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Content
November 2024, Volume 59, Issue 7
- 3001-3036 Deep Learning in Characteristics-Sorted Factor Models
by Feng, Guanhao & He, Jingyu & Polson, Nicholas G. & Xu, Jianeng
- 3037-3061 Population Aging and Bank Risk-Taking
by Doerr, Sebastian & Kabaş, Gazi & Ongena, Steven
- 3062-3100 Discontinued Positive Feedback Trading and the Decline of Return Predictability
by Ben-David, Itzhak & Li, Jiacui & Rossi, Andrea & Song, Yang
- 3101-3138 Peer Versus Pure Benchmarks in the Compensation of Mutual Fund Managers
by Evans, Richard & Gómez, Juan-Pedro & Ma, Linlin & Tang, Yuehua
- 3139-3189 Option-Implied Dependence and Correlation Risk Premium
by Bondarenko, Oleg & Bernard, Carole
- 3190-3229 Innovation Under Ambiguity and Risk
by Coiculescu, Gabriela & Izhakian, Yehuda & Ravid, S. Abraham
- 3230-3266 Measuring “State-Level” Economic Policy Uncertainty
by Elkamhi, Redouane & Jo, Chanik & Salerno, Marco
- 3267-3298 The Effects of Antitrust Laws on Horizontal Mergers: International Evidence
by Chung, Chune Young & Hasan, Iftekhar & Hwang, JiHoon & Kim, Incheol
- 3299-3339 Gender and Managerial Job Mobility: Career Prospects for Executives Displaced by Acquisitions
by Guo, Xiaohu & Gupta, Vishal K. & Mortal, Sandra & Nanda, Vikram
- 3340-3375 TAXI! Do Mutual Funds Pursue and Exploit Information on Local Companies?
by Cicero, David C. & Puckett, Andy & Wang, Albert Y. & Zhang, Shen
- 3376-3415 Contracting Costs, Covenant-Lite Lending, and Reputational Capital
by Badoer, Dominique C. & Emin, Mustafa & James, Christopher M.
- 3416-3447 Fast Filtering with Large Option Panels: Implications for Asset Pricing
by Dufays, Arnaud & Jacobs, Kris & Liu, Yuguo & Rombouts, Jeroen
- 3448-3478 Expropriation Risk and Investment: A Natural Experiment
by Bhambhwani, Siddharth M. & Dong, Hui & Huang, Allen H.
- 3479-3499 Bank Competition and Information Production
by De Marco, Filippo & Petriconi, Silvio
- 3500-3530 Are Shadow Rate Models of the Treasury Yield Curve Structurally Stable?
by Kim, Don H. & Priebsch, Marcel A.
September 2024, Volume 59, Issue 6
- 2487-2514 Measuring Firm Complexity
by Loughran, Tim & McDonald, Bill
- 2515-2546 The Smart Beta Mirage
by Huang, Shiyang & Song, Yang & Xiang, Hong
- 2547-2581 Resolving a Paradox: Retail Trades Positively Predict Returns but Are Not Profitable
by Barber, Brad M. & Lin, Shengle & Odean, Terrance
- 2582-2617 Uncovering Financial Constraints
by Linn, Matthew & Weagley, Daniel
- 2618-2646 Stress Testing Banks’ Digital Capabilities: Evidence from the COVID-19 Pandemic
by Kwan, Alan & Lin, Chen & Pursiainen, Vesa & Tai, Mingzhu
- 2647-2694 Friends During Hard Times: Evidence from the Great Depression
by Babina, Tania & García, Diego & Tate, Geoffrey
- 2695-2732 The Downstream Impact of Upstream Tariffs: Evidence from Investment Decisions in Supply Chains
by Martin, Thorsten & Otto, Clemens A.
