Review of Financial Economics
1991 - 2025
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Volume 43, issue 4, 2025
- Retail investor attention and stock return volatility: The moderating role of ownership concentration in China pp. 433-456

- Wenbin Hu and Hui Sun
- Market dynamics and price jumps in crypto and traditional financial assets amidst financial flux pp. 457-476

- Farrukh Nawaz, Mirzat Ullah, Ohaness Paskelian, Umar Kayani and Younis Ahmed Ghulam
- Net interest margin in dual banking systems of the MENA region: Balancing profitability and social responsibility pp. 477-496

- Islam Abdeljawad, Mamunur Rashid, Ajyad Bahlaq and Muiz Abu Alia
- Do investments in information technology (IT) substitute for jobs and non‐IT capital expenditures? pp. 497-518

- Mufaddal Baxamusa and Abu Jalal
- How do leveraged buyouts affect industry peers' performance: Evidence from Europe pp. 519-547

- Manuel C. Kathan
- Dynamic default‐risk spillover of global energy firms: Evidence from five subsectors pp. 548-577

- Zaheer Anwer, Noureddine Benlagha, Nur Ain Shahrier and Amer Almajali
- The hedging of currency risk for U.S. equity investors pp. 578-607

- C. Mitchell Conover, Luis Garcia‐Feijoo, Brian Silverstein and Andrew C. Szakmary
- Bank lending amid geopolitical risk: The GCC case pp. 608-628

- Bayu Arie Fianto and Mansor H. Ibrahim
- From digital finance to innovation: The trust bridge in China pp. 629-661

- Lanshan Gui and Xue Li
Volume 43, issue 3, 2025
- Dynamic cross hedging, conditional co‐movements in commodities and financial markets during subprime and sovereign debt crisis: Evidence from China and G7 countries pp. 261-285

- Victor Moutinho, Luís Almeida, Mateus Neves and João Monteiro
- Passive investing, active decisions: The DAX index inclusion effect pp. 286-296

- Demir Bektić, Asad Khan and Lukas Körber
- Human capital migration networks and stock returns pp. 297-316

- Eric McKee, Yuanyang Liu, Gautam Pant and Shagun Pant
- Innovative startups and their traditional peers: Further evidence using performance and survival analysis pp. 317-335

- Luisa Anderloni and Murad Harasheh
- Unveiling the interconnectedness and volatility transmission between real assets and global stock market indices pp. 336-382

- Dhouha Mellouli, Beatrice D. Simo‐Kengne, Azza Bejaoui and Ahmed Jeribi
- Corporate environmental responsibility and firm growth: International evidence from SMEs pp. 383-406

- Barkat Ullah
- I've got to catch a flight: The effects of investor travel on earnings announcement responses pp. 407-429

- Pia Gupta, Reza Houston and Min‐Yu (Stella) Liao
Volume 43, issue 2, 2025
- Quantile connectedness of artificial intelligence tokens with the energy sector pp. 135-146

- Farooq Malik and Zaghum Umar
- Do reserve requirements restrict bank behavior? pp. 147-165

- Hiroshi Gunji and Kazuki Miura
- Geopolitical risks and cryptocurrency returns pp. 166-191

- Hakan Yilmazkuday
- Disposition effect in group versus individual investors: Evidence from Kenyan stock exchange pp. 192-212

- Mercy Kano, Yaz Muradoglu and John Olukuru
- Speculators and time series momentum in commodity futures markets pp. 213-230

- Björn Uhl
- The impact of Shariah compliance on firm's performance and risk pp. 231-257

- Amel Farhat and Amal Hili
Volume 43, issue 1, 2025
- Tobin's Q and shareholder value: Does “shareholder return” impede investment? pp. 3-7

- Nicolas Piluso
- Stock return predictability and Taylor rules pp. 8-22

- Onur Ince, Lei Jiang and Tanya Molodtsova
- Analyzing the energy markets and financial markets linkage: A bibliometric analysis and future research agenda pp. 23-61

- Ritesh Patel
- Market informed portfolio optimization methods with hybrid quantum computing pp. 62-77

