

- Rajeev Goel and Jelena Budak
- Corruption and the ownership composition of the multinational firm at the time of entry: Evidence from Turkey pp. 251-269

- Ayça Tekin-Koru
- Understanding the determinants of crime pp. 270-284

- Ayse Imrohoroglu, Antonio Merlo and Peter Rupert
Volume 30, issue 1, 2006
- The most frequent contributors to the elite economics journals: Half century of contributions to the “Blue ribbon eight” pp. 1-37

- Jean Heck and Peter Zaleski
- Non-linear and non-symmetric exchange-rate adjustment: Evidence from medium- and high-inflation countries pp. 38-56

- Michael Arghyrou, Virginie Boinet and Christopher Martin
- Do the black market and the official exchange rates converge in the long run? pp. 57-69

- Mohsen Bahmani-Oskooee and Altin Tanku
- Performance compensation contracts and CEOs’ incentive to shift risk to debtholders: An empirical analysis pp. 70-92

- George Benston and Jocelyn Evan
- The dangers of commitment: Monetary policy with adaptive learning pp. 93-104

- George Waters
- Do self-serving managers choose Chapter 11 filing over out-of-court restructuring? pp. 105-114

- Dong-Kyoon Kim
- Identifying regime changes in closed-end fund discounts pp. 115-132

- J. Hughen and Mark Wohar
- Arbitrage opportunities and immunization pp. 133-139

- Joel Barber and Mark Copper
Volume 29, issue 3, 2005
- Profit efficiency sources and differences among small and large U.S. commercial banks pp. 289-299

- Aigbe Akhigbe and James McNulty
- What is the source of different levels of time-series return volatility? the intraday U-shaped pattern or time-series persistence pp. 300-312

- Michael Hughes, Drew Winters and Jerry Rawls
- Why do reits engage in open-market repurchases? pp. 313-320

- Chuo-Hsuan Lee, Chengo Hsieh and Xiaofeng Peng
- Equity private placements, liquid assets, and firm value pp. 321-336

- Brooks and J. Graham
- Do Power GARCH models really improve value-at-risk forecasts? pp. 337-358

- Ané
- Biting the hand that fed it: Did the stock market boom of the late 1990s impede investment in manufacturing? pp. 359-381

- Christian Weller and Brooke Helppie
- Introduction to sports symposium pp. 382-384

- Rodney Paul and Andrew Weinbach
- Appropriate statistical methodology for testing the efficiency of betting markets involving spread and totals pp. 385-390

- M. Woodland and Linda Woodland
- Odds-setting efficiency in gambling markets: Evidence from the PGA TOUR pp. 391-402

- Stephen Shmanske
- Market efficiency and NCAA college basketball gambling pp. 403-408

- Rodney Paul and Andrew Weinbach
- Bettor preferences and market efficiency in football totals markets pp. 409-415

- Rodney Paul and Andrew Weinbach
- The state of research on markets for sports betting and suggested future directions pp. 416-426

- Raymond Sauer
Volume 29, issue 2, 2005
- Stratification economics: The role of intergroup inequality pp. 144-153

- William Darity
- Managerial actions and stock transactions during financial distress: Some empirical evidence pp. 154-171

- Zahid Iqbal and Dan French
- Empirical analysis of up-or-out rules for promotion policies pp. 172-186

- Rosemary Walker
- Accounting contagion: The case of Enron pp. 187-202

- Aigbe Akhigbe, Jeff Madura and Anna Martin
- Impact of liquidity and information on the mispricing of newly public firms pp. 203-220

- Joan Wiggenhorn and Jeff Madura
- Rent seeking and the value of time pp. 221-241

- Edmund Mantell
- CEO compensation, shareholder rights, and corporate governance: An empirical investigation pp. 242-258

- Pornsit Jiraporn, Young Kim and Wallace Davidson
- Dollar-denominated accounts in Latin America during the 1990s pp. 259-270

- Pedro Gomis-Porqueras, Carlos Serrano and Alejandro Somuano
- U.S. Presidential election impact on Canadian and Mexican stock markets pp. 271-279

- Srinivas Nippani and Augustine Arize
- Further evidence of the November effect pp. 280-288

- Ken Johnston and Chris Paul
Volume 29, issue 1, 2005
- Cross-sectional differences in the liquidity effects of open market share repurchases pp. 1-31

- Jaemin Kim
- The 180-day lock-up period and insiders’ equity selling pp. 32-45

- Ayi Ayayi
- Corporate governance and the market impact of the Financial Services Modernization act of 1999 on bank returns and trading volume pp. 46-72

- Carl Pacini, William Hillison, David Marlett and Deanna Burgess
- Decomposition of regional metropolitan and nonmetropolitan income inequality pp. 73-84

- Edward Nissan and George Carter
- Bank mergers and components of risk: An evaluation pp. 85-96

- Suchismita Mishra, Arun Prakash, Gordon Karels and Manferd Peterson
- Does sentiment explain consumption? pp. 97-110

- W. Anthony Bryant and Joseph Macri
- Evidence of liquidity constraints found in theme park ticket auctions pp. 112-121

- Richard Cebula and Richard McGrath
- Capital mobility, foreign aid, and openness: further panel data evidence from sub-Saharan Africa pp. 122-126

- James Payne and Risa Kumazawa
- Dating Business-Cycle turning points pp. 127-137

- Rolando Peláez
- The cyclical nature of family income distribution in the united states: An empirical note pp. 138-143

- Shahdad Naghshpour
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