| 2008 | |
Senay Agca and Sattar A. Mansi Managerial Ownership, Takeover Defenses and Debt Financing Vol. XXXI, No. 2, pp. 85-112 |
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Sophie Xiaofei Kong and Dragon Yongjun Tang Unitary Boards and Mutual Fund Governance Vol. XXXI, No. 3, pp. 193-224 |
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Mingsheng Li and Xin Zhao Analyst Reputation, Dealer Affiliation and Market Making Vol. XXXI, No. 4, pp. 301-332 |
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| 2007 | |
Nobuyuki Isagawa A Theory of Unwinding of Cross-Shareholding Under Managerial Entrenchment Vol. XXX, No. 2, pp. 163-179 |
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Bidisha Chakrabarty Do Dealers Infer Information from Order Flow? Vol. XXX, No. 2, pp. 181-200 |
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Stephen P. Ferris and Xuemin (Sterling) Yan Agency Conflicts in Delegated Portfolio Management: Evidence from Namesake Mutual Funds Vol. XXX, No. 4, pp. 473-494 |
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| 2006 | |
Charles J. Corrado and Thomas W. Miller, Jr. Estimating Expected Excess Returns Using Historical and Option-Inplied Volatility Vol. XXIX, No. 1, pp. 95-112 |
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Bidisha Chakrabarty and Charles Trzcinka Momentum: Does the Database Make a Difference? Vol. XXIX, No. 4, pp. 441-462 |
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Kimberly C. Gleason, Ike Mathur and Roy A. Wiggins, III The Use of Acquisitions and Joint Ventures by U.S. Banks Expanding Abroad Vol. XXIX, No. 4, pp. 503-522 |
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| 2005 | |
Phyllis Y. Keys and Joanne Li Evidence on the Market for Professional Directors Vol. XXVIII, No. 4, pp. 575-589 |
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2004 |
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Honghui Chen and Vijay Singal All Things Considered, Taxes Drive the January Effect Vol. XXVII, No. 3, pp. 351-372 |
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2003 |
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John Affleck-Graves and Robert E. Miller The Information Content of Calls of Debt: Evidence from Long-Run Stock Returns Vol. XXVI No. 4, pp. 421-447 |
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2002 |
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James S. Ang and James C. Brau Firm Transparency and the Costs of Going Public Vol. XXV, No. 1, pp. 1-17. |
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2001 |
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Gur Huberman and Dominika Halka Systematic Liquidity Vol. XXIV, No. 2, pp. 161-178. |
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Richard W. Sias, Laura T. Starks and Seha M. Tinic Is Noise Trader Risk Priced? Vol. XXIV, No. 3, pp. 311-329 |
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Daniel J. Bradley, Bradford D. Jordan , Ha-Chin Yi and Ivan Roten Venture Capital and IPO Lockup Expiration: An Empirical Analysis Volume XXIV, No. 4, pp. 465-493. |
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2000 |
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Thomas W. Downs and Robert W. Ingram Beta, Size, Risk, and Return Vol. XXIII, No. 3, pp. 245-260. |
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Rebecca S. Demsetz Bank Loan Sales: A New Look at the Motivations for Secondary Market Activity Vol. XXIII, No. 2, pp. 197-222. |
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1999 |
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Cynthia G. McDonald and Gregory P. Roth Shareholder-Management Conflict and Event-Risk Covenants Vol. XXII, No. 2, pp. 207-225. |
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John K. Wald How Firm Characteristics Affect Capital Structure Vol. XXII, No. 2, pp. 161-187. |
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1998 |
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Anand S. Desai, M. Nimalendran, and S. Venkataraman Changes in Trading Activity Following Stock Splits and Their Effect on Volatility Vol. XXI, No. 2, pp. 159-184. |
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Anthony K. Byrd, Steven V. Mann, William T. Moore, and Pradipkumar Ramanlal Rational Timing of Calls of Convertible Preferred Stocks Vol. XXI, No. 3, pp. 293-314 |
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1997 |
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William N. Goetzmann and Nadev Peles Cognitive Dissonance and Mutual Fund Investors Vol. XX, No. 2, pp. 145-158. |
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Allen B. Atkins and Edward A. Dyl Market Structure and Reported Trading Volume: NASDAQ versus the NYSE Vol. XX, No. 3, pp. 291-304. |
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1996 |
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Inmoo Lee, Scott Lochhead, Jay Ritter, and Quanshui Zhao The Costs of Raising Capital Vol. XIX, No. 1, pp. 59-74. |
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Sudip Datta and Mai E. Iskandar-Datta Who Gains from Corporate Asset Sales? Vol. XIX, No. 1, pp. 41-58. |
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1995 |
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M. J. Brennan The Individual Investor Vol. XVIII, No. 1, pp. 59-74. |
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Jeff Madura and Emilio R. Zarruk Bank Exposure to Interest Rate Risk: A Global Perspective Vol. XVIII, No. 1, pp. 1-13. |