- 2733-2761 Networking Frictions in Venture Capital, and the Gender Gap in Entrepreneurship
by Howell, Sabrina T. & Nanda, Ramana
- 2762-2798 Hiring High-Skilled Labor Through Mergers and Acquisitions
by Chen, Jun & Hshieh, Shenje & Zhang, Feng
- 2799-2837 Earnings Autocorrelation and the Post-Earnings-Announcement Drift: Experimental Evidence
by Fink, Josef & Palan, Stefan & Theissen, Erik
- 2838-2868 Currency Redenomination Risk
by Kremens, Lukas
- 2869-2898 Friendly Investing and Information Sharing in the Asset Management Industry
by Golez, Benjamin & Rizzo, Antonino Emanuele & Zambrana, Rafael
- 2899-2932 In the CEO We Trust: Negative Effects of Trust Between the Board and the CEO
by Bae, Kee-Hong & El Ghoul, Sadok & Gong, Zhaoran (Jason) & Guedhami, Omrane
- 2933-2969 Big Banks, Household Credit Access, and Intergenerational Economic Mobility
by Mayer, Erik J.
- 2970-3000 Bank Influence at a Discount
by Gersbach, Hans & Papageorgiou, Stylianos
August 2024, Volume 59, Issue 5
- 1997-2037 Reintermediation in FinTech: Evidence from Online Lending
by Balyuk, Tetyana & Davydenko, Sergei
- 2038-2067 The Valuation of Collateral in Bank Lending
by Luck, Stephan & Santos, João A. C.
- 2068-2098 From L.A. to Boise: How Migration Has Changed During the COVID-19 Pandemic
by Haslag, Peter & Weagley, Daniel
- 2099-2132 Labor Mobility and Loan Origination
by Agarwal, Sumit & Lin, Yupeng & Zhang, Yunqi & Zhang, Zilong
- 2133-2163 Refinancing Inequality During the COVID-19 Pandemic
by Agarwal, Sumit & Chomsisengphet, Souphala & Kiefer, Hua & Kiefer, Leonard C. & Medina, Paolina C.
- 2164-2198 Public Disclosure and Consumer Financial Protection
by Dou, Yiwei & Roh, Yongoh
- 2199-2225 Fintech Lending and Credit Market Competition
by Chu, Yinxiao & Wei, Jianxing
- 2226-2255 Executive Partisanship and Corporate Investment
by Rice, Anthony B.
- 2256-2298 Corporate Financial Frictions and Employee Mental Health
by Kárpáti, Dániel & Renneboog, Luc
- 2299-2339 An Experiment in Tight Monetary Policy: Revisiting the 1920–1921 Depression
by Carlin, Bruce & Mann, William
- 2340-2374 Government Stock Purchase Undermines Price Informativeness: Evidence from China’s “National Team”
by Dang, Tri Vi & Li, Wei & Wang, Yongqin
- 2375-2398 Lending Next to the Courthouse: Exposure to Adverse Events and Mortgage Lending Decisions
by Huo, Da (Derek) & Sun, Bo & Tai, Mingzhu & Xuan, Yuhai
- 2399-2424 Can Capital Adjustment Costs Explain the Decline in Investment–Cash Flow Sensitivity?
