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Ditemukan 272 dokumen dengan kata kunci 8773 |
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The Review of Financial Studies : Volume 28 • Number 1 • January 2015
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Pengarang: The Sum of All FEARS Investor Sentiment and Asset Prices
Zhi Da, Joseph Engelberg, and Pengjie Gao
Investor Attention and Stock Market Volatility
Daniel Andrei and Michael Hasler
Weather-Induced Mood, Institutional Investors, and Stock Returns
William N. Goetzmann, Dasol Kim, Alok Kumar, and Qin Wang
The Implicit Costs of Trade Credit Borrowing by Large Firms
Justin Murfi n and Ken Njoroge
Shadow Banking and Bank Capital Regulation
Guillaume Plantin
Securitization and the Fixed-Rate Mortgage
Andreas Fuster and James Vickery
Regression Discontinuity and the Price Eff ects of Stock Market Indexing
Yen-Cheng Chang, Harrison Hong, and Inessa Liskovich
Feedback Trading between Fundamental and Nonfundamental Information
Ming Guo and Hui Ou-Yang | No. Panggil: JOX_RFS_2015_1 |
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Koleksi: Jurnal Internasional ::
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The Review of Financial Studies : Volume 28 • Number 2 • February 2015
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Pengarang: Strategic Investment and Industry Risk Dynamics
M. Cecilia Bustamante
Corporate Investment and Stock Market Listing: A Puzzle?
John Asker, Joan Farre-Mensa, and Alexander Ljungqvist
Capital Supply Uncertainty, Cash Holdings, and Investment
Julien Hugonnier, Semyon Malamud, and Erwan Morellec
Are Mutual Funds Active Voters?
Peter Iliev and Michelle Lowry
Liquidity and Shareholder Activism
Řyvind Norli, Charlotte Ostergaard, and Ibolya Schindele
Ownership Structure, Voting, and Risk
Amrita Dhillon and Silvia Rossetto
Labor Protection and Leverage
Elena Simintzi, Vikrant Vig, and Paolo Volpin
Agency Problems of Corporate Philanthropy
Ronald W. Masulis and Syed Walid Reza | No. Panggil: JOX_RFS_2015_2 |
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The Review of Financial Studies : Volume 28 • Number 3 • March 2015
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Pengarang: Editorial: Cosmetic Surgery in the Academic Review Process
David Hirshleifer
Digesting Anomalies: An Investment Approach
Kewei Hou, Chen Xue, and Lu Zhang
Investor Information, Long-Run Risk, and the Term Structure of Equity
Mariano M. Croce, Martin Lettau, and Sydney C. Ludvigson
Dynamic Hedging and Extreme Asset Co-movements
Redouane Elkamhi and Denitsa Stefanova
Investor Sentiment Aligned: A Powerful Predictor of Stock Returns
Dashan Huang, Fuwei Jiang, Jun Tu, and Guofu Zhou
Cognitive Limitation and Investment Performance: Evidence from Limit Order
Clustering
Wei-Yu Kuo, Tse-Chun Lin, and Jing Zhao
Self-Exciting Jumps, Learning, and Asset Pricing Implications
Andras Fulop, Junye Li, and Jun Yu
Can Housing Risk Be Diversifi ed? A Cautionary Tale from the Housing Boom and
Bust
John Cotter, Stuart Gabriel, and Richard Roll | No. Panggil: JOX_RFS_2015_3 |
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The Review of Financial Studies : Volume 28 • Number 4 • April 2015
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Pengarang: Money Creation and the Shadow Banking System
Adi Sunderam
Human Capital as an Asset Class Implications from a General Equilibrium Model
Miguel Palacios
The Worst, the Best, Ignoring All the Rest: The Rank Eff ect and
Trading Behavior
Samuel M. Hartzmark
The Costs of Closing Failed Banks: A Structural Estimation of Regulatory
Incentives
Ari Kang, Richard Lowery, and Malcolm Wardlaw
The Geography of Funding Markets and Limits to Arbitrage
Andrea Buraschi, Murat Menguturk, and Emrah Sener
Traders vs. Relationship Managers: Reputational Confl icts in Full-Service
Investment Banks
Zhaohui Chen, Alan D. Morrison, and William J. Wilhelm, Jr.
Predictable Corporate Distributions and Stock Returns
Hendrik Bessembinder and Feng Zhang
Post-Earnings-Announcement Drift in Global Markets: Evidence from an
Information Shock
Mingyi Hung, Xi Li, and Shiheng Wang | No. Panggil: JOX_RFS_2015_4 |
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The Review of Financial Studies : Volume 28 • Number 5 • May 2015
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Pengarang: New Evidence on the Financialization of Commodity Markets
Brian J. Henderson, Neil D. Pearson, and Li Wang
Redefi ning Financial Constraints: A Text-Based Analysis
Gerard Hoberg and Vojislav Maksimovic
Dynamics of Innovation and Risk
Bruno Biais, Jean-Charles Rochet, and Paul Woolley
The Informational Role of Stock and Bond Volume
Kerry Back and Kevin Crotty
Modeling Covariance Risk in Merton’s ICAPM
Alberto G. Rossi and Allan Timmermann
Monotonicity of the Stochastic Discount Factor and Expected Option Returns
Ranadeb Chaudhuri and Mark Schroder
Robust Econometric Inference for Stock Return Predictability
Alexandros Kostakis, Tassos Magdalinos, and Michalis P. Stamatogiannis | No. Panggil: JOX_RFS_2015_5 |
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The Review of Financial Studies : Volume 28 • Number 6 • June 2015
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Pengarang: Capital Account Opening and Wage Inequality
Mauricio Larrain
Does Takeover Activity Cause Managerial Discipline? Evidence from
International M&A Laws
Ugur Lel and Darius P. Miller
Learning About CEO Ability and Stock Return Volatility
Yihui Pan, Tracy Yue Wang, and Michael S. Weisbach
When Less Is More: The Benefi ts of Limits on Executive Pay
Peter Cebon and Benjamin E. Hermalin
The Invisible Hand of Short Selling: Does Short Selling Discipline Earnings
Management?
