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Review of Financial Economics

1991 - 2025

From John Wiley & Sons
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Volume 36, issue 4, 2018

Monetary policy rules and the equity risk premium: Evidence from the US experience pp. 287-299 Downloads
Nicholas Apergis and James Payne
The low beta anomaly: A corporate bond investor's perspective pp. 300-306 Downloads
Demir Bektić
Basel III capital regulations and bank profitability pp. 307-320 Downloads
Vighneswara Swamy
Is there a missing factor? A canonical correlation approach to factor models pp. 321-347 Downloads
Seung C. Ahn, Stephan Dieckmann and M. Fabricio Perez
S&P 500 Index revisions and credit spreads pp. 348-363 Downloads
Lindsay Baran, Ying Li, Chang Liu, Zilong Liu and Xiaoling Pu

Volume 36, issue 3, 2018

Real interest parity: Evidence from trade partnerships pp. 199-205 Downloads
Mustapha Ibn Boamah
Warrant price responses to credit spread changes: Fact or fiction? pp. 206-219 Downloads
Andrea Schertler and Saskia Stoerch
An additional analysis of estimation techniques for the degree of financial leverage pp. 220-231 Downloads
Steven Stelk, Sang‐Hyun Park, Simon Medcalfe and Michael T. Dugan
Does the source of debt financing affect default risk? pp. 232-251 Downloads
Wan‐Chien Chiu, Chih‐Wei Wang and Juan Ignacio Peña
Marriage between credit cards and the Internet: Buying is just a click away! pp. 252-266 Downloads
Hem C. Basnet and Ficawoyi Donou‐Adonsou
Analyzing the effect of derivatives on the financial soundness of commercial banks in Italy: An approach based on the CAMELS framework pp. 267-283 Downloads
Mohamed Keffala

Volume 36, issue 2, 2018

Evaluating risk‐based capital regulation pp. 83-96 Downloads
Thomas Hogan, Neil R. Meredith and Xuhao (Harry) Pan
Banks’ earnings: Empirical evidence of the influence of economic and financial market factors pp. 97-116 Downloads
Stéphane Albert and Hervé Alexandre
Who drives whom ‐ sukuk or bond? A new evidence from granger causality and wavelet approach pp. 117-132 Downloads
Md. Mahmudul Haque, Mohammad Ashraful Chowdhury, Abdul Aziz Buriev, Obiyathulla Bacha and Abul Masih
Using partial least square discriminant analysis to distinguish between Islamic and conventional banks in the MENA region pp. 133-148 Downloads
Asma Sghaier, Sami Ben Jabeur and Boutheina Bannour
Corporate social responsibility and the wealth gains from dividend increases pp. 149-166 Downloads
Charmaine Glegg, Oneil Harris and Thanh Ngo
Over‐investment or risk mitigation? Corporate social responsibility in Asia‐Pacific, Europe, Japan, and the United States pp. 167-193 Downloads
Sebastian Utz

Volume 36, issue 1, 2018

Public disclosure in acquisitions pp. 3-11 Downloads
Avanidhar Subrahmanyam and Wenyuan Xu
Bank net interest margins, the yield curve, and the 2007–2009 financial crisis pp. 12-32 Downloads
Peter V. Egly, David W. Johnk and André Varella Mollick
The commodity super price cycle and real options: Implications for the Greeks of mining firms pp. 33-46 Downloads
José Guedes
Corporate governance and firm value at dual class firms pp. 47-71 Downloads
Ting Li and Nataliya Zaiats
International Islamic funds pp. 72-80 Downloads
Kathrin Lesser and Christian Walkshäusl

Volume 35, issue 1, 2017

Volatility measures as predictors of extreme returns pp. 1-10 Downloads
Lorne Switzer, Cagdas Tahaoglu and Yun Zhao
Trend in aggregate idiosyncratic volatility pp. 11-28 Downloads
Kiseok Nam, Shahriar Khaksari and Moonsoo Kang
Tracing dynamic linkages and spillover effect between Pakistani and leading foreign stock markets pp. 29-42 Downloads
Ghulam Ghouse and Saud Ahmed Khan
Persistence of announcement effects on the intraday volatility of stock returns: Evidence from individual data pp. 43-56 Downloads
Remzi Uctum, Patricia Renou‐Maissant, Georges Prat and Sylvie Lecarpentier‐Moyal
Oil price shocks and volatility spillovers in the Nigerian sovereign bond market pp. 57-65 Downloads
Moses K. Tule, Umar B. Ndako and Samuel F. Onipede
A behavioural explanation to the asymmetric volatility phenomenon: Evidence from market volatility index pp. 66-81 Downloads
Pratap Chandra Pati, Prabina Rajib and Parama Barai

Volume 34, issue 1, 2017

Bank capital and portfolio risk among Islamic banks pp. 1-9 Downloads
Syed Abul Basher, Lawrence M. Kessler and Murat Munkin
Bank levy and bank risk‐taking pp. 10-32 Downloads
Michael Diemer
A fresh look at integration of risks in the international stock markets: A wavelet approach pp. 33-49 Downloads
Hardik A. Marfatia
Characteristics of mutual funds with extreme performance pp. 50-60 Downloads
Jason P. Berkowitz, Patrick J. Schorno and Dmitry A. Shapiro
Long memory or structural breaks: Some evidence for African stock markets pp. 61-73 Downloads
Geoffrey Ngene, Kenneth Tah and Ali F. Darrat
CEO inside debt and bank loan syndicate structure pp. 74-85 Downloads
Liqiang Chen and Hong Fan
An integrated macro‐financial risk‐based approach to the stressed capital requirement pp. 86-98 Downloads
Xiaochun Liu
The other capital infusion program: The case of the Small Business Lending Fund pp. 99-108 Downloads
Eliana Balla, Robert E. Carpenter and Breck L. Robinson

Volume 33, issue 1, 2017

Corporate investment and stock liquidity: Evidence on the price impact of trade pp. 1-11 Downloads
Moonsoo Kang, Wei Wang and Chanyoung Eom
Is there a link between economic growth and insurance and banking sector activities in the G‐20 countries? pp. 12-28 Downloads
Rudra P. Pradhan, Mak Arvin, Mahendhiran Nair, John H. Hall and Atul Gupta
Taming polysemous signals: The role of marketing intensity on the relationship between financial leverage and firm performance pp. 29-40 Downloads
John Bae, Sang‐Joon Kim and Hannah Oh
Foreign bias in Australia's international equity holdings pp. 41-54 Downloads
Anil Mishra
Bank profits, loan activity, and monetary policy: evidence from the FDIC's Historical Statistics on Banking pp. 55-63 Downloads
Paul E. Orzechowski

Volume 32, issue 1, 2017

Additional evidence on transparency and bank financial performance pp. 1-6 Downloads
Aigbe Akhigbe, James E. McNulty and Bradley A. Stevenson
Size is everything: Explaining SIFI designations pp. 7-19 Downloads
Felix Irresberger, Christopher Bierth and Gregor N.F. Weiß
Differential effect of liquidity constraints on firm growth pp. 20-29 Downloads
Syed Manzur Quader
Bank secrecy in offshore centres and capital flows: Does blacklisting matter? pp. 30-57 Downloads
Olga Balakina, Angelo D’Andrea and Donato Masciandaro
The effect of volatility persistence on excess returns pp. 58-63 Downloads
Ajeet Jain and Sascha Strobl
Inside directors, risk aversion, and firm performance pp. 64-74 Downloads
Arun D. Upadhyay, Rahul Bhargava, Sheri Faircloth and Hongchao Zeng

Volume 31, issue 1, 2016

Editorial pp. 1-2 Downloads
M. Kabir Hassan
Time series analysis of financial stability of banks: Evidence from Saudi Arabia pp. 3-17 Downloads
Hassan Ghassan and Stefano Fachin
The composite risk‐sharing finance index: Implications for Islamic finance pp. 18-25 Downloads
Tarık Akın, Zamir Iqbal and Abbas Mirakhor
Why do companies issue sukuk? pp. 26-33 Downloads
Paul‐Olivier Klein and Laurent Weill
Dynamic correlations and volatility linkages between stocks and sukuk: Evidence from international markets pp. 34-44 Downloads
Alex Sclip, Alberto Dreassi, Stefano Miani and Andrea Paltrinieri
Who issues Sukuk and when?: An analysis of the determinants of Islamic bond issuance pp. 45-55 Downloads
Mamoru Nagano
Is momentum trading profitable from Shari'ah compliant stocks? pp. 56-63 Downloads
Bob Li, Mong Shan Ee and Mamunur Rashid
Is it costly to be both shariah compliant and socially responsible? pp. 64-74 Downloads
Elias Erragragui and Christophe Revelli
International evidence on Islamic equity fund characteristics and performance persistence pp. 75-82 Downloads
Rania Makni, Olfa Benouda and Ezzedine Delhoumi
Religion in the boardroom and its impact on Islamic banks' performance pp. 83-88 Downloads
Mohsin Ali and Wajahat Azmi
Customers' perceptions on the dispute resolution clauses in Islamic finance contracts in Malaysia pp. 89-98 Downloads
Umar A. Oseni, Abideen Adewale and Nor Razinah Binti Mohd Zain
Banking efficiency in Gulf Cooperation Council (GCC) countries: A comparative study pp. 99-107 Downloads
Sunil K. Mohanty, Hong‐Jen Lin, Eid A. Aljuhani and Hisham J. Bardesi
Do Islamic stock indices perform better than conventional counterparts? An empirical investigation of sectoral efficiency pp. 108-114 Downloads
Nafis Alam, Shaista Arshad and Syed Aun R. Rizvi
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