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The European Journal of Finance

1995 - 2025

Current editor(s): Chris Adcock

From Taylor & Francis Journals
Bibliographic data for series maintained by Chris Longhurst ().

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Volume 29, issue 18, 2023

Capital ideas: optimal capital accumulation strategies for a bank and its regulator pp. 2075-2106 Downloads
Kristoffer Glover, Paul V. Johnson, Geoffrey W. Evatt and Mingliang Cheng
People and investor attention to climate change pp. 2107-2127 Downloads
Mauro Aliano, Giuseppe Galloppo and Viktoriia Paimanova
The information content of currency option-implied volatilities: implications for ex-ante forecasts of global equity correlations pp. 2128-2153 Downloads
Antonio Figueiredo, Ali M. Parhizgari and Brice Dupoyet
The impact of government borrowing on corporate acquisitions: international evidence pp. 2154-2179 Downloads
Azizjon Alimov

Volume 29, issue 17, 2023

On hedge fund inceptions in a competitive market pp. 1975-2000 Downloads
Tianyi Ma, Kai-Hong Tee and Baibing Li
Are financial development and financial stability complements or substitutes in poverty reduction? pp. 2001-2031 Downloads
Sunny Kumar Singh and Chandan Jha
The pricing of unexpected volatility in the currency market pp. 2032-2046 Downloads
Wenna Lu, Laurence Copeland and Yongdeng Xu
The impact of corporate social responsibility on corporate financialization pp. 2047-2073 Downloads
Kun Su and Yue Lu

Volume 29, issue 16, 2023

Brexit and coronavirus: financial perspectives and future prospects pp. 1825-1834 Downloads
Rakesh K. Bissoondeeal, Jane M. Binner and Costas Milas
UK or the Eurozone: which common currency area can work for Northern Ireland after Brexit? pp. 1835-1848 Downloads
Jane Binner, Sajid M. Chaudhry, James L. Swofford and Meng Tong
Of votes and viruses: the UK economy and economic policy uncertainty pp. 1849-1865 Downloads
Michael Ellington, Marcin Michalski and Costas Milas
The impact of uncertainty on money demand in the UK, US and Euro area pp. 1866-1884 Downloads
Rakesh K. Bissoondeeal, Jane M. Binner and Michail Karoglou
Euro area monetary asset demand and Divisia aggregates** pp. 1885-1912 Downloads
Adrian R. Fleissig, Barry Jones and Zsolt Darvas
Brexit spillovers: how economic policy uncertainty affects foreign direct investment and international trade pp. 1913-1932 Downloads
Xiaoqing An, William Barnett, Xue Wang and Qingyuan Wu
The stable tail dependence and influence among the European stock markets: a score-driven dynamic copula approach pp. 1933-1956 Downloads
William Barnett, Xue Wang, Hai-Chuan Xu and Wei-Xing Zhou
Neither true nor fairweather friend: relationship banking and SME borrowing under Covid-19 pp. 1957-1974 Downloads
Tianshu Zhao, Kent Matthews and Max Munday

Volume 29, issue 15, 2023

Do industry differences affect firm-specific capital structure determinants? pp. 1705-1715 Downloads
Nikolaos Daskalakis, Angelos Kakavas and Spyros Missiakoulis
Corporate tax-shields and capital structure: leveling the playing field in debt vs equity finance pp. 1716-1735 Downloads
Yifei Cao and Kemar Whyte
The effects of bundling strategy on bank interest margins: theoretical and empirical evidence pp. 1736-1760 Downloads
Caner Gerek
How do fintech start-ups affect financial institutions’ performance and default risk? pp. 1761-1792 Downloads
Christian Haddad and Lars Hornuf
Are fund managers incentivised to ignore stock market jumps? pp. 1793-1823 Downloads
Ilias Chondrogiannis, Mark Freeman and Andrew Vivian