by Liao, Shushu & Nolte, Ingmar & Pawlina, Grzegorz
- 2425-2458 Corporate Patenting, Customer Capital, and Financial Market Outcomes
by Ertugrul, Mine & Krishnan, Karthik & Xu, Bo & Yu, Qianqian
- 2459-2485 Household Financial Decision-Making After Natural Disasters: Evidence from Hurricane Harvey
by del Valle, Alejandro & Scharlemann, Therese & Shore, Stephen
June 2024, Volume 59, Issue 4
- 1471-1515 Holding Horizon: A New Measure of Active Investment Management
by Lan, Chunhua & Moneta, Fabio & Wermers, Russ
- 1516-1540 Options Trading and Stock Price Informativeness
by Cao, Jie & Goyal, Amit & Ke, Sai & Zhan, Xintong
- 1541-1585 Corporate Hiring Under COVID-19: Financial Constraints and the Nature of New Jobs
by Campello, Murillo & Kankanhalli, Gaurav & Muthukrishnan, Pradeep
- 1586-1619 Analyst Coverage and Corporate Environmental Policies
by Jing, Chenxing & Keasey, Kevin & Lim, Ivan & Xu, Bin
- 1620-1658 Minimum Wage Hikes and Technology Adoption: Evidence from U.S. Establishments
by Dai, Xin & Qiu, Yue
- 1659-1691 Impact of Regulations on Firm Value: Evidence from the 2016 U.S. Presidential Election
by Kundu, Santanu
- 1692-1725 Information in Financial Contracts: Evidence from Securitization Agreements
by Ambrose, Brent W. & Han, Yiqiang & Korgaonkar, Sanket & Shen, Lily
- 1726-1759 Does Shareholder Litigation Risk Cause Public Firms to Delist? Evidence from Securities Class Action Lawsuits
by Brogaard, Jonathan & Le, Nhan & Nguyen, Duc Duy & Sila, Vathunyoo
- 1760-1795 Independent Director Tenure and Corporate Governance: Evidence from Insider Trading
by Gao, Meng & Huang, Sheng
- 1796-1820 Generalized Disappointment Aversion and the Variance Term Structure
by Babiak, Mykola
- 1821-1848 ETF Ownership and Seasoned Equity Offerings
by Evans, Kevin P. & Leung, Woon Sau & Li, Junqiu & Mazouz, Khelifa
- 1849-1885 The Effects of Foreign Acquisitions on the Value of Industry Peers
by Yilmaz, Umit
- 1886-1925 The Use of Peer Groups in Setting Director Compensation: Competition for Talent Versus Self-Serving Behavior
by Chen, Sheng-Syan & Chien, Cheng-Yi & Huang, Chia-Wei
- 1926-1962 Convertible Debt Arbitrage Crashes Revisited
by Lewis, Craig & Munyan, Ben & Verwijmeren, Patrick
- 1963-1996 Credit Default Swaps, Fire-Sale Risk, and the Liquidity Provision in the Bond Market
by Massa, Massimo & Zhang, Lei
May 2024, Volume 59, Issue 3
- 933-955 Anomaly Discovery and Arbitrage Trading
by Dong, Xi & Liu, Qi & Lu, Lei & Sun, Bo & Yan, Hongjun
- 956-1002 Speculation with Information Disclosure
by Pasquariello, Paolo & Wang, Yifei
- 1003-1030 Double Machine Learning: Explaining the Post-Earnings Announcement Drift
by Hansen, Jacob H. & Siggaard, Mathias V.
- 1031-1063 Industry Clusters and the Geography of Portfolio Choice
by Addoum, Jawad M. & Delikouras, Stefanos & Ke, Da & Korniotis, George M.
- 1064-1099 Inferring Aggregate Market Expectations from the Cross Section of Stock Prices
by Bali, Turan G. & Nichols, D. Craig & Weinbaum, David
- 1100-1140 Online Reputation and Debt Capacity
by Derrien, François & Garel, Alexandre & Romec, Arthur & Weisskopf, Jean-Philippe
- 1141-1184 Stock Comovement and Financial Flexibility
by Huang, Teng & Kumar, Anil & Sacchetto, Stefano & Vergara-Alert, Carles
- 1185-1212 One Vol to Rule Them All: Common Volatility Dynamics in Factor Returns
by Kapadia, Nishad & Linn, Matthew & Paye, Bradley
- 1213-1256 Getting Back to the Source: A New Approach to Measuring Ex Ante Litigation Risk Using Plaintiff-Lawyer Views of SEC Filings
by Kartapanis, Antonis & Yust, Christopher G.
- 1257-1299 The Design of a Central Counterparty
by Kuong, John Chi-Fong & Maurin, Vincent
- 1300-1336 Does Main Street Benefit from What Benefits Wall Street?
by Flynn, Sean J. & Ghent, Andra
- 1337-1361 Heterogeneity of Beliefs and Trading Behavior: A Reexamination
by Füllbrunn, Sascha & Huber, Christoph & Eckel, Catherine & Weitzel, Utz
- 1362-1400 Informational Holdup by Venture Capital Syndicates
by Hong, Suting & Mella-Barral, Pierre
- 1401-1429 Media Sentiment and Currency Reversals
by Filippou, Ilias & Taylor, Mark P. & Wang, Zigan
- 1430-1469 Financial Literacy and IPO Underpricing
by Jia, Xiaoran & Kanagaretnam, Kiridaran & Lim, Chee Yeow & Lobo, Gerald J.
