Journal of Financial and Quantitative Analysis

Journal of Financial and Quantitative Analysis

ISSNs: 0022-1090

Additional searchable ISSN (Electronic): 1756-6916

Cambridge University Press, United Kingdom

Scopus rating (2022): CiteScore 5.8 SJR 3.7 SNIP 2.888

Journal

Journal Metrics

Research Output

  1. 2014
  2. Published

    Transparency and Financing Choices of Family Firms

    Chen, T., Dasgupta, S. & Yu, Y., Apr 2014, In: Journal of Financial and Quantitative Analysis. 49, 2, p. 381-408

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 36
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  3. Local gambling preferences and corporate innovative success

    Chen, Y., Podolski, E. J., Rhee, G. & Veeraraghavan, M., Feb 2014, In: Journal of Financial and Quantitative Analysis. 49, 1, p. 77-106

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 83
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  4. 2011
  5. Published

    Agency costs of free cash flow and the effect of shareholder rights on the implied cost of equity capital

    Chen, K. C. W., Chen, Z. & Wei, K. C. J., Feb 2011, In: Journal of Financial and Quantitative Analysis. 46, 1, p. 171-207

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 161
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  6. 2010
  7. Published

    Heterogeneity and volatility puzzles in international finance

    Li, T. & Muzere, M. L., Dec 2010, In: Journal of Financial and Quantitative Analysis. 45, 6, p. 1485-1516

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 7
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  8. Published

    Arbitrage risk and stock mispricing

    Doukas, J. A., Kim, C. & Pantzalis, C., Aug 2010, In: Journal of Financial and Quantitative Analysis. 45, 4, p. 907-934

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 52
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  9. Published

    Friend or foe? The role of state and mutual Fund ownership in the split share structure reform in China

    Firth, M., Lin, C. & Zou, H., Jun 2010, In: Journal of Financial and Quantitative Analysis. 45, 3, p. 685-706

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 177
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  10. 2008
  11. Published

    Debt capacity, cost of debt, and corporate insurance

    Zou, H. & Adams, M. B., Jun 2008, In: Journal of Financial and Quantitative Analysis. 43, 2, p. 433-466

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 78
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  12. 2007
  13. The dynamics of credit spreads and ratings migrations

    Farnsworth, H. & Li, T., Sept 2007, In: Journal of Financial and Quantitative Analysis. 42, 3, p. 595-620

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 10
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  14. 2001
  15. Trade size and information-motivated trading in the options and stock markets

    Lee, J. & Yi, C. H., Dec 2001, In: Journal of Financial and Quantitative Analysis. 36, 4, p. 485-501

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 47
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  16. 1979
  17. Risk, return, security-valuation and the stochastic behavior of accounting numbers

    Ohlson, J. A., Jun 1979, In: Journal of Financial and Quantitative Analysis. 14, 2, p. 317-336

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 19
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  18. 1976
  19. Portfolio selection in a lognormal market when the investor has a power utility function

    Ohlson, J. A. & Ziemba, W. T., 1976, In: Journal of Financial and Quantitative Analysis. 11, 1, p. 57-71

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 26
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  20. The stationary distribution of returns and portfolio aeparation in capital markets: A fundamental contradiction

    Rosenberg, B. & Ohlson, J. A., 1976, In: Journal of Financial and Quantitative Analysis. 11, 3, p. 393-402

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 35
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  21. 1975
  22. A note on the representation of bounded utility functions defined on [a,∞)

    Ohlson, J. A. & Kallio, M., Jun 1975, In: Journal of Financial and Quantitative Analysis. 10, 2, p. 377-379

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 2
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  23. Portfolio selection in a log-stable market

    Ohlson, J. A., Jun 1975, In: Journal of Financial and Quantitative Analysis. 10, 2, p. 285-298

    Research output: Journal Publications and Reviews (RGC: 21, 22, 62)21_Publication in refereed journalpeer-review

    Scopus citations: 6
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