Review Of Finance

Review Of Finance

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高引用文章

文章名称 引用次数
The Cost of Political Connections 27
Are US Industries Becoming More Concentrated? 27
Oil Prices and the Stock Market 23
ECB Policies Involving Government Bond Purchases: Impact and Channels 18
Financial Repression in the European Sovereign Debt Crisis 17
Emotional State and Market Behavior 11
Which Factors? 10
The Personal Wealth Interests of Politicians and Government Intervention in the Economy 10
Dynamic Dependence and Diversification in Corporate Credit 10
Tournament Incentives and Firm Innovation 8
Corporate Bond Trading on a Limit Order Book Exchange 7
Futures Trading and the Excess Co-movement of Commodity Prices 7
Does Independent Directors' CEO Experience Matter? 7
Political Borders and Bank Lending in Post-Crisis America 6
Media Coverage and Stock Returns on the London Stock Exchange, 1825-70 6
Zero-Leverage Puzzle: An International Comparison 6
Corporate Credit Risk Premia 6
Governance under the Gun: Spillover Effects of Hedge Fund Activism 5
How Do Banks React to Catastrophic Events? Evidence from Hurricane Katrina 5
Leverage, CEO Risk-Taking Incentives, and Bank Failure during the 2007-10 Financial Crisis 5
Complex Mortgages 5
Mind the Gap: Disentangling Credit and Liquidity in Risk Spreads 5
Is There a Distress Risk Anomaly? Pricing of Systematic Default Risk in the Cross-section of Equity Returns 5
Can Socially Responsible Firms Survive Competition? An Analysis of Corporate Employee Matching Grant Schemes 4
The Effects of Horizontal Merger Operating Efficiencies on Rivals, Customers, and Suppliers 4
A Theory of Costly Sequential Bidding 4
Indirect Costs of Financial Distress and Bankruptcy Law: Evidence from Trade Credit and Sales 4
Liquidity Flows in Interbank Networks 4
Monetary Policy, Bank Bailouts and the Sovereign-Bank Risk Nexus in the Euro Area 4
Wages and Human Capital in Finance: International Evidence, 1970-2011 4
Risk-Based Capital Requirements and Optimal Liquidation in a Stress Scenario 4
Labor and Capital Dynamics under Financing Frictions 3
Trust and Household Debt 3
Option Listing and Information Asymmetry 3
Do Credit Default Swaps Mitigate the Impact of Credit Rating Downgrades? 3
The Credit Card Debt Puzzle and Noncognitive Ability 3
Financial Disclosure and Market Transparency with Costly Information Processing 3
Growth Option Exercise and Capital Structure 3
Labor Representation in Governance as an Insurance Mechanism 3
Skewness, Individual Investor Preference, and the Cross-section of Stock Returns 3
Housing Habits and Their Implications for Life-Cycle Consumption and Investment 3
Monetary Policy Spillovers and Currency Networks in Cross-Border Bank Lending: Lessons from the 2013 Fed Taper Tantrum 3
Do FOMC Actions Speak Loudly? Evidence from Corporate Bond Credit Spreads 2
Combination Return Forecasts and Portfolio Allocation with the Cross-Section of Book-to-Market Ratios 2
Do Exposures to Sagging Real Estate, Subprime, or Conduits Abroad Lead to Contraction and Flight to Quality in Bank Lending at Home? 2
The Capital Structure of Nations 2
Financing Asset Sales and Business Cycles 2
Risk Premia and Volatilities in a Nonlinear Term Structure Model 2
Asset Growth and Stock Market Returns: A Time-Series Analysis 2
The Transmission of Bank Liquidity Shocks: Evidence from House Prices 2