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Series handle: RePEc:eee:corfin
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Content
2019, Volume 56, Issue C
- 176-198 Corporate social responsibility and M&A uncertainty
by Arouri, Mohamed & Gomes, Mathieu & Pukthuanthong, Kuntara
- 199-223 Independent executive directors: How distraction affects their advisory and monitoring roles
by Stein, Luke C.D. & Zhao, Hong
- 224-248 Trust and IPO underpricing
by Li, Xiaorong & Wang, Steven Shuye & Wang, Xue
- 249-266 Earnings performance measures and CEO turnover: Street versus GAAP earnings
by Jarva, Henry & Kallunki, Juha-Pekka & Livne, Gilad
- 267-281 The economic role of institutional investors in auction IPOs
by Lu, Yuechan & Samdani, Taufique
- 282-297 The CSPP at work: Yield heterogeneity and the portfolio rebalancing channel
by Zaghini, Andrea
- 298-318 The joint entrance exam, overconfident directors and firm performance
by Chakravarty, Sugato & Hegde, Prasad
- 319-342 Government investment in publicly traded firms
by Holland, Kateryna
- 343-363 Smart investments by smart money: Evidence from acquirers' projected synergies
by Ismail, Ahmad & Khalil, Samer & Safieddine, Assem & Titman, Sheridan
- 364-387 Commitment to build trust by socially responsible firms: Evidence from cash holdings
by Chang, Ching-Hung & Chen, Sheng-Syan & Chen, Yan-Shing & Peng, Shu-Cing
- 388-414 Managerial compensation incentives and corporate debt maturity: Evidence from FAS 123R
by Hong, Jieying
- 415-436 The determinants of IPO withdrawal – Evidence from Europe
by Helbing, Pia & Lucey, Brian M. & Vigne, Samuel A.
- 437-457 Firm boundaries and financing with opportunistic stakeholder behaviour
by Aney, Madhav S. & Appelbaum, Elie & Banerji, Sanjay
- 458-481 Passing the dividend baton: The impact of dividend policy on new CEOs' initial compensation
by Chen, Jie & Song, Wei & Goergen, Marc
- 482-505 Institutional investors and loan dynamics: Evidence from loan renegotiations
by Beyhaghi, Mehdi & Nguyen, Ca & Wald, John K.
2019, Volume 55, Issue C
- 1-5 Islamic corporate finance, financial markets, and institutions: An overview
by Alzahrani, Mohammed
- 6-27 Investor tastes: Implications for asset pricing in the public debt market
by Shafron, Emily
- 28-48 The impact of religious certification on market segmentation and investor recognition
by Alhomaidi, Asem & Hassan, M. Kabir & Hippler, William J. & Mamun, Abdullah
- 49-68 Keep walking? Geographical proximity, religion, and relationship banking
by Beck, Thorsten & Ongena, Steven & Şendeniz-Yüncü, İlkay
- 69-104 Creditor rights and bank capital decisions: Conventional vs. Islamic banking
by Bitar, Mohammad & Tarazi, Amine
- 105-140 Risk-adjusted efficiency and corporate governance: Evidence from Islamic and conventional banks
by Safiullah, Md & Shamsuddin, Abul
- 141-161 The value of certification in Islamic bond offerings
by Abdul Halim, Zairihan & How, Janice & Verhoeven, Peter & Hassan, M. Kabir
2019, Volume 54, Issue C
- 1-25 Premier advisory services for VIP acquirers
by Liu, Qi & Sun, Xian & Wu, Hong
- 26-46 Leverage, debt maturity, and social capital
by Huang, Kershen & Shang, Chenguang
- 47-84 Price inversion and post lock-up period returns on private investments in public equity in China: An interest transfer perspective
by Lin, Jing & An, Yunbi & Yang, Jun & Liang, Yinhe
- 85-106 CEO overconfidence and the value of corporate cash holdings
by Aktas, Nihat & Louca, Christodoulos & Petmezas, Dimitris
- 107-127 CEO traders and corporate acquisitions
by Leung, Henry & Tse, Jeffrey & Westerholm, P. Joakim
- 128-152 To what extent does corporate liquidity affect M&A decisions, method of payment and performance? Evidence from China
by Yang, Junhong & Guariglia, Alessandra & Guo, Jie (Michael)
- 153-167 Insider ownership and dividend policy in an imputation tax environment
by Balachandran, Balasingham & Khan, Arifur & Mather, Paul & Theobald, Michael
- 168-190 CEO pay disparity: Efficient contracting or managerial power?
