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Top 25 Cited Recent Articles

Does Academic Research Destroy Stock Return Predictability?
R. David Mclean, Jeffrey Pontiff
Volume 76, Issue 1
February 2016

Behind the Scenes: The Corporate Governance Preferences of Institutional Investors
Joseph A. Mccahery, Zacharias Sautner, Laura T. Starks
Volume 71, Issue 6
December 2016

Stock Market Volatility And Learning
Klaus Adam, Albert Marcet, Juan Pablo Nicolini
Volume 71, Issue 1
February 2016

News Trading and Speed
Thierry Foucault, Johan Hombert, Ioanid Roşu
Volume 71, Issue 1
February 2016

A Model of Financialization of Commodities
Suleyman Basak, Anna Pavlova
Volume 71, Issue 4
August 2016

Looking for Someone to Blame: Delegation, Cognitive Dissonance, and the Disposition Effect
Tom Y. Chang, David H. Solomon, Mark M. Westerfield
Volume 71, Issue 1
February 2016

The Total Cost of Corporate Borrowing in the Loan Market: Don't Ignore the Fees
Tobias Berg, Anthony Saunders, Sascha Steffen
Volume 71, Issue 3
June 2016

The Impact of Venture Capital Monitoring
Shai Bernstein, Xavier Giroud, Richard R. Townsend
Volume 71, Issue 4
August 2016

The Price of Political Uncertainty: Theory and Evidence from the Option Market
Bryan Kelly, Ľuboš Pástor, Pietro Veronesi
Volume 71, Issue 5
October 2016

Ties That Bind: How Business Connections Affect Mutual Fund Activism
Dragana Cvijanović, Amil Dasgupta, Konstantinos E. Zachariadis
Volume 71, Issue 6
December 2016

Information in the Term Structure of Yield Curve Volatility
Anna Cieslak, Pavol Povala
Volume 71, Issue 3
June 2016

On Enhancing Shareholder Control: A (Dodd-) Frank Assessment of Proxