[go: up one dir, main page]

  EconPapers    
Economics at your fingertips  
 

The Financial Review

1984 - 2024

Current editor(s): Cynthia J. Campbell and Arnold R. Cowan

From Eastern Finance Association
Contact information at EDIRC.

Bibliographic data for series maintained by Wiley Content Delivery ().

Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 59, issue 3, 2024

The questions being asked: Academic research, the media, and regulators pp. 549-560 Downloads
Michelle Lowry
Stock market and the psychological health of investors pp. 561-587 Downloads
Chang Liu and Maoyong Fan
Is rising student debt affecting retirement savings? Evidence from the survey of consumer finances pp. 589-623 Downloads
Birzhan Batkeyev, Mine Ertugrul, Karthik Krishnan and Pinshuo Wang
Awe of the blue minds: Location, corporate social responsibility, and firm value pp. 625-656 Downloads
Ghada Ismail
Corporate social responsibility and investor relationship management pp. 657-685 Downloads
Jie Jiao, Yanyang Wang and An Yan
Do firms led by founders take higher risk? pp. 687-717 Downloads
Edward Lawrence, Yuka Nishikawa and Arun Upadhyay
CEO overcaution and capital structure choices pp. 719-743 Downloads
Francesco Rocciolo, Andrea Gheno and Chris Brooks
Discrimination announcements, employee opinion, and capital structure: Evidence from the EEOC pp. 745-777 Downloads
Spencer Barnes
Trade credit and corporate digital transformation: The role of managerial ability pp. 779-806 Downloads
Liukai Wang, Caiting Wang, Larisa Yarovaya and Heshu Huang
Efficient Market Hypothesis on the blockchain: A social‐media‐based index for cryptocurrency efficiency pp. 807-829 Downloads
Efstathios Polyzos, Ghulame Rubbaniy and Mieszko Mazur

Volume 59, issue 2, 2024

Is corporate finance research in decline? pp. 257-264 Downloads
David J. Denis
Short selling and readability in financial disclosures: A controlled experiment pp. 265-292 Downloads
Minxing Sun and Weike Xu
ETF and corporate reporting pp. 293-323 Downloads
In Ji Jang and Namho Kang
Does negative news disclosure induce better decision‐making? Evidence from acquisitions pp. 325-372 Downloads
Chinmoy Ghosh, Cristian Pinto‐Gutiérrez and Jaideep Shenoy
Under the spotlight: The peer standard in CSR and the role of public attention pp. 373-390 Downloads
Hirofumi Nishi and S. Drew Peabody
Corporate insiders’ exploitation of investors’ anchoring bias at the 52‐week high and low pp. 391-432 Downloads
Meziane Lasfer and Xiaoke Ye
Does informal governance matter to institutional investors? Evidence from social capital pp. 433-457 Downloads
Kershen Huang and Chenguang Shang
Sentiment and the cross‐section of expected stock returns pp. 459-485 Downloads
Gady Jacoby, Chi Liao, Nanying Lin and Lei Lu
Returns to scale in cost, revenue, and profit for European banks: New results from nonparametric local linear methods pp. 487-517 Downloads
Ji Wu and Shirong Zhao
Good risk measures, bad statistical assumptions, ugly risk forecasts pp. 519-543 Downloads
Michael Michaelides and Niraj Poudyal

Volume 59, issue 1, 2024

The papers I can't write pp. 5-8 Downloads
Paul Schultz
Determinants of commodity market liquidity pp. 9-30 Downloads
Pankaj K. Jain, Ayla Kayhan and Esen Onur
Where does ex‐dividend trading occur: An examination of trading venues around dividends pp. 31-55 Downloads
Justin Cox, Kathleen P. Fuller and Robert Van Ness
Share repurchases and managerial reference points pp. 57-87 Downloads
Nicholas Clarke, Dylan Norris and Andrew Schrowang
Board cultural diversity and firm performance under competitive pressures pp. 89-111 Downloads
Olga Dodd, Bart Frijns, Robin Kaiji Gong and Shushu Liao
Interstate migration‐based social networks and M&A decisions pp. 113-153 Downloads
Suin Lee, Christos Pantzalis and Jung Chul Park
Repeated innovations and excessive spin‐offs pp. 155-179 Downloads
Pierre Mella‐Barral and Hamid Sabourian
The determinants of limit order cancellations pp. 181-201 Downloads
Petter Dahlström, Björn Hagströmer and Lars L. Nordén
Short seller monitoring and real earnings management pp. 203-225 Downloads
Tianyu Cai, Lixiong Guo and Yongxian Tan
Bank competition and the design of syndicated loans pp. 227-251 Downloads
Chongyang Chen and Robert Kieschnick