by Vo, Thi Thanh Nha & Canil, Jean Milva
2018, Volume 53, Issue C
- 1-20 Are directors more likely to relinquish their riskiest directorships after the Financial Crisis?
by Ormazabal, Gaizka
- 21-37 Divisional buyouts by private equity and the market for divested assets
by Hege, Ulrich & Lovo, Stefano & Slovin, Myron B. & Sushka, Marie E.
- 38-64 Do institutional blockholders influence corporate investment? Evidence from emerging markets
by Alvarez, Roberto & Jara, Mauricio & Pombo, Carlos
- 65-86 Do macroeconomic conditions and oil prices influence corporate risk-taking?
by Gupta, Kartick & Krishnamurti, Chandrasekhar
- 87-105 Market integration, country institutions and IPO underpricing
by Marcato, Gianluca & Milcheva, Stanimira & Zheng, Chen
- 106-132 Corporate governance and dividend policy: Evidence of tunneling from master limited partnerships
by Atanassov, Julian & Mandell, Aaron J.
- 133-154 Does short-maturity debt discipline managers? Evidence from cash-rich firms' acquisition decisions
by Huang, Qianqian & Jiang, Feng & Wu, Szu-Yin (Jennifer)
- 155-173 Corporate innovation strategy and stock price crash risk
by Jia, Ning
- 174-201 Debt covenants and corporate acquisitions
by Daher, Mai M. & Ismail, Ahmad K.
- 202-224 Sovereign wealth funds and equity pricing: Evidence from implied cost of equity of publicly traded targets
by Boubaker, Sabri & Boubakri, Narjess & Grira, Jocelyn & Guizani, Asma
- 225-245 Shareholder approval thresholds in acquisitions: Evidence from tender offers
by Boone, Audra & Broughman, Brian & Macias, Antonio J.
2018, Volume 52, Issue C
- 1-27 Switching to bonds when loans are scarce: Evidence from four U.S. crises
by Goel, Manisha & Zemel, Michelle
- 28-52 CFO social capital and private debt
by Fogel, Kathy & Jandik, Tomas & McCumber, William R.
- 53-72 The effects of a comply-or-explain dividend regulation in China
by He, Wen & Li, Chao Kevin
- 73-95 Corporate social responsibility, firm value, and influential institutional ownership
by Buchanan, Bonnie & Cao, Cathy Xuying & Chen, Chongyang
- 96-117 Share pledges and margin call pressure
by Chan, Konan & Chen, Hung-Kun & Hu, Shing-yang & Liu, Yu-Jane
- 118-142 Are women greener? Corporate gender diversity and environmental violations
by Liu, Chelsea
- 143-167 Institutional trading and Abel Noser data
by Hu, Gang & Jo, Koren M. & Wang, Yi Alex & Xie, Jing
- 168-191 How do chief financial officers influence corporate cash policies?
by Florackis, Chris & Sainani, Sushil
- 192-213 Shareholder litigation rights and corporate cash holdings: Evidence from universal demand laws
by Nguyen, Hien T. & Phan, Hieu V. & Sun, Lingna (Selina)
- 214-237 Do firms care about investment opportunities? Evidence from China
by Ding, Sai & Kim, Minjoo & Zhang, Xiao
- 238-259 CEO educational background and acquisition targets selection
by Wang, Ye & Yin, Sirui
2018, Volume 51, Issue C
- 1-19 Learning from directors' foreign board experiences
by Iliev, Peter & Roth, Lukas
- 20-49 Foreign institutional ownership and liquidity commonality around the world
by Deng, Baijun & Li, Zhongfei & Li, Yong
- 50-71 Strategic voting and insider ownership
by Marquardt, Blair B. & Myers, Brett W. & Niu, Xu
- 72-97 Antitrust merger review costs and acquirer lobbying
by Fidrmuc, Jana P. & Roosenboom, Peter & Zhang, Eden Quxian
- 98-108 Publication patterns and coauthorship in the Journal of Corporate Finance
by Andrikopoulos, Andreas & Trichas, Georgios
- 109-124 Boards of directors and firm leverage: Evidence from real estate investment trusts
by Doan, Trang & Nguyen, Nga Q.