March 2024, Volume 59, Issue 2
- 435-473 Sustainability Preferences Under Stress: Evidence from COVID-19
by Döttling, Robin & Kim, Sehoon
- 474-520 Bringing Innovation to Fruition: Insights From New Trademarks
by Faurel, Lucile & Li, Qin & Shanthikumar, Devin & Teoh, Siew H.
- 521-556 EPS Sensitivity and Mergers
by Dasgupta, Sudipto & Harford, Jarrad & Ma, Fangyuan
- 557-595 Withholding Bad News in the Face of Credit Default Swap Trading: Evidence from Stock Price Crash Risk
by Liu, Jinyu & Ng, Jeffrey & Tang, Dragon Yongjun & Zhong, Rui
- 596-625 Do Capital Markets Punish Managerial Myopia? Evidence from Myopic Research and Development Cuts
by Tong, Jamie Y. & Zhang, Feida (Frank)
- 626-651 Monetary Policy and Bond Prices with Drifting Equilibrium Rates
by Favero, Carlo A. & Melone, Alessandro & Tamoni, Andrea
- 652-689 Director Job Security and Corporate Innovation
by Hsu, Po-Hsuan & Lü, Yiqing & Wu, Hong & Xuan, Yuhai
- 690-726 Taking Over the Size Effect: Asset Pricing Implications of Merger Activity
by Easterwood, Sara & Netter, Jeffry & Paye, Bradley & Stegemoller, Michael
- 727-758 Capital Commitment and Performance: The Role of Mutual Fund Charges
by Gómez, Juan-Pedro & Prado, Melissa Porras & Zambrana, Rafael
- 759-795 Do Classified Boards Deter Takeovers? Evidence from Merger Waves
by John, Kose & Kadyrzhanova, Dalida & Lee, Sangho
- 796-829 The Information in Industry-Neutral Self-Financed Trades
by Barardehi, Yashar H. & Da, Zhi & Warachka, Mitch
- 830-862 Supranational Rules, National Discretion: Increasing Versus Inflating Regulatory Bank Capital?
by Gropp, Reint & Mosk, Thomas & Ongena, Steven & Simac, Ines & Wix, Carlo
- 863-895 What Can Volatility Smiles Tell Us About the Too Big to Fail Problem?
by Ngo, Phong T. H. & Puente-Moncayo, Diego L.
- 896-932 Insurance Pricing, Distortions, and Moral Hazard: Quasi-Experimental Evidence from Deposit Insurance
by Shoukry, George F.
February 2024, Volume 59, Issue 1
- 1-38 Initial Public Offerings Chinese Style
by Qian, Yiming & Ritter, Jay R. & Shao, Xinjian
- 39-67 Standing Out from the Crowd via CSR Engagement: Evidence from Non-Fundamental-Driven Price Pressure
by Gao, Lei & He, Jie (Jack) & Wu, Juan (Julie)
- 68-96 Short Squeezes and Their Consequences
by Schultz, Paul
- 97-120 Overcoming Arbitrage Limits: Option Trading and Momentum Returns
by Abhyankar, Abhay & Filippou, Ilias & Garcia-Ares, Pedro A.
- 121-156 The Effects of a U.S. Approach to Enforcement: Evidence from China
by Duan, Tinghua & Li, Kai & Rogo, Rafael & Zhang, Ray
- 157-194 Derivatives and Market (Il)liquidity
by Huang, Shiyang & Yueshen, Bart Z. & Zhang, Cheng
- 195-220 Cash Induced Demand
by Chen, Huaizhi
- 221-248 Trader Competition in Fragmented Markets: Liquidity Supply Versus Picking-Off Risk
by Bernales, Alejandro & Garrido, Nicolás & Sagade, Satchit & Valenzuela, Marcela & Westheide, Christian
- 249-282 Initial Margin Requirements and Market Efficiency
by Akbas, Ferhat & Ay, Lezgin & Koch, Paul D.
