国际权威学术期刊:
The Journal of Financial and Quantitative Analysis (JFQA) publishes theoretical and empirical research in financial economics. Topics include corporate finance, investments, capital and security markets, and quantitative methods of particular relevance to financial researchers. With a circulation of 3000 libraries, firms, and individuals in 70 nations, the JFQA serves an international community of sophisticated finance scholars—academics and practitioners alike. The JFQAprints less than 10% of the more than 600 unsolicited manuscripts submitted annually. An intensive blind review process and exacting editorial standards contribute to the JFQA’s reputation as a top finance journal.
以上是刊物的简介,已熟悉的朋友可以略过看下面2010年度被下载最多的文献,按顺序依次排名,希望对大家有所帮助。
1 Predicting Global Stock Returns
Erik Hjalmarsson∗ Vol. 45, No. 1, Feb. 2010, pp. 49–80
2 Do Firms Target Credit Ratings or Leverage Levels?
Darren J. Kisgen∗ Vol. 44, No. 6, Dec. 2009, pp. 1323–1344
3 Is There Shareholder Expropriation in the United States? An Analysis of Publicly Traded Subsidiaries
Vladimir Atanasov, Audra Boone, and David Haushalter∗ Vol. 45, No. 1, Feb. 2010, pp. 1–26
4 The Information Content of Idiosyncratic Volatility
George J. Jiang, Danielle Xu, and Tong Yao∗ Vol. 44, No. 1, Feb. 2009, pp. 1–28
5 Predicting Hedge Fund Failure: A Comparisonof Risk Measures
Bing Liang and Hyuna Park∗ Vol. 45, No. 1, Feb. 2010, pp. 199–222
6 The Determinants of Credit Default Swap Premia
Jan Ericsson, Kris Jacobs, and Rodolfo Oviedo∗ Vol. 44, No. 1, Feb. 2009, pp. 109–132
7 Clientele Change, Liquidity Shock, and the Return on Financially Distressed Stocks
Zhi Da and Pengjie Gao∗ Vol. 45, No. 1, Feb. 2010, pp. 27–48
8 How Does Liquidity Affect Government Bond Yields?
Carlo Favero, Marco Pagano, and Ernst-Ludwig von Thadden∗ Vol. 45, No. 1, Feb. 2010, pp. 107–134
9 Stock and Bond Market Liquidity: A Long-Run Empirical Analysis
Ruslan Y. Goyenko and Andrey D. Ukhov∗ Vol. 44, No. 1, Feb. 2009, pp. 189–212
10 An Epidemic Model of Investor Behavior
Sophie Shive∗ Vol. 45, No. 1, Feb. 2010, pp. 169–198
附件列表
Top 10 most-read articles for Journal of Financial and Quantitative Analysis in 2010.rar
大小:2.24 MB
只需: 20 个论坛币
马上下载
本附件包括:
- An Epidemic Model of Investor Behavior.pdf
- Clientele Change, Liquidity Shock, and the Return on Financially Distressed Stocks.pdf
- Do Firms Target Credit Ratings or Leverage.pdf
- How Does Liquidity Affect Government Bond Yields.pdf
- Is There Shareholder Expropriation in the United States An Analysis of Publicly Traded Subsidiaries.pdf
- Predicting Global Stock Returns.pdf
- Predicting Hedge Fund Failure A Comparison of Risk Measures.pdf
- Stock and Bond Market Liquidity A Long-Run Empirical Analysis.pdf
- The Determinants of Credit Default Swap Premia.pdf
- The Information Content of Idiosyncratic Volatility.pdf