Massimo Massa, Bohui Zhang, and Hong Zhang
The Real Eff ects of Short-Selling Constraints
Gustavo Grullon, Sébastien Michenaud, and James P. Weston
Does Financing Spur Small Business Productivity? Evidence from a Natural
Experiment
Karthik Krishnan, Debarshi K. Nandy, and Manju Puri
Financial Distress, Stock Returns, and the 1978 Bankruptcy Reform Act
Dirk Hackbarth, Rainer Haselmann, and David Schoenherr | No. Panggil: JOX_RFS_2015_6 |
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The Review of Financial Studies : Volume 28 • Number 7 • July 2015
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Pengarang: Confusion of Confusions: A Test of the Disposition Eff ect and Momentum
Justin Birru
Learning About Unstable, Publicly Unobservable Payoff s
Elise Payzan-LeNestour and Peter Bossaerts
Diff erences of Opinion, Endogenous Liquidity, and Asset Prices
Emilio Osambela
Modeling Credit Contagion via the Updating of Fragile Beliefs
Luca Benzoni, Pierre Collin-Dufresne, Robert S. Goldstein, and Jean Helwege
Home away from Home: Geography of Information and Local Investors
Gennaro Bernile, Alok Kumar, and Johan Sulaeman
Rumor Has It: Sensationalism in Financial Media
Kenneth R. Ahern and Denis Sosyura
Competition for Order Flow with Fast and Slow Traders
Vincent van Kervel
Do Individual Investors Treat Trading as a Fun and Exciting Gambling Activity?
Evidence from Repeated Natural Experiments
Xiaohui Gao and Tse-Chun Lin | No. Panggil: JOX_RFS_2015_7 |
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The Review of Financial Studies : Volume 28 • Number 8 • August 2015
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Pengarang: Shareholder Voting and Corporate Governance Around the World
Peter Iliev, Karl V. Lins, Darius P. Miller, and Lukas Roth
The Bright Side of Corporate Diversifi cation: Evidence from Internal Labor
Markets
Geoff rey Tate and Liu Yang
Territorial Tax System Reform and Corporate Financial Policies
Matteo P. Arena and George W. Kutner
What’s in a Name? Mutual Fund Flows When Managers Have Foreign-Sounding
Names
Alok Kumar, Alexandra Niessen-Ruenzi, and Oliver G. Spalt
Information Management in Banking Crises
Joel Shapiro and David Skeie
Can “High Costs” Justify Weak Demand for the Home Equity Conversion
Mortgage?
Thomas Davidoff
House Prices, Home Equity Borrowing, and Entrepreneurship
Stefano Corradin and Alexander Popov
Testing for Information Asymmetries in Real Estate Markets
Pablo Kurlat and Johannes Stroebel | No. Panggil: JOX_RFS_2015_8 |
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The Review of Financial Studies : Volume 28 • Number 9 • September 2015
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Pengarang: Financing Constraints and the Amplifi cation of Aggregate Downturns
Daniel Carvalho
Capital Structure, Investment, and Fire Sales
Douglas Gale and Piero Gottardi
A Theory of Income Smoothing When Insiders Know More Than Outsiders
Viral V. Acharya and Bart M. Lambrecht
Valuation, Adverse Selection, and Market Collapses
Michael J. Fishman and Jonathan A. Parker
On Bounding Credit-Event Risk Premia
Jennie Bai, Pierre Collin-Dufresne, Robert S. Goldstein, and Jean Helwege
Why Are University Endowments Large and Risky?
Thomas Gilbert and Christopher Hrdlicka
Optimal Tax Timing with Asymmetric Long-Term/Short-Term Capital Gains Tax
Min Dai, Hong Liu, Chen Yang, and Yifei Zhong | No. Panggil: JOX_RFS_2015_9 |
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The Review of Financial Studies : Volume 28 • Number 10 • October 2015
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Pengarang: The Real Eff ects of Hedge Fund Activism: Productivity, Asset Allocation, and
Labor Outcomes
Alon Brav, Wei Jiang, and Hyunseob Kim
Board Structure and Monitoring: New Evidence from CEO Turnovers
Lixiong Guo and Ronald W. Masulis
Restraining Overconfi dent CEOs through Improved Governance: Evidence from
the Sarbanes-Oxley Act
Suman Banerjee, Mark Humphery-Jenner, and Vikram Nanda
Expected Returns in Treasury Bonds
Anna Cieslak and Pavol Povala
Exploring Return Dynamics via Corridor Implied Volatility
Torben G. Andersen, Oleg Bondarenko, and Maria T. Gonzalez-Perez
Dynamic Thin Markets
Marzena Rostek and Marek Weretka | No. Panggil: JOX_RFS_2015_10 |
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