European Journal Of Finance

European Journal Of Finance

欧洲金融杂志

  • 3区 中科院分区
  • Q2 JCR分区

高引用文章

文章名称 引用次数
Determinants and value of enterprise risk management: empirical evidence from Germany 13
Does China overinvest? Evidence from a panel of Chinese firms 12
Real estate investments and financial stability: evidence from regional commercial banks in China 10
Bank efficiency, productivity, and convergence in EU countries: a weighted Russell directional distance model 8
Unconventional monetary policy announcements and risk aversion: evidence from the US and European equity markets 8
Does short selling improve stock price efficiency and liquidity? Evidence from a natural experiment in China 7
Measuring systemic risk in the European banking sector: a copula CoVaR approach 7
Emotional finance: investment and the unconscious 6
The drivers and value of enterprise risk management: evidence from ERM ratings 6
The influence of CEO demographic characteristics on corporate risk-taking: evidence from Chinese IPOs 6
Macro news and bond yield spreads in the euro area 6
Stock market contagion in Central and Eastern Europe: unexpected volatility and extreme co-exceedance 6
Financial distress, political affiliation and earnings management: the case of politically affiliated private firms 5
Expected shortfall assessment in commodity (L)ETF portfolios with semi-nonparametric specifications 5
The impact of exchange rates on stock market returns: new evidence from seven free-floating currencies 5
Adjustment behavior of corporate cash holdings: the China experience 5
Family involvement and R&D expenses in the context of weak property rights protection: an examination of non-state-owned listed companies in China 5
Terror attacks and stock-market fluctuations: evidence based on a nonparametric causality-in-quantiles test for the G7 countries 4
The pricing of sentiment risk in European stock markets 4
Use of active peer benchmarks in assessing UK mutual fund performance and performance persistence 4
The demand for eurozone stocks and bonds in a time-varying asset allocation framework 4
Contrarian strategy and herding behaviour in the Chinese stock market 4
Adequacy, fairness and sustainability of pay-as-you-go-pension-systems: defined benefit versus defined contribution 4
Creditor protection, judicial enforcement and credit access 4
The Comprehensive Assessment: What lessons can be learned? 4
Stock market reaction to policy interventions 4
Monitoring corporate boards: evidence from China 3
How financial information disclosure affects risk perception. Evidence from Italian investors' behaviour 3
The systematic pricing of market sentiment shock 3
Forecasting market risk of portfolios: copula-Markov switching multifractal approach 3
Does a scopic regime produce conformism? Herding behavior among trade leaders on social trading platforms 3
Binary interest rate sensitivities of emerging market corporate bonds 3
Insider trading and future stock returns in firms with concentrated ownership levels 3
Further insights on the relationship between SP VIX and volume: a new asymmetric causality test(1) 3
Crowdfunding tax incentives in Europe: a comparative analysis 3
The role of credit ratings on capital structure and its speed of adjustment: an international study 3
How successful are banking sector reforms in emerging market economies? Evidence from impact of monetary policy on levels and structures of firm debt in India 3
On perceptions of financial volatility in price sequences 3
Subtle is the Lord, but malicious He is not: the calculation of abnormal stock returns in applied research 2
Do institutions prevent contagion in financial markets? Evidence from the European debt crisis 2
The investigation of the dynamic linkages between real estate market and stock market in Greece 2
A new closed-form formula for pricing European options under a skew Brownian motion 2
Pricing temperature derivatives with a filtered historical simulation approach 2
Ownership concentration and bank risk: international study on acquisitions 2
Estimation of log-GARCH models in the presence of zero returns 2
The lead-lag relation between the stock and the bond markets 2
Spillovers in risk of financial institutions 2
Cash holdings of listed and unlisted firms: new evidence from the euro area 2
Safehavenness of currencies 2
Stock liquidity and enterprise innovation: new evidence from China 2