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There are 11080 results for: content related to: IDIOSYNCRATIC RISK PREMIA AND MOMENTUM

  1. You have free access to this content
    LEARNING BANKS' EXPOSURE TO SYSTEMATIC RISK: EVIDENCE FROM THE FINANCIAL CRISIS OF 2008

    Journal of Financial Research

    Volume 37, Issue 1, Spring 2014, Pages: 75–98, Ariel M. Viale and Jeff Madura

    Article first published online : 13 MAR 2014, DOI: 10.1111/jfir.12029

  2. TOWER BUILDING AND STOCK MARKET RETURNS

    Journal of Financial Research

    Volume 36, Issue 3, Fall 2013, Pages: 413–434, Gunter Löffler

    Article first published online : 8 SEP 2013, DOI: 10.1111/j.1475-6803.2013.12017.x

  3. REGIME-DEPENDENT LIQUIDITY DETERMINANTS OF CREDIT DEFAULT SWAP SPREAD CHANGES

    Journal of Financial Research

    Volume 36, Issue 2, Summer 2013, Pages: 279–298, Biao Guo and David Newton

    Article first published online : 17 JUN 2013, DOI: 10.1111/j.1475-6803.2013.12011.x

  4. CONSUMPTION, MONEY, INTRATEMPORAL SUBSTITUTION, AND CROSS-SECTIONAL ASSET RETURNS

    Journal of Financial Research

    Volume 36, Issue 1, Spring 2013, Pages: 115–146, Li Gu and Dayong Huang

    Article first published online : 19 MAR 2013, DOI: 10.1111/j.1475-6803.2013.12005.x

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    THE PRICE-TAKER EFFECT ON THE VALUATION OF EXECUTIVE STOCK OPTIONS

    Journal of Financial Research

    Volume 37, Issue 1, Spring 2014, Pages: 27–54, Tung-Hsiao Yang and Don M. Chance

    Article first published online : 13 MAR 2014, DOI: 10.1111/jfir.12027

  6. OPTIMAL FUTURES HEDGE WITH MARKING-TO-MARKET AND STOCHASTIC INTEREST RATES

    Journal of Financial Research

    Volume 19, Issue 3, Fall 1996, Pages: 309–326, Carolyn W. Chang, Jack S. K. Chang and Hsing Fang

    Article first published online : 27 AUG 2014, DOI: 10.1111/j.1475-6803.1996.tb00216.x

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    CASH HOARDS AND CHANGES IN INVESTORS' OUTLOOK

    Journal of Financial Research

    Volume 37, Issue 1, Spring 2014, Pages: 119–137, Ebenezer Asem and Shamsul Alam

    Article first published online : 13 MAR 2014, DOI: 10.1111/jfir.12031

  8. INTERNATIONAL INVESTORS' EXPOSURE TO RISK IN EMERGING MARKETS

    Journal of Financial Research

    Volume 22, Issue 1, Spring 1999, Pages: 83–106, Babak Eftekhari and Stephen E. Satchell

    Article first published online : 27 AUG 2014, DOI: 10.1111/j.1475-6803.1999.tb00716.x

  9. EQUITY ISSUES AND TOBIN'S Q: NEW EVIDENCE REGARDING ALTERNATIVE INFORMATION RELEASE HYPOTHESES

    Journal of Financial Research

    Volume 15, Issue 4, Winter 1992, Pages: 323–339, Peter A. Brous and Omesh Kini

    Article first published online : 27 AUG 2014, DOI: 10.1111/j.1475-6803.1992.tb00116.x

  10. IS THERE A SIGNALING EFFECT OF UNDERWRITER REPUTATION?

    Journal of Financial Research

    Volume 24, Issue 1, Spring 2001, Pages: 27–43, Abe Helou and Gonyung Park

    Article first published online : 27 AUG 2014, DOI: 10.1111/j.1475-6803.2001.tb00816.x

  11. DIVERSIFICATION STRATEGIES: DO LIMITED DATA CONSTRAIN INVESTORS?

    Journal of Financial Research

    Volume 36, Issue 2, Summer 2013, Pages: 215–232, Irina Murtazashvili and Nadia Vozlyublennaia

    Article first published online : 17 JUN 2013, DOI: 10.1111/j.1475-6803.2013.12008.x

  12. LITIGATION RISK AND MARKET REACTION TO RESTATEMENTS

    Journal of Financial Research

    Volume 36, Issue 1, Spring 2013, Pages: 19–42, Katsiaryna Salavei Bardos, Joseph Golec and John P. Harding

    Article first published online : 19 MAR 2013, DOI: 10.1111/j.1475-6803.2013.12001.x

  13. CASH FLOWS, CURRENCY RISK, AND THE COST OF CAPITAL

    Journal of Financial Research

    Volume 37, Issue 2, Summer 2014, Pages: 139–158, Ding Du and Ou Hu

    Article first published online : 11 JUN 2014, DOI: 10.1111/jfir.12032

  14. UNDERWRITERS AND THE BROKEN CHINESE WALL: INSTITUTIONAL HOLDINGS AND POST-IPO SECURITIES LITIGATION

    Journal of Financial Research

    Volume 36, Issue 4, Winter 2013, Pages: 543–578, Sergey S. Barabanov, Onem Ozocak, Kuntara Pukthuanthong and Thomas J. Walker

    Article first published online : 10 DEC 2013, DOI: 10.1111/jfir.12023

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    CONVEXITY, MAGNIFICATION, AND TRANSLATION: THE EFFECT OF MANAGERIAL OPTION-BASED COMPENSATION ON CORPORATE CASH HOLDINGS

    Journal of Financial Research

    Volume 37, Issue 2, Summer 2014, Pages: 191–210, Yacine Belghitar and Ephraim Clark

    Article first published online : 11 JUN 2014, DOI: 10.1111/jfir.12034

  16. PRESS COVERAGE AND STOCK PRICE DEVIATION FROM FUNDAMENTAL VALUE

    Journal of Financial Research

    Volume 36, Issue 2, Summer 2013, Pages: 175–214, Chia-Wei Chen, Christos Pantzalis and Jung Chul Park

    Article first published online : 17 JUN 2013, DOI: 10.1111/j.1475-6803.2013.12007.x

  17. DOES REPUTATION CONTRIBUTE TO INSTITUTIONAL HERDING?

    Journal of Financial Research

    Volume 37, Issue 3, Fall 2014, Pages: 295–322, Marius Popescu and Zhaojin Xu

    Article first published online : 2 SEP 2014, DOI: 10.1111/jfir.12038

  18. THE INFORMATION CONTENT OF MANAGEMENT EARNINGS FORECASTS: AN ANALYSIS OF HARD VERSUS SOFT INFORMATION

    Journal of Financial Research

    Volume 36, Issue 2, Summer 2013, Pages: 147–174, Paul Brockman and Jim Cicon

    Article first published online : 17 JUN 2013, DOI: 10.1111/j.1475-6803.2013.12006.x

  19. PERFORMANCE AND NEW MONEY CASH FLOWS IN REAL ESTATE MUTUAL FUNDS

    Journal of Financial Research

    Volume 36, Issue 4, Winter 2013, Pages: 453–470, Abhay Kaushik and Anita K. Pennathur

    Article first published online : 10 DEC 2013, DOI: 10.1111/jfir.12019

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    SPECULATIVE TRADING IN REITS

    Journal of Financial Research

    Volume 37, Issue 1, Spring 2014, Pages: 55–74, Benjamin M. Blau and Ryan J. Whitby

    Article first published online : 13 MAR 2014, DOI: 10.1111/jfir.12028