Annual Review Of Financial Economics

Annual Review Of Financial Economics

金融经济学年度评论

  • 3区 中科院分区
  • Q1 JCR分区

高引用文章

文章名称 引用次数
Common-Ownership Concentration and Corporate Conduct 13
Measuring Investor Sentiment 11
Risks in China's Financial System 7
Deglobalization: The Rise of Disembedded Unilateralism 6
Variance Risk Premia, Asset Predictability Puzzles, and Macroeconomic Uncertainty 6
Digital Disruption in Banking 5
Shadow Banking in China 5
Capital Structure and a Firm's Workforce 5
Liquidity, Leverage, and Regulation 10 Years After the Global Financial Crisis 4
Intermediary Asset Pricing and the Financial Crisis 4
Systemic Risk 10 Years Later 3
Capital Reallocation 3
Recurring Firm Events and Predictable Returns: The Within-Firm Time Series 3
Municipal Bond Markets 2
Measuring the Cost of Bailouts 2
Commercial Real Estate as an Asset Class 2
Debt Covenants and Corporate Governance 2
Mortgage-Default Research and the Recent Foreclosure Crisis 2
Liquidity, Risk Premia, and the Financial Transmission of Monetary Policy 2
Forecasting Methods in Finance 1
Risk-Neutral Densities: A Review 1
Recent Research on Banks' Financial Reporting and Financial Stability 1
Financial Crises 1
The Anatomy of Distressed Debt Markets 1
Risk Adjustment in Private Equity Returns 1
Direct Versus Iterated Multiperiod Volatility Forecasts 0
The Household Finance Landscape in Emerging Economies 0
A Review of China's Institutions 0
Robert C. Merton and the Science of Finance 0
Deregulating Wall Street 0
Regulatory Reform 0
The Role of Housing and Mortgage Markets in the Financial Crisis 0
Technological Innovation, Intangible Capital, and Asset Prices 0