- 283-306 Labor and Finance: The Effect of Bank Relationships
by Behr, Patrick & Norden, Lars & de Freitas Oliveira, Raquel
- 307-338 The Impact of Uncertainty on Investment: Empirical Challenges and a New Estimator
by Li, Delong & Sun, Yiguo
- 339-368 Cross-Subsidization in Conglomerate Firms: Evidence from Government Spending Shocks
by Kisgen, Darren J. & Kong, Lei
- 369-394 Do Underwriters Short-Change Corporations Issuing Bonds?
by Goh, Jeremy C. & Yang, Lisa (Zongfei)
- 395-433 A Liberalization Spillover: From Equities to Loans
by Liu, Xin & Wei, Shang-Jin & Zhou, Yifan
December 2023, Volume 58, Issue 8
- 3201-3230 Is There Smart Money? How Information in the Commodity Futures Market Is Priced into the Cross Section of Stock Returns with Delay
by Ho, Steven Wei & Lauwers, Alexandre R.
- 3231-3273 Quadrophobia: Strategic Rounding of EPS Data
by Malenko, Nadya & Grundfest, Joseph A. & Shen, Yao
- 3274-3304 Corporate Leadership and Inherited Beliefs About Gender Roles
by McLean, R. David & Pirinsky, Christo & Zhao, Mengxin
- 3305-3341 Is There a Trade-off Between Protecting Investors and Promoting Entrepreneurial Activity? Evidence from Angel Financing
by Xu, Jiajie
- 3342-3383 Do FinTech Mortgage Lenders Fill the Credit Gap? Evidence from Natural Disasters
by Allen, Linda & Shan, Yu & Shen, Yao
- 3384-3419 Uncovering Sparsity and Heterogeneity in Firm-Level Return Predictability Using Machine Learning
by Evgeniou, Theodoros & Guecioueur, Ahmed & Prieto, Rodolfo
- 3420-3449 The Design and Welfare Implications of Mandatory Pension Plans
by Larsen, Linda S. & Munk, Claus
- 3450-3481 Artificial Market Timing in Mutual Funds
by Busse, Jeffrey A. & Ding, Jing & Jiang, Lei & Tang, Yuehua
- 3482-3520 Out of Sync: Dispersed Short Selling and the Correction of Mispricing
by Gargano, Antonio & Sotes-Paladino, Juan & Verwijmeren, Patrick
- 3521-3546 Proprietary Knowledge Protection and Product Market Performance
by Nguyen, Justin Hung & Pham, Peter & Qiu, Buhui
- 3547-3576 Idiosyncrasy as a Leading Indicator
by Morck, Randall & Yeung, Bernard & Zhang, Lu Y.
- 3577-3612 Central Counterparty Default Waterfalls and Systemic Loss
by Ghamami, Samim & Paddrik, Mark & Zhang, Simpson
- 3613-3643 International Yield Spillovers
by Kim, Don H. & Ochoa, Marcelo
- 3644-3671 Identifying the Effects of Macroeconomic Attention Through Foreign Investor Distraction
by Marmora, Paul
November 2023, Volume 58, Issue 7
- 2753-2782 The Demise of the NYSE and Nasdaq: Market Quality in the Age of Market Fragmentation
by Haslag, Peter & Ringgenberg, Matthew C.
- 2783-2819 Negation of Sanctions: The Personal Effect of Political Contributions
by Fulmer, Sarah & Knill, April & Yu, Xiaoyun
- 2820-2851 Shining a Light in a Dark Corner: Does EDGAR Search Activity Reveal the Strategically Leaked Plans of Activist Investors?
by Flugum, Ryan & Lee, Choonsik & Souther, Matthew E.
