Journal Of Financial And Quantitative Analysis

Journal Of Financial And Quantitative Analysis

金融与定量分析杂志

  • 2区 中科院分区
  • Q1 JCR分区

高引用文章

文章名称 引用次数
Do Antitakeover Provisions Spur Corporate Innovation? A Regression Discontinuity Analysis 25
Innovation Strategy of Private Firms 17
Corporate Resilience to Banking Crises: The Roles of Trust and Trade Credit 16
Managerial Risk-Taking Incentive and Firm Innovation: Evidence from FAS 123R 15
State Ownership and Corporate Cash Holdings 14
Crash Sensitivity and the Cross Section of Expected Stock Returns 11
Why Has the Value of Cash Increased Over Time? 11
Risk and Return in High-Frequency Trading 10
Director Connectedness: Monitoring Efficacy and Career Prospects 10
Cross-Country Evidence on the Relationship between Societal Trust and Risk-Taking by Banks 10
Competition and Bank Liquidity Creation 9
The Effect of Cultural Similarity on Mergers and Acquisitions: Evidence from Corporate Social Responsibility 9
Bank Lending and the European Sovereign Debt Crisis 9
Overnight Returns and Firm-Specific Investor Sentiment 9
Unknown Unknowns: Uncertainty About Risk and Stock Returns 8
High-Frequency Trading Competition 7
Operating Leverage, Profitability, and Capital Structure 7
Industry Tournament Incentives and the Product-Market Benefits of Corporate Liquidity 7
Do Commodities Add Economic Value inAsset Allocation? New Evidence from Time-Varying Moments 7
Tips from TIPS: The Informational Content of Treasury Inflation-Protected Security Prices 7
Do Financial Analysts Restrain Insiders' Informational Advantage? 7
High-Frequency Quoting: Short-Term Volatility in Bids and Offers 7
Factor Structure in Commodity Futures Return and Volatility 7
A New Partial-Segmentation Approach to Modeling International Stock Returns 6
Top Management Human Capital, Inventor Mobility, and Corporate Innovation 6
Volatility-of-Volatility Risk 6
Crash Risk in Currency Returns 6
The Liquidity Effects of Official Bond Market Intervention 6
Good Volatility, Bad Volatility, and Option Pricing 6
Know Thy Neighbor: Industry Clusters, Information Spillovers, and Market Efficiency 6
Trading in the Presence of Short-Lived Private Information: Evidence from Analyst Recommendation Changes 6
Measuring Interconnectedness between Financial Institutions with Bayesian Time-Varying Vector Autoregressions 6
Organization Capital and Mergers and Acquisitions 6
Pitfalls in the Use of Systemic Risk Measures 5
Is It the Investment Bank or the Investment Banker? A Study of the Role of Investment Banker Human Capital in Acquisitions 5
Do IPOs Affect Market Price? Evidence from China 5
Local Political Uncertainty, Family Control, and Investment Behavior 5
Executive Overconfidence and Securities Class Actions 5
CEOs and the Product Market: When Are Powerful CEOs Beneficial? 5
Are Buybacks Good for Long-Term Shareholder Value? Evidence from Buybacks around the World 5
The Anatomy of a Credit Supply Shock: Evidence from an Internal Credit Market 5
Regional Economic Activity and Stock Returns 5
Board Ancestral Diversity and Firm-Performance Volatility 5
Managerial Risk-Taking Incentives and Merger Decisions 4
Does Political Uncertainty Increase External Financing Costs? Measuring the Electoral Premium in Syndicated Lending 4
Does Unusual News Forecast Market Stress? 4
Hometown Biased Acquisitions 4
Covenants, Creditors' Simultaneous Equity Holdings, and Firm Investment Policies 4
SOX Section 404 and Corporate Innovation 4
Market Sentiment and Innovation Activities 4