- 125-141 Does crackdown on corruption reduce stock price crash risk? Evidence from China
by Chen, Yunsen & Xie, Yuan & You, Hong & Zhang, Yanan
- 142-163 Foreign residency rights and corporate fraud
by Chen, Donghua & Chen, Yinying & Li, Oliver Zhen & Ni, Chenkai
- 164-181 Analyst coverage and the quality of corporate investment decisions
by To, Thomas Y. & Navone, Marco & Wu, Eliza
- 182-209 Financial distress and competitors' investment
by Garcia-Appendini, Emilia
- 210-234 Money held for moving stars: Talent competition and corporate cash holdings
by He, Zhaozhao
- 235-257 What drives corporate insurance demand? Evidence from directors' and officers' liability insurance in Korea
by Park, Min
- 258-274 When does competition mitigate agency problems?
by Tang, Yuehua
- 275-315 Do executives benefit from shareholder disputes? Evidence from multiple large shareholders in Chinese listed firms
by Fang, Yuanli & Hu, Maggie & Yang, Qingsen
- 316-331 Firm CFO board membership and departures
by Mobbs, Shawn
- 332-351 Economic resources and corporate social responsibility
by Sun, Xian & Gunia, Brian C.
- 352-373 Corporate innovative efficiency: Evidence of effects on credit ratings
by Griffin, Paul A. & Hong, Hyun A. & Ryou, Ji Woo
2018, Volume 50, Issue C
- 1-21 Executive labor market segmentation: How local market density affects incentives and performance
by Zhao, Hong
- 22-43 Board independence, corruption and innovation. Some evidence on UK subsidiaries
by Sena, Vania & Duygun, Meryem & Lubrano, Giuseppe & Marra, Marianna & Shaban, Mohamed
- 44-65 The market value of government ownership
by Boubakri, Narjess & El Ghoul, Sadok & Guedhami, Omrane & Megginson, William L.
- 66-83 Multiple large shareholders and corporate investment: Evidence from China
by Jiang, Fuxiu & Cai, Wenjing & Wang, Xue & Zhu, Bing
- 84-108 Does it pay to treat employees well? International evidence on the value of employee-friendly culture
by Fauver, Larry & McDonald, Michael B. & Taboada, Alvaro G.
- 109-127 The impact of IPO approval on the price of existing stocks: Evidence from China
by Li, Yuanpeng & Sun, Qian & Tian, Shu
- 128-157 Does corporate lobbying activity provide useful information to credit markets?
by Lockhart, George Brandon & Unlu, Emre
- 158-179 Corporate social responsibility and seasoned equity offerings
by Dutordoir, Marie & Strong, Norman C. & Sun, Ping
- 180-202 She is mine: Determinants and value effects of early announcements in takeovers
by Aktas, Nihat & Xu, Guosong & Yurtoglu, Burcin
- 203-222 (How) do credit market conditions affect firms' post-hedging outcomes? Evidence from bank lending standards and firms' currency exposure
by Bergbrant, Mikael C. & Hunter, Delroy M.
- 223-242 Asset tangibility, cash holdings, and financial development
by Lei, Jin & Qiu, Jiaping & Wan, Chi
- 243-264 Cash-rich acquirers do not always make bad acquisitions: New evidence
by Gao, Ning & Mohamed, Abdulkadir
- 265-293 Fire-sale acquisitions and intra-industry contagion
by Oh, Seungjoon
- 294-322 The fading of investment-cash flow sensitivity and global development
by Larkin, Yelena & Ng, Lilian & Zhu, Jie
- 323-348 Financing, fire sales, and the stockholder wealth effects of asset divestiture announcements
by Finlay, William & Marshall, Andrew & McColgan, Patrick
- 349-370 The consequences of shifting the IPO offer pricing power from securities regulators to market participants in weak institutional environments: Evidence from China
by Chen, Jun & Ke, Bin & Wu, Donghui & Yang, Zhifeng
- 371-387 Are all regulatory compliant independent director appointments the same? An analysis of Taiwanese board appointments
by Chou, Hsin-I & Hamill, Philip A. & Yeh, Yin-Hua
- 388-401 Political connections, bailout in financial markets and firm value
by Banerji, Sanjay & Duygun, Meryem & Shaban, Mohamed
- 402-423 The role of taxes and the interdependence among corporate financial policies: Evidence from a natural experiment
by Colombo, Jéfferson A. & Caldeira, João F.