- 2852-2889 Investor Behavior at the 52-Week High
by Della Vedova, Joshua & Grant, Andrew & Westerholm, P. Joakim
- 2890-2927 Assimilation Effects in Financial Markets
by Fich, Eliezer M. & Xu, Guosong
- 2928-2958 Patent Trolls and the Market for Acquisitions
by Dayani, Arash
- 2959-2992 Do Private Equity Managers Raise Funds on (Sur)real Returns? Evidence from Deal-Level Data
by Hüther, Niklas
- 2993-3026 CEO Compensation Incentives and Playing It Safe: Evidence from FAS 123R
by Carline, Nicholas F. & Pryshchepa, Oksana & Wang, Bo
- 3027-3057 Board Governance and Investment Sensitivity to Stock Price: International Evidence
by Driss, Hamdi
- 3058-3084 Business Cycles, Regime Shifts, and Return Predictability
by Yang, Wei
- 3085-3120 Workforce Policies and Operational Risk: Evidence from U.S. Bank Holding Companies
by Curti, Filippo & Fauver, Larry & Mihov, Atanas
- 3121-3152 Shoot the Arrow, Then Paint the Target: CEO Compensation and Institutional Shareholder Services Benchmarking
by Iyer, Subramanian R. & Palmon, Oded & Sankaran, Harikumar
- 3153-3194 Fast-Moving Habit: Implications for Equity Returns
by Lynch, Anthony W. & Randall, Oliver
- 3195-3200 The Macroeconomic Uncertainty Premium in the Corporate Bond Market—Corrigendum
by Bali, Turan G. & Subrahmanyam, Avanidhar & Wen, Quan
September 2023, Volume 58, Issue 6
- 2299-2326 PEAD.txt: Post-Earnings-Announcement Drift Using Text
by Meursault, Vitaly & Liang, Pierre Jinghong & Routledge, Bryan R. & Scanlon, Madeline Marco
- 2327-2364 Indirect Insider Trading
by Goldie, Brad & Jiang, Chao & Koch, Paul & Wintoki, M. Babajide
- 2365-2386 Spillover Effects of the Opioid Epidemic on Consumer Finance
by Jansen, Mark
- 2387-2416 When Bigger is Better: The Impact of a Tiny Tick Size on Undercutting Behavior
by Dyhrberg, Anne H. & Foley, Sean & Svec, Jiri
- 2417-2445 Diseconomies of Scale in Quantitative and Fundamental Investment Styles
by Evans, Richard B. & Rohleder, Martin & Tentesch, Hendrik & Wilkens, Marco
- 2446-2488 Determinants of Capital Structure: An Expanded Assessment
by Fukui, Toshinori & Mitton, Todd & Schonlau, Robert
- 2489-2521 Short-Sale Constraints and Corporate Investment
by Deng, Xiaohu & Gupta, Vishal K. & Lipson, Marc L. & Mortal, Sandra
- 2522-2552 The Real Effects of Equity Markets on Innovation
by Mace, Chris
- 2553-2578 The Growth of Finance is Not Remarkable
by Brown, James R. & Martinsson, Gustav & Petersen, Bruce C.
- 2579-2616 The Effect of Organization Capital on the Cost of Bank Loans
by Danielova, Anna & Francis, Bill B. & Teng, Haimeng & Wu, Qiang
- 2617-2656 Product Market Competition and FDI Decisions
by Loncan, Tiago
- 2657-2691 Relationship Lending and Employment Decisions in Firms’ Bad Times
by Murro, Pierluigi & Oliviero, Tommaso & Zazzaro, Alberto
- 2692-2731 Enhanced Global Asset Pricing Factors
by Zimmermann, Lukas
- 2732-2751 Do Directors Respond to Stock Mispricing? Evidence from CEO Turnovers
by Goldman, Jim
August 2023, Volume 58, Issue 5
- 1843-1877 ESG Preference, Institutional Trading, and Stock Return Patterns
by Cao, Jie & Titman, Sheridan & Zhan, Xintong & Zhang, Weiming
- 1878-1910 The Distribution of Voting Rights to Shareholders
by Fos, Vyacheslav & Holderness, Clifford G.
