European Financial Management

Cover image for Vol. 19 Issue 5

November 2013

Volume 19, Issue 5

Pages 837–1050

  1. Original Articles

    1. Top of page
    2. Original Articles
    1. Was There Ever a Lending Channel? (pages 837–851)

      Eugene F. Fama

      Version of Record online: 9 SEP 2013 | DOI: 10.1111/j.1468-036X.2013.12034.x

    2. Risk Management for Italian Non-Financial Firms: Currency and Interest Rate Exposure (pages 887–910)

      Gordon M. Bodnar, Costanza Consolandi, Giampaolo Gabbi and Ameeta Jaiswal-Dale

      Version of Record online: 8 AUG 2012 | DOI: 10.1111/j.1468-036X.2012.00659.x

    3. Trade Timing, Price Volatility and Serial Correlation (pages 911–934)

      Ming-Chang Wang and Lon-Ping Zu

      Version of Record online: 3 MAY 2011 | DOI: 10.1111/j.1468-036X.2011.00614.x

    4. An International Perspective on Risk Management Quality (pages 935–955)

      Svetlana Mira and Nicholas Taylor

      Version of Record online: 6 JUN 2011 | DOI: 10.1111/j.1468-036X.2011.00611.x

    5. Corporate Governance and the Value of Excess Cash Holdings of Large European Firms (pages 991–1016)

      Marc B.J. Schauten, Dick van Dijk and Jan-Paul van der Waal

      Version of Record online: 8 JUN 2011 | DOI: 10.1111/j.1468-036X.2011.00615.x

    6. Hedge Fund Activism and Information Disclosure: the Case of Germany (pages 1017–1050)

      Peter Weber and Heinz Zimmermann

      Version of Record online: 30 SEP 2011 | DOI: 10.1111/j.1468-036X.2011.00626.x