Volume 29, issue 14, 2023

Forecasting international REITs volatility: the role of oil-price uncertainty pp. 1579-1597 Downloads
Jiqian Wang, Rangan Gupta, Oguzhan Cepni and Feng Ma
The spirit of capitalism, investment, and consumption smoothing pp. 1598-1620 Downloads
Bo Liu, Yingjie Niu and Yingjue Wang
Expected profitability, the 52-week high and the idiosyncratic volatility puzzle pp. 1621-1648 Downloads
Maher Khasawneh, David G. McMillan and Dimos Kambouroudis
Mutual fund centrality and the remote acquisitions of listed firms in China* pp. 1649-1677 Downloads
Shenglan Chen, Jing Li, Xiaoling Liu and Cheng Yan
Bank liquidity and capital shocks in unconventional times pp. 1678-1703 Downloads
Aleksandra Baros, Ettore Croci, Viktor Elliot and Magnus Willesson

Volume 29, issue 13, 2023

The effects of top management team strategic cognition on corporate financial health and value: an interactive multi-dimensional approach pp. 1461-1492 Downloads
Rexford Attah-Boakye, Laura A. Costanzo, Yilmaz Guney and Waymond Rodgers
Is business formation driven by sentiment or fundamentals? pp. 1493-1519 Downloads
Kim Kaivanto and Peng Zhang
P2P lending and outside entrepreneurial finance pp. 1520-1537 Downloads
Jerry Coakley and Winifred Huang
Agricultural entrepreneurship fostering from behavioral decision theory perspective. Celebrity branding impact on financial and non-financial motivation pp. 1538-1554 Downloads
Natalia Dobryagina
Is the investor's reliance on cognition and emotional regulation predict preference for selecting value versus growth stocks? pp. 1555-1578 Downloads
Fawad Ahmad and Raffaele Oriani

Volume 29, issue 12, 2023

Do central bank sentiment shocks affect liquidity within the European Monetary Union? A computational linguistics approach pp. 1355-1381 Downloads
Robert Mullings
The impact of CEO education on convertible bond issuance pp. 1382-1405 Downloads
Amedeo De Cesari, Marie Dutordoir and Zainab Mehmood
Valuing basket-spread options with default risk under Hawkes jump-diffusion processes pp. 1406-1431 Downloads
Zelei Li, Dan Tang and Xingchun Wang
The relevance of banks to the European stock market pp. 1432-1459 Downloads
Andreas Kick and Horst Rottmann

Volume 29, issue 11, 2023

Can social capital and reputation mitigate political and market competition risk? pp. 1229-1266 Downloads
Dimitris Andriosopoulos and Sheikh Tanzila Deepty
The stress contagion among financial markets and its determinants pp. 1267-1302 Downloads
Baohui Wu, Feng Min and Fenghua Wen
Portfolio management using time-varying vine copula: an application on the G7 equity market indices pp. 1303-1329 Downloads
Phong Minh Nguyen and Wei-Han Liu
Distributional properties of the book to market ratio and their implications for empirical analysis pp. 1330-1353 Downloads
Diandian Ma, Adrian Melia, Xiaojing Song, Mark Tippett and John van der Burg

Volume 29, issue 10, 2023

Reference-dependent preferences and stock market participation pp. 1043-1063 Downloads
Yuwei Liu, Jiangyi Li and Guoying Deng
Are cryptos becoming alternative assets? pp. 1064-1105 Downloads
Daniel Traian Pele, Niels Wesselhöfft, Wolfgang Karl Härdle, Michalis Kolossiatis and Yannis G. Yatracos
Corporate hedging, family firms, and CEO identity pp. 1106-1143 Downloads
Massimiliano Barbi and Ottorino Morresi
The determinants of liquidity commonality in the Euro-area sovereign bond market pp. 1144-1186 Downloads
Panagiotis Panagiotou, Xu Jiang and Angel Gavilan
Rebalancing effects of commodity indices on open interest, volume and prices pp. 1187-1206 Downloads
Florian Schmid, Herbert Mayer, Markus Wanner and Andreas W. Rathgeber
Dynamic allocations for currency investment strategies pp. 1207-1228 Downloads
Kei Nakagawa and Ryuta Sakemoto