- 1911-1942 Credit Default Swaps and Lender Incentives in Bank Debt Renegotiations
by Chakraborty, Indraneel & Chava, Sudheer & Ganduri, Rohan
- 1943-1972 State Controlling Shareholders and Payout Policy
by Lin, Chen & Liu, Hang & Ni, Chenkai & Zhang, Bohui
- 1973-2023 Access to Finance and Technological Innovation: Evidence from Pre-Civil War America
by Mao, Yifei & Wang, Jessie Jiaxu
- 2024-2063 Fake Products, Real Effects: Evidence from Special 301 Actions
by Canayaz, Mehmet I. & Gurun, Umit G.
- 2064-2095 M&A Activity and the Capital Structure of Target Firms
by Flannery, Mark J. & Hanousek, Jan & Shamshur, Anastasiya & Tresl, Jiri
- 2096-2130 The Role of Creditor Protection in Lending and Tax Avoidance
by De Vito, Antonio & Jacob, Martin
- 2131-2161 Indirect Evergreening Using Related Parties: Evidence From India
by Kashyap, Nishant & Mahapatro, Sriniwas & Tantri, Prasanna
- 2162-2189 The Market for Corporate Control as a Limit to Short Arbitrage
by Meneghetti, Costanza & Williams, Ryan & Xiao, Steven C.
- 2190-2227 The Only Constant Is Change: Nonconstant Volatility and Implied Volatility Spreads
by Campbell, T. Colin & Gallmeyer, Michael & Petkevich, Alex
- 2228-2261 Positive Bank-to-Bank Spillovers
by Shakya, Shasta
- 2262-2297 Insider Filing Violations and Illegal Information Delay
by Cline, Brandon N. & Houston, Caleb
June 2023, Volume 58, Issue 4
- 1391-1430 An Empirical Assessment of Empirical Corporate Finance
by Coles, Jeffrey L. & Li, Zhichuan F.
- 1431-1472 Machine Learning and the Stock Market
by Brogaard, Jonathan & Zareei, Abalfazl
- 1473-1507 Measuring and Improving Stakeholder Welfare Is Easier Said than Done
by Gurun, Umit G. & Nickerson, Jordan & Solomon, David H.
- 1508-1546 Crises as Opportunities for Growth: The Strategic Value of Business Group Affiliation
by Masulis, Ronald W. & Pham, Peter K. & Zein, Jason & Ang, Alvin E. S.
- 1547-1581 Delegated Monitoring, Institutional Ownership, and Corporate Misconduct Spillovers
by Lel, Ugur & Martin, Gerald S. & Qin, Zhongling
- 1582-1611 CEO Selection and Executive Appearance
by Cook, Douglas O. & Mobbs, Shawn
- 1612-1644 Speed and Expertise in Stock Picking: Older, Slower, and Wiser?
by Boulland, Romain & Ornthanalai, Chayawat & Womack, Kent L.
- 1645-1674 Does Sunlight Kill Germs? Stock Market Listing and Workplace Safety
by Liang, Claire Y. C. & Qi, Yaxuan & Zhang, Rengong (Alex) & Zhu, Haoran
- 1675-1700 Fragmentation and Strategic Market-Making
by Daures-Lescourret, Laurence & Moinas, Sophie
- 1701-1733 Bank Lines of Credit as a Source of Long-Term Finance
by Chang, Xin & Chen, Yunling & Masulis, Ronald W.
- 1734-1767 Foreign Acquisition and Credit Risk: Evidence from the U.S. CDS Market
by Yilmaz, Umit
- 1768-1807 Foreign Ties That Bind: Cross-Border Firm Expansions and Fund Portfolio Allocation Around the World
by Moshirian, Fariborz & Pham, Peter K. & Tian, Shu & Wu, Eliza
- 1808-1842 Recovery with Applications to Forecasting Equity Disaster Probability and Testing the Spanning Hypothesis in the Treasury Market
by Bakshi, Gurdip & Gao, Xiaohui & Xue, Jinming
May 2023, Volume 58, Issue 3
- 939-967 Market Return Around the Clock: A Puzzle
by Bondarenko, Oleg & Muravyev, Dmitriy
- 968-1004 Zeroing In on the Expected Returns of Anomalies
by Chen, Andrew Y. & Velikov, Mihail
- 1005-1038 Retail Attention, Institutional Attention
by Liu, Hongqi & Peng, Lin & Tang, Yi
- 1039-1077 Selection Bias in Mutual Fund Fire Sales
by Berger, Elizabeth A.