- Giancarlo Martínez Salirrosas, Jinglun Gao, Arthur Yu and Anish Ravi Verma
- Industry peers stock liquidity and M&A pp. 78-94

- Lee M. Dunham and Tirimba Obonyo
- Do investor types matter? A comparative analysis of separate account characteristics and performance pp. 95-110

- Martin Rohleder, Hendrik Tentesch, René Weh and Marco Wilkens
- Management of the governance and social aspects of ESG in the financial industry pp. 111-131

- Jie Jiao and An Yan
Volume 42, issue 4, 2024
- Creating value through ESG: Assessing, measuring, and managing risks and opportunities pp. 347-348

- Atreya Chakraborty
- The steering effect of the EU taxonomy: Evidence from German institutional and retail investors pp. 349-375

- Sandra Chrzan and Christiane Pott
- Factor exposures of environmental, social, and governance (ESG) indexes pp. 376-398

- Asli Ascioglu and Kemal Saatcioglu
- Does the market value corporate impact investing and socially responsible investing? pp. 399-441

- Anthony C. Ng and Zabihollah Rezaee
- Sea‐level rise and firms' financial structure decisions pp. 442-466

- Mengchao Ai, John (Jianqiu) Bai and Chen Shen
- Finance for sustainability: A systematic review on crowdfunding for renewable energy projects pp. 467-490

- Abhishek Mukherjee, Paul Griffiths, Paresha Sinha and Sahil Deol
Volume 42, issue 3, 2024
- A bibliometric analysis of the review papers in finance: Evidence from the last two decades pp. 241-257

- Mustafa Raza Rabbani, M. Kabir Hassan, Austin Dejan, Abu Bashar and Md. Bokhtiar Hasan
- Firm value and the use of financial derivatives: Evidence from developed countries pp. 258-280

- Mohamed A. Ayadi, Donald A. Cyr, Skander Lazrak and Zhangwei Lu
- A resource‐based view of entrepreneurial spin‐outs pp. 281-290

- Pierre Mella‐Barral
- Stock returns and earnings persistence following equity financing and earnings announcement: Considering managerial characteristics pp. 291-315

- Jing‐Chi Chen and Li‐Kai (Connie) Liao
- A rational finance explanation of the stock predictability puzzle pp. 316-327

- Abootaleb Shirvani, Svetlozar T. Rachev and Frank J. Fabozzi
- ESG performance and firm risk in the U.S. financial firms pp. 328-344

- Jooh Lee and Kyungyeon (Rachel) Koh
Volume 42, issue 2, 2024
- Conventional or reverse magnitude effect for negative outcomes: A matter of framing pp. 109-123

- Wolfgang Breuer, Can K. Soypak and Bertram I. Steininger
- Credit rating agencies during credit crunch pp. 124-147

- Ali Ebrahim Nejad, Saeid Hoseinzade and Ali Niazi
- Liquidity risk and CMBX microstructure pp. 148-185

- Andreas D. Christopoulos and Joshua G. Barratt
- How does equity derivative market affect economic growth? Evidence from the Asia‐Pacific region pp. 186-205

- S. M. R. K. Samarakoon, Rudra P. Pradhan and Rana P. Maradana
- Liquidity provision and trading skill: Evidence from mutual funds' daily transactions pp. 206-238

- René Weh, Joakim Westerholm, Marco Wilkens and Juan Yao
Volume 42, issue 1, 2024
- Small business administration loans, economic development, and state‐level employment pp. 3-20

- Paul E. Orzechowski
- On the time‐varying relationship between coskewness and returns of banks pp. 21-38

- Silvia Bressan and Alex Weissensteiner
- The effects of foreign bank presence on financial development in Africa: The role of institutional quality pp. 39-54

- Khadijah Iddrisu, Joshua Yindenaba Abor and Kannyiri T. Banyen
- How do leveraged buyouts affect industry peers? Analysis of the information and the competition channels pp. 55-78

- Manuel C. Kathan and Tereza Tykvova
- Stakeholder orientation and product market performance: Evidence from a natural experiment pp. 79-92

- Juntai Lu and Jia Wei
- Leverage target and R&D spending pp. 93-105

- Sharier Azim Khan
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