Volume 29, issue 9, 2023

Can financial crisis be detected? Laplacian energy measure pp. 949-976 Downloads
Chuangxia Huang, Yunke Deng, Xin Yang, Xiaoguang Yang and Jinde Cao
Political uncertainty and bond defaults: evidence from the Chinese market pp. 977-998 Downloads
Jin Zou, Shuxin Li, Zihan Xu and Guoying Deng
On the impact of low interest rates on common withdrawal rules in old age pp. 999-1021 Downloads
An Chen, Stefan Schelling and Nils Sørensen
EU Regulation and open market share repurchases: new evidence pp. 1022-1042 Downloads
Angeliki Drousia, Athanasios Episcopos, George Leledakis and Emmanouil G. Pyrgiotakis

Volume 29, issue 8, 2023

Designing a public-private co-investment mechanism to foster venture capital pp. 869-887 Downloads
Miguel Tavares-Gärtner, Paulo J. Pereira and Elísio Brandão
How does firm prestige affect the cost of bank loans? pp. 888-918 Downloads
Yunhao Dai, Othar Kordsachia and Weiqiang Tan
Board Political Superiority and firm performance variability pp. 919-948 Downloads
Qingfeng Wang and Xingyi Zhang

Volume 29, issue 7, 2023

The new challenges of global banking and finance pp. 693-699 Downloads
Winifred Huang, Philip Molyneux, Steven Ongena and Ru Xie
The economics of banking regulation in Europe: does the post-GFC bail-in regime effectively eliminate implicit government guarantees? pp. 700-725 Downloads
Sascha Hahn, Paul P. Momtaz and Axel Wieandt
Financial stability: a ‘vaccine’ for tail risk of the global banking sector in the shadow of the pandemic pp. 726-753 Downloads
Vu Quang Trinh, Ngan Duong Cao and Marwa Elnahass
How do local banks respond to natural disasters? pp. 754-779 Downloads
Quynh Anh Do, Van Phan and Duc Tam Nguyen
Do Divisia monetary aggregates help forecast exchange rates in a negative interest rate environment? pp. 780-799 Downloads
Luis Antonio Molinas, Jane M. Binner and Meng Tong
The diversification benefits of cryptocurrency asset categories and estimation risk: pre and post Covid-19 pp. 800-825 Downloads
Xinyu Huang, Weihao Han, David Newton, Emmanouil Platanakis, Dimitrios Stafylas and Charles Sutcliffe
Linguistic errors and investment decisions: the case of ICO white papers pp. 826-868 Downloads
Jennifer Thewissen, James Thewissen, Wouter Torsin and Özgür Arslan-Ayaydin

Volume 29, issue 6, 2023

The dynamics of returns predictability in cryptocurrency markets pp. 583-611 Downloads
Daniele Bianchi, Massimo Guidolin and Manuela Pedio
Are financially constrained firms susceptible to a stock price crash? pp. 612-637 Downloads
Guanming He and Helen Mengbing Ren
The effect of ‘underwriter–issuer’ personal connections on IPO underpricing pp. 638-668 Downloads
Seyed Hossein Khatami, Maria-Teresa Marchica and Roberto Mura
Analyzing spillover effects from data breaches to the US (cyber) insurance industry pp. 669-692 Downloads
Christian Eckert, Nadine Gatzert and Madeline Schubert