- 1078-1110 The Response to Share Mispricing by Issuing Firms and Short Sellers
by Schultz, Paul
- 1111-1143 Financial Costs of Judicial Inexperience: Evidence From Corporate Bankruptcies
by Iverson, Benjamin & Madsen, Joshua & Wang, Wei & Xu, Qiping
- 1144-1171 Inter-Firm Inventor Collaboration and Path-Breaking Innovation: Evidence From Inventor Teams Post-Merger
by Li, Kai & Wang, Jin
- 1172-1201 Do Cross-Sectional Predictors Contain Systematic Information?
by Engelberg, Joseph & McLean, R. David & Pontiff, Jeffrey & Ringgenberg, Matthew C.
- 1202-1229 Hedging Commodity Price Risk
by Ghoddusi, Hamed & Titman, Sheridan & Tompaidis, Stathis
- 1230-1262 Does Finance Make Us Less Social?
by Cronqvist, Henrik & Warachka, Mitch & Yu, Frank
- 1263-1294 Maturity Clienteles and Corporate Bond Maturities
by Butler, Alexander W. & Gao, Xiang & Uzmanoglu, Cihan
- 1295-1325 Synthetic Options and Implied Volatility for the Corporate Bond Market
by Chen, Steven Shu-Hsiu & Doshi, Hitesh & Seo, Sang Byung
- 1326-1358 Earnings Growth and Acquisition Returns: Do Investors Gamble in the Takeover Market?
by Liu, Tingting & Tu, Danni
- 1359-1389 Regulating Commission-Based Financial Advice: Evidence from a Natural Experiment
by Sokolinski, Stanislav
March 2023, Volume 58, Issue 2
- 485-511 Public Attention to Gender Equality and Board Gender Diversity
by Giannetti, Mariassunta & Wang, Tracy Yue
- 512-542 Shareholder Litigation and Corporate Social Responsibility
by Freund, Steven & Nguyen, Nam H. & Phan, Hieu V.
- 543-573 Information Intermediaries: How Commercial Bankers Facilitate Strategic Alliances
by Frattaroli, Marc & Herpfer, Christoph
- 574-614 Shareholder Litigation Risk and Firms’ Choice of External Growth
by Huang, Chenchen & Ozkan, Neslihan & Xu, Fangming
- 615-646 Trust and Debt Contracting: Evidence From the Backdating Scandal
by Fotak, Veljko & Jiang, Feng (Jack) & Lee, Haekwon & Lie, Erik
- 647-676 Peer Effects in Equity Research
by Phua, Kenny & Tham, Mandy & Wei, Chishen
- 677-710 Equity Trading Activity and Treasury Bond Risk Premia
by Schraeder, Stefanie & Sojli, Elvira & Subrahmanyam, Avanidhar & Tham, Wing W.
- 711-745 Does Industry Competition Influence Analyst Coverage Decisions and Career Outcomes?
by Hsu, Charles & Li, Xi & Ma, Zhiming & Phillips, Gordon M.
- 746-776 Public Market Information and Venture Capital Investment
by Gibbons, Brian
- 777-804 FIEs and the Transmission of Global Financial Uncertainty: Evidence from China
by Wu, Shujie & Ye, Haichun
- 805-836 Collateral Constraints, Financial Constraints, and Risk Management: Evidence From Anti-Recharacterization Laws
by Fairhurst, Douglas (DJ) & Nam, Yoonsoo
- 837-874 Technological Fit and the Market for Managerial Talent
by Bereskin, Fred & Byun, Seong K. & Oh, Jong-Min
- 875-913 Determinants of International Buyout Investments
by Aldatmaz, Serdar & Brown, Greg W. & Demirgüç-Kunt, Asli
- 914-938 The Role of the Discount Rate in Investment and Employment Decisions
by Møller, Stig Vinther & Priestley, Richard
February 2023, Volume 58, Issue 1