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Home » JOURNAL » The Journal of Finance, Volume 71, Issue 6, December 2016

The Journal of Finance, Volume 71, Issue 6, December 2016

Articles

Misspecified Recovery (pages 2493–2544) by JAROSLAV BOROVIČKA, LARS PETER HANSEN and JOSÉ A. SCHEINKMAN

Do Creditor Rights Increase Employment Risk? Evidence from Loan Covenants (pages 2545–2590) by ANTONIO FALATO and NELLIE LIANG

Corporate Scandals and Household Stock Market Participation (pages 2591–2636) by MARIASSUNTA GIANNETTI and TRACY YUE WANG

Credit Rationing, Income Exaggeration, and Adverse Selection in the Mortgage Market (pages 2637–2686) by BRENT W. AMBROSE, JAMES CONKLIN and JIRO YOSHIDA

A Tale of Two Runs: Depositor Responses to Bank Solvency Risk (pages 2687–2726) by RAJKAMAL IYER, MANJU PURI and NICHOLAS RYAN

“Lucas” in the Laboratory (pages 2727–2780) by ELENA ASPAROUHOVA, PETER BOSSAERTS, NILANJAN ROY and WILLIAM ZAME

Compensating Financial Experts (pages 2781–2808) by VINCENT GLODE and RICHARD LOWERY

Learning about Mutual Fund Managers (pages 2809–2860) by  DARWIN CHOI, BIGE KAHRAMAN and ABHIROOP MUKHERJEE

Valuation Risk and Asset Pricing (pages 2861–2904) by  RUI ALBUQUERQUE, MARTIN EICHENBAUM, VICTOR XI LUO and SERGIO REBELO

Behind the Scenes: The Corporate Governance Preferences of Institutional Investors (pages 2905–2932) by JOSEPH A. McCAHERY, ZACHARIAS SAUTNER and LAURA T. STARKS

Ties That Bind: How Business Connections Affect Mutual Fund Activism (pages 2933–2966) by DRAGANA CVIJANOVIĆ, AMIL DASGUPTA and KONSTANTINOS E. ZACHARIADIS

Infrequent Rebalancing, Return Autocorrelation, and Seasonality (pages 2967–3006) by VINCENT BOGOUSSLAVSKY

URL: http://onlinelibrary.wiley.com/doi/10.1111/jofi.2016.71.issue-6/issuetoc

Courtesy: Wiley online library

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