平特五不中

Journal of Financial Economics

The began a new section containing applied papers and case studies in 1989. This section provides a high-quality professional outlet for scholarly studies of actual cases, events or practice. Such phenomena provide a rich source of data that illustrate or challenge accepted theory and lead to new insights about the world. These studies currently have few professional outlets, and with this section The Journal of Financial Economics takes a leading role in encouraging such work.

2021聽 |聽 2019 听触听 2018 听触听 2017 听触听 2016 听触听 2015聽 |聽 2012

2021

Patrick Augustin, V. Sokolovski, M.G. Subrahmanyam, and D. Tomio, "In Sickness and in Debt: The COVID-19 Impact on Sovereign Credit Risk?", Journal of Financial Economics, Forthcoming.


2019

Patrick Augustin, Mikhail Chernov and Dongho Song, "Measuring sovereign bond market integration," Journal of Financial Economics, Forthcoming

2018

Laurent Barras, "A Large-Scale Approach for Evaluating Asset Pricing Models,"聽Journal of Financial Economics, Forthcoming

2017

Jayanthi Sunder, Shyam V. Sunder and Jingjing Zhang, "Pilot CEOs and Corporate Innovation," Journal of Financial Economics, Vol. 123, No. 1, 2017, pp. 209-224.

2016

Laurent Barras聽and Aytek Malkhozov, "Does Variance Risk Have Two Prices? Evidence from the Equity and Option Markets,鈥澛Journal of Financial Economics, 聽Vol. 121, 2016, pp. 79-92.

2015

Andres Almazan, Adolfo de Motta聽and Sheridan Titman, "Debt, Labor Markets, and the Creation and Destruction of Firms," Journal of Financial Economics, Vol. 118, No. 3, December 2015, pp. 636-657.聽

2012

Sebastien Betermier, Thomas Jansson, Christine Parlour and Johan Walden, 鈥淗edging Labor Income Risk,鈥 Journal of Financial Economics, Vol. 105, No. 3, 2012, pp. 622-639.
Jan Ericsson, 鈥淭he Cost and Timing of Financial Distress,鈥 Journal of Financial Economics, Vol. 105, No. 1, 2012, pp. 62-81.
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