Volume 58, issue 4, 2023

For corporate finance to truly advance we need more genuinely testable models pp. 657-661 Downloads
Matthew Spiegel
Does corporate diversification retrench the effects of firm‐level political risk? pp. 663-702 Downloads
M. Kabir Hassan, M. Sydul Karim and Tarun Mukherjee
Political geography and the value relevance of real options pp. 703-733 Downloads
Shaddy Douidar, Christos Pantzalis and Jung Chul Park
Dual holding and bank risk pp. 735-763 Downloads
Stefano Bonini and Ali Taatian
Exploring the performance of US international bond mutual funds pp. 765-782 Downloads
Jonathan Fletcher, Elizabeth Littlejohn and Andrew Marshall
Credit information sharing and cost of debt: Evidence from the introduction of credit bureaus in developing countries pp. 783-810 Downloads
Samuel Fosu, Henry Agyei‐Boapeah and Neytullah Ciftci
Technological innovation and stock returns: Innovative skill versus innovative luck pp. 811-832 Downloads
Ben Angelo and Mitchell Johnston
Shareholder litigation and short selling ahead of private equity placements pp. 833-858 Downloads
Onur Bayar, Yini Liu and Juan Mao
An empirical evaluation of dynamic approaches for estimating firms’ expected cost of equity capital pp. 859-886 Downloads
Jan A. Kempkes, Francesco Suprano and Andreas Wömpener
The price impact of analyst revisions and the state of the economy: Evidence around the world pp. 887-930 Downloads
Chen Su

Volume 58, issue 3, 2023

Finance research: What are the new frontiers? pp. 453-462 Downloads
Anjan V. Thakor
Uncertainty and corporate investments in response to the Fed's dual shocks pp. 463-484 Downloads
Samer Adra and Elie Menassa
Unveil the veil of limited liability: Evidence from firm investment pp. 485-511 Downloads
Jiaqi Qin and Yan Sun
Are polluters shunned? A study on the institutional ownership and returns of polluter stocks pp. 513-537 Downloads
Mihir Tirodkar and Henk Berkman
Understanding the transmission of crash risk between cryptocurrency and equity markets pp. 539-573 Downloads
Peng‐Fei Dai, John W. Goodell, Luu Duc Toan Huynh, Zhifeng Liu and Shaen Corbet
A shot in the arm: The effect of COVID‐19 vaccine news on financial and commodity markets pp. 575-596 Downloads
Oleg Kucher, Alexander Kurov and Marketa Halova Wolfe
Political connections of Chinese fund management companies and fund performance pp. 597-627 Downloads
Chao He, Lawrence Kryzanowski and Yunfei Zhao
Are mergers and acquisitions beneficial to consumers? Evidence from the property‐liability insurance industry pp. 629-652 Downloads
Jeungbo Shim

Volume 58, issue 2, 2023

The impact of exchange listing on corporate governance: Evidence from direct listings pp. 197-234 Downloads
Dan W. French, Thibaut G. Morillon, Adam S. Yore and Andrew E. Kern
COVID‐19 intensity across U.S. states and the liquidity of U.S. equity markets pp. 235-259 Downloads
Ahmed Baig, Jason Berkowitz, Jared DeLisle and Todd Griffith
Governance and leverage: International evidence pp. 261-285 Downloads
Hamdi Driss, Sadok El Ghoul, Omrane Guedhami and John K. Wald
Investor attention and the use of leverage pp. 287-313 Downloads
Denis Davydov and Jarkko Peltomäki
International evidence on the association of leverage with stock returns and the value premium pp. 315-341 Downloads
Luis García‐Feijóo and Benjamin A. Jansen
Trading under uncertainty about other market participants pp. 343-367 Downloads
Dimitris Papadimitriou
Effect of high‐frequency trading on mutual fund performance pp. 369-394 Downloads
Nan Qin and Vijay Singal
Trade secrets protection and stock price crash risk pp. 395-421 Downloads
Dan Hu, Eunju Lee and Bingxin Li
Does skilled labor risk matter to suppliers? Evidence from trade credit pp. 423-447 Downloads
Joye Khoo and Adrian (Wai Kong) Cheung

Volume 58, issue 1, 2023

Do uninformed traders move prices? Evidence from the Bank of Japan's ETF purchasing program pp. 5-18 Downloads
Luke Bouffler, Amy Kwan, Lantian Liang and Richard Philip
“I just like the stock”: The role of Reddit sentiment in the GameStop share rally pp. 19-37 Downloads
Suwan (Cheng) Long, Brian Lucey, Ying Xie and Larisa Yarovaya
Financial development and the effect of cross‐border bank flows on house prices pp. 39-63 Downloads
Néstor Romero, Sungjun Cho and Stuart Hyde
Who uses robo‐advising and how? pp. 65-89 Downloads
Vishaal Baulkaran and Pawan Jain
The effect of investor service costs on mutual fund performance pp. 91-115 Downloads
George J. Jiang, Tong Yao and Gulnara Zaynutdinova
Auctions versus bookbuilding: The effects of IPO regulation in Japan pp. 117-141 Downloads
Timo Lehmann and Matthias Weber
Risk‐taking begets risk‐taking: Evidence from casino openings and investor portfolios pp. 143-165 Downloads
Chi Liao
Monetary policy, ownership structure, and risk‐taking at financial intermediaries pp. 167-191 Downloads
Giorgio Caselli and Catarina Figueira
Page updated 2024-12-24