- 424-452 Do long-term investors improve corporate decision making?
by Harford, Jarrad & Kecskés, Ambrus & Mansi, Sattar
- 453-467 Customer risk and corporate financial policy: Evidence from receivables securitization
by Liu, Laura Xiaolei & Mao, Mike Qinghao & Nini, Greg
- 468-483 Are employee stock option proceeds a source of finance for investment?
by Canil, Jean & Karpavičius, Sigitas
- 484-504 Executive compensation and corporate financing policies: Evidence from CEO inside debt
by Freund, Steven & Latif, Saira & Phan, Hieu V.
- 505-518 Independent directors and defined benefit pension plan freezes
by Vafeas, Nikos & Vlittis, Adamos
- 519-537 Corporate pension plans and investment choices: Bargaining or conforming?
by Duygun, Meryem & Huang, Bihong & Qian, Xiaolin & Tam, Lewis H.K.
- 538-555 Entrepreneurial finance: Unifying themes and future directions
by Cumming, Douglas & Groh, Alexander Peter
- 556-574 Market mechanisms and funding dynamics in equity crowdfunding
by Hornuf, Lars & Schwienbacher, Armin
- 575-591 Does success bring success? The post-offering lives of equity-crowdfunded firms
by Signori, Andrea & Vismara, Silvio
- 592-608 Angel network affiliation and business angels' investment practices
by Bonini, Stefano & Capizzi, Vincenzo & Valletta, Mario & Zocchi, Paola
- 609-625 Debt financing, survival, and growth of start-up firms
by Cole, Rebel A. & Sokolyk, Tatyana
- 626-649 The equity gap and knowledge-based firms
by Wilson, Nick & Wright, Mike & Kacer, Marek
- 650-668 Initial public offerings, subscription precommitments and venture capital participation
by Jeppsson, Hans
- 669-688 Benefits of public reporting: Evidence from IPOs backed by listed private equity firms
by Goktan, M. Sinan & Muslu, Volkan
2018, Volume 49, Issue C
- 1-14 Initial public offerings on the UK when-issued market
by Khurshed, Arif & Kostas, Dimitris & Mohamed, Abdulkadir & Saadouni, Brahim
- 15-31 Labor unemployment insurance and firm cash holdings
by Devos, Erik & Rahman, Shofiqur
- 32-53 Volatility and the buyback anomaly
by Evgeniou, Theodoros & de Fortuny, Enric Junqué & Nassuphis, Nick & Vermaelen, Theo
- 54-80 The economics of corporate lobbying
by Cao, Zhiyan & Fernando, Guy D. & Tripathy, Arindam & Upadhyay, Arun
- 81-103 European trade credit use and SME survival
by McGuinness, Gerard & Hogan, Teresa & Powell, Ronan
- 104-119 How has takeover competition changed over time?
by Liu, Tingting & Mulherin, J. Harold
- 120-124 Observations on research and publishing from nineteen years as editors of the Journal of Corporate Finance
by Mulherin, J. Harold & Netter, Jeffry M. & Poulsen, Annette B.
- 125-140 Do venture capital firms benefit from a presence on boards of directors of mature public companies?
by Hasan, Iftekhar & Khurshed, Arif & Mohamed, Abdulkadir & Wang, Fan
- 141-167 Capital structure decisions and the optimal design of corporate market debt prograams
by Martellini, Lionel & Milhau, Vincent & Tarelli, Andrea
- 168-185 Venture capital and career concerns
by Crain, Nicholas G.