Volume 29, issue 5, 2023

Momentum and market volatility: a Bayesian regime-switching model pp. 483-507 Downloads
Jia Cao and Laurence Copeland
In search of pairs using firm fundamentals: is pairs trading profitable? pp. 508-526 Downloads
Sungju Hong and Soosung Hwang
The design of first-price debt auction when the winning bidder can install capacity that can be expanded or contracted later pp. 527-541 Downloads
Jyh-Bang Jou
Does sound lending infrastructure foster better financial reporting quality of SMEs? pp. 542-566 Downloads
Xing Huang, Xiaodong Wang, Liang Han and Benjamin Laker
Cash shortfall, SEO offer size, and SEO announcement returns pp. 567-582 Downloads
Ebrahim Bazrafshan and Amine Tarazi

Volume 29, issue 4, 2023

The effect of board independence on firm performance – new evidence from product market conditions pp. 363-392 Downloads
Xiaoyuan Hu, Danmo Lin and Onur Kemal Tosun
Organizational culture, competition and bank loan loss provisioning pp. 393-418 Downloads
Hiep N. Luu, Linh H. Nguyen and John Wilson
The impact of ERM on insurer performance under the Solvency II regulatory framework pp. 419-443 Downloads
Luis Otero González, Pablo Durán Santomil and Robert E. Hoyt
Does equity mutual fund factor-risk-shifting pay off? Evidence from the US pp. 444-465 Downloads
Cesario Mateus, Sohan Sarwar and Natasa Todorovic
Tail risks and forecastability of stock returns of advanced economies: evidence from centuries of data* pp. 466-481 Downloads
Afees Salisu, Rangan Gupta and Ahamuefula Ogbonna

Volume 29, issue 3, 2023

Price discovery and gains from trade in asset markets with insider trading pp. 255-277 Downloads
Tobias Brünner and René Levínský
Does social trust restrict dual agency costs? Evidence from China pp. 278-306 Downloads
Kun Su and Haiyan Jiang
The macroeconomic content of analyst news during economic crises and bailouts pp. 307-328 Downloads
Olga-Chara Pavlopoulou-Lelaki
Senior-subordinated structure: buffer or signal in securitisation? pp. 329-362 Downloads
Stefano Filomeni and Konstantinos Baltas

Volume 29, issue 2, 2023

Strategic complementarities, geographical agglomeration, and firm investment pp. 135-154 Downloads
José Jorge
Do CSR ethics dominate weak shareholder protection? The case of corporate insider trading in Europe pp. 155-184 Downloads
Sophie Carran, Allan Hodgson, Shahrokh M. Saudagaran and Zhengling Xiong
Reevaluating the risk minimization utility of Islamic stocks and bonds (Sukuk) in international financial markets pp. 185-206 Downloads
Imtiaz Sifat, Azhar Mohamad, Heng Chao Zhang and Philip Molyneux
Social media coverage and post-earnings announcement drift: evidence from seeking alpha pp. 207-227 Downloads
Rong Ding, Yukun Shi and Hang Zhou
Brand capital and credit ratings pp. 228-254 Downloads
Mostafa Monzur Hasan and Grantley Taylor

Volume 29, issue 1, 2023

Bank funding constraints and stock liquidity pp. 1-16 Downloads
Philip Molyneux, Qingwei Wang, Ru Xie and Binru Zhao
Modeling market fluctuations under investor sentiment with a Hawkes-Contact process pp. 17-32 Downloads
Junhuan Zhang, Jiaqi Wen and Jing Chen
The unintended consequence of social media criticisms: an earnings management perspective pp. 33-57 Downloads
Yi Li, Wei Zhang, Andrew Urquhart and Pengfei Wang
To be or not to be in the EU: the international economic effects of Brexit uncertainty pp. 58-85 Downloads
Panagiota Makrychoriti and Spyros Spyrou
Private firms, corporate investment and the WACC: evidence from France pp. 86-110 Downloads
Juan Carluccio, Clément Mazet-Sonilhac and Jean-Stéphane Mésonnier
Why do firms purchase directors and officers liability insurance? – a perspective from short selling threats pp. 111-133 Downloads
Haiyan Jiang and Kun Su
Page updated 2025-04-02