New year, new issue! Issue 1 of Volume 29 of the Review of Finance is now available

We are pleased to announce that Issue 1 of Volume 29 of the Review of Finance is now available.

Contents:

  1. Liquidity and the strategic value of information (Summary here)
    by Ohad Kadan and Asaf Manela
  2. Securities financing and asset markets: new evidence (Summary here)
    by Tomas Breach and Thomas B King
  3. Trust and delegated investing: a Money Doctors experiment
    by Maximilian Germann, Lukas Mertes, Martin Weber, and Benjamin Loos
  4. Tradable Risk Factors for Institutional and Retail Investors (Summary here)
    by Andreas Johansson, Riccardo Sabbatucci, and Andrea Tamoni
  5. Margin constraints and asset prices
    by Jungkyu Ahn
  6. Credit ratings: strategic issuer disclosure and optimal screening
    by Jonathan B Cohn, Uday Rajan, and Günter Strobl
  7. Large orders in small markets: execution with endogenous liquidity supply (Summary here)
    by Agostino Capponi, Albert J. Menkveld, and Hongzhong Zhang
  8. Empirical determinants of momentum: a perspective using international data (Summary here)
    by Amit Goyal, Narasimhan Jegadeesh, and Avanidhar Subrahmanyam
  9. It’s not (only) personal, it’s business: personal bankruptcy exemptions and business credit (Summary here)
    by Rebel A Cole, Jason Damm, John Hackney, and Masim Suleymanov

To access the complete issue, please click here.

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