- 186-203 Anti-corruption campaigns and corporate information release in China
by Cao, Xiaping & Wang, Yuchen & Zhou, Sili
- 204-224 Product market competition and debt choice
by Boubaker, Sabri & Saffar, Walid & Sassi, Syrine
- 225-251 Worth the wait? Delay in CEO succession after unplanned CEO departures
by Rivolta, Mia L.
- 252-282 Territorial tax system reform and multinationals' foreign cash holdings: New evidence from Japan
by Xing, Jing
- 283-307 Underwriter relationships and shelf offerings
by Humphery-Jenner, Mark & Karpavicius, Sigitas & Suchard, Jo-Ann
- 308-323 Trade credit and product market power during a financial crisis
by Gonçalves, Adalto Barbaceia & Schiozer, Rafael F. & Sheng, Hsia Hua
- 324-343 Private benefits of control and bank loan contracts
by Lin, Chih-Yung & Tsai, Wei-Che & Hasan, Iftekhar & Tuan, Le Quoc
- 344-378 Tax avoidance and cost of debt: The case for loan-specific risk mitigation and public debt financing
by Isin, Adnan Anil
- 379-387 What does it take? Comparison of research standards for promotion in finance
by Netter, Jeffry M. & Poulsen, Annette B. & Kieser, William P.
2018, Volume 48, Issue C
- 1-16 Managerial conservatism, board independence and corporate innovation
by Lu, Jun & Wang, Wei
- 17-33 Large dividend increases and leverage
by Cooper, Ian A. & Lambertides, Neophytos
- 34-48 Credit default swaps and firms' financing policies
by Fuller, Kathleen P. & Yildiz, Serhat & Uymaz, Yurtsev
- 49-75 Institutional investor monitoring motivation and the marginal value of cash
by Ward, Charles & Yin, Chao & Zeng, Yeqin
- 76-93 Executive turnover and the valuation of stock options
by Klein, Daniel
- 94-108 The mitigating effect of bank financing on shareholder value and firm policies following rating downgrades
by Bedendo, Mascia & Siming, Linus
- 109-121 Operational and financial hedging: Evidence from export and import behavior
by Kuzmina, Olga & Kuznetsova, Olga
- 122-147 Bank supply shocks and the substitution between bank and nonbank debt
by Fernández, Ana I. & González, Francisco & Suárez, Nuria
- 148-168 Institutional investors' corporate site visits and corporate innovation
by Jiang, Xuanyu & Yuan, Qingbo
- 169-186 Shareholder litigation rights and the cost of debt: Evidence from derivative lawsuits
by Ni, Xiaoran & Yin, Sirui
- 187-216 Institutional cross-ownership and corporate strategy: The case of mergers and acquisitions
by Brooks, Chris & Chen, Zhong & Zeng, Yeqin
- 217-243 Specialist CEOs and IPO survival
by Gounopoulos, Dimitrios & Pham, Hang
- 244-260 Does improved disclosure lead to higher executive compensation? Evidence from the conversion to IFRS and the dual-class share system in China
by Lu, Jun & Shi, Zhen
- 261-274 Employees' risk attitude and corporate risk taking: Evidence from pension asset allocations
by Guan, Yanling & Tang, Dragon Yongjun
- 275-291 Excess cash, trading continuity, and liquidity risk
by Huang, Winifred & Mazouz, Khelifa
- 292-313 Initial compensation contracts for new executives and financial distress risk: An empirical investigation of UK firms
by Chen, Jie & De Cesari, Amedeo & Hill, Paula & Ozkan, Neslihan
- 314-330 Managerial incentives and strategic choices of firms with different ownership structures
by Banerjee, Shantanu & Homroy, Swarnodeep
- 331-351 In good times and in bad: Defined-benefit pensions and corporate financial policy
by Bartram, Söhnke M.
- 352-374 Shareholders valuation of long-term debt and decline in firms' leverage ratio
by D'Mello, Ranjan & Gruskin, Mark & Kulchania, Manoj
- 375-412 Asset specificity and firm value: Evidence from mergers
by Kim, Joon Ho
- 413-427 Institutional bidding behaviors during IPO bookbuilding: Evidence from Korea
by Eom, Chanyoung
- 428-441 New evidence on managerial labor markets: An analysis of CEO retreads
by Fee, C. Edward & Hadlock, Charles J. & Pierce, Joshua R.
- 442-459 Income smoothing may result in increased perceived riskiness: Evidence from bid-ask spreads around loss announcements
by Yu, Kun & Hagigi, Moshe & Stewart, Scott D.
- 460-473 Are all perks solely perks? Evidence from corporate jets
by Lee, Lian Fen & Lowry, Michelle & Shu, Susan
- 474-491 Differences make a difference: Diversity in social learning and value creation
by Fang, Yiwei & Francis, Bill & Hasan, Iftekhar
- 492-514 The impact of dividend imputation on corporate tax avoidance: The case of shareholder value
by McClure, Ross & Lanis, Roman & Wells, Peter & Govendir, Brett
- 515-541 Accessibility and materialization of firm innovation
by Jia, Ning & Tian, Xuan
- 542-555 Asymmetries in the Firm's use of debt to changing market values
by Ferris, Stephen P. & Hanousek, Jan & Shamshur, Anastasiya & Tresl, Jiri
- 556-578 Organization capital and firm life cycle
by Hasan, Mostafa Monzur & Cheung, Adrian (Wai-Kong)
- 579-596 Bank credit and corporate working capital management
by Chen, Chongyang & Kieschnick, Robert
- 597-614 Firm age, corporate governance, and capital structure choices
by Kieschnick, Robert & Moussawi, Rabih
- 615-637 Peer influence on payout policies
by Adhikari, Binay K. & Agrawal, Anup
- 638-657 Living through the Great Chinese Famine: Early-life experiences and managerial decisions
by Feng, Xunan & Johansson, Anders C.
- 658-679 Regulatory effects on Analysts' conflicts of interest in corporate financing activities: Evidence from NASD Rule 2711
by Chen, Peter F. & Novoselov, Kirill E. & Wang, Yihong
- 680-699 Saving for a rainy day: Evidence from the 2000 dot-com crash and the 2008 credit crisis
by Chen, Hsuan-Chi & Chou, Robin K. & Lu, Chien-Lin
- 700-725 Employee welfare and stock price crash risk
by Ben-Nasr, Hamdi & Ghouma, Hatem
- 726-751 Prospect theory and IPO returns in China
by Wang, Zhiqiang & Su, Bingbai & Coakley, Jerry & Shen, Zhe
- 752-770 Managerial foreign experience and corporate innovation
by Yuan, Rongli & Wen, Wen
- 771-796 Investment timing, reversibility, and financing constraints
by Shibata, Takashi & Nishihara, Michi
- 797-815 Short interest as a signal to issue equity
by Autore, Don M. & Hutton, Irena & Jiang, Danling & Outlaw, Dominque G.
- 816-839 Do qualifications matter? New evidence on board functions and director compensation
by Fedaseyeu, Viktar & Linck, James S. & Wagner, Hannes F.
- 840-856 Corporate financing and target behavior: New tests and evidence
by Chauhan, Gaurav Singh & Huseynov, Fariz
- 857-877 A J-shaped cross-sectional relation between dividends and firm value
by Kim, Soojung & Park, Soon Hong & Suh, Jungwon
2017, Volume 47, Issue C
- 1-22 Does local religiosity affect organizational risk-taking? Evidence from the hedge fund industry
by Gao, Lei & Wang, Ying & Zhao, Jing
- 23-45 Hedge funds in M&A deals: Is there exploitation of insider information?
by Dai, Rui & Massoud, Nadia & Nandy, Debarshi K. & Saunders, Anthony
- 46-71 CEO social capital, risk-taking and corporate policies
by Ferris, Stephen P. & Javakhadze, David & Rajkovic, Tijana
- 72-87 Information leakage in family firms: Evidence from short selling around insider sales
by Sun, Hanwen & Yin, Shuxing
- 88-109 Career concerns and the busy life of the young CEO
by Li, Xiaoyang & Low, Angie & Makhija, Anil K.
- 110-130 Skin in the game: General partner capital commitment, investment behavior and venture capital fund performance
by Jia, Ning & Wang, Dan
- 131-150 CEO compensation and risk-taking at financial firms: Evidence from U.S. federal loan assistance
by Gande, Amar & Kalpathy, Swaminathan
- 151-173 The small IPO and the investing preferences of mutual funds
by Bartlett, Robert P. & Rose, Paul & Solomon, Steven Davidoff
- 174-190 Investor protection and corporate control
by Larrain, Borja & Tapia, Matías & Urzúa I., Francisco
- 191-218 Geographic concentration of institutions, corporate governance, and firm value
by Huang, Xiaoran & Kang, Jun-Koo
- 219-235 Independent director reputation incentives and stock price informativeness
by Sila, Vathunyoo & Gonzalez, Angelica & Hagendorff, Jens
- 236-252 The equity-financing channel, the catering channel, and corporate investment: International evidence
by Kusnadi, Yuanto & Wei, K.C. John
- 253-268 Do investors flip less in bookbuilding than in auction IPOs?
by Neupane, Suman & Marshall, Andrew & Paudyal, Krishna & Thapa, Chandra
2017, Volume 46, Issue C
- 1-24 Product market advertising, heterogeneous beliefs, and the long-run performance of initial public offerings
by Chemmanur, Thomas & Yan, An
- 25-33 Are managers paid for better levels of pension funding?
by Alderson, Michael J. & Betker, Brian L. & Halford, Joseph T.
- 34-50 What do stock price levels tell us about the firms?
by Chan, Konan & Li, Fengfei & Lin, Ji-Chai & Lin, Tse-Chun
- 51-76 What determines horizontal merger antitrust case selection?
by Gao, Ning & Peng, Ni & Strong, Norman
- 77-96 Multinationality and firm value: The role of real options awareness
by Ioulianou, Sophocles & Trigeorgis, Lenos & Driouchi, Tarik
- 97-120 Does cross-listing increase managers' propensity to listen to the market in M&A deals?
by Abdallah, Abed AL-Nasser & Abdallah, Wissam
- 121-138 Informed short selling around SEO announcements
by Deshmukh, Sanjay & Gamble, Keith Jacks & Howe, Keith M.
- 139-153 Media sentiment and IPO underpricing
by Bajo, Emanuele & Raimondo, Carlo
- 154-169 Do managerial risk-taking incentives influence firms' exchange rate exposure?
by Francis, Bill B. & Hasan, Iftekhar & Hunter, Delroy M. & Zhu, Yun
- 170-185 Who needs big banks? The real effects of bank size on outcomes of large US borrowers
by Biswas, Swarnava (Sonny) & Gómez, Fabiana & Zhai, Wei
- 186-206 What is the shareholder wealth impact of target CEO retention in private equity deals?
by Bargeron, Leonce L. & Schlingemann, Frederik P. & Stulz, René M. & Zutter, Chad J.
- 207-231 Cross-border merger waves
by Xu, Emma Qianying
- 232-247 Private benefits of public control: Evidence of political and economic benefits of state ownership
by D'Souza, Juliet & Nash, Robert
- 248-260 The behaviour of SMEs' capital structure determinants in different macroeconomic states
by Daskalakis, Nikolaos & Balios, Dimitrios & Dalla, Violetta
- 261-283 R&D investments and credit lines
by Guney, Yilmaz & Karpuz, Ahmet & Ozkan, Neslihan
- 284-306 Individualism, democracy, and contract enforcement
by Cline, Brandon N. & Williamson, Claudia R.
- 307-319 The value of restrictive covenants in the changing bond market dynamics before and after the financial crisis
by Simpson, Marc W. & Grossmann, Axel
- 320-341 Languages and corporate savings behavior
by Chen, Shimin & Cronqvist, Henrik & Ni, Serene & Zhang, Frank
- 342-360 The determinants of buyout returns: Does transaction strategy matter?
by Ayash, Brian & Bartlett, Robert P. & Poulsen, Annette B.
- 361-373 The effect of relationships with government-owned banks on cash flow constraints: Evidence from India
by Srinivasan, Anand & Thampy, Ashok
- 374-390 Firm investment in human health capital
by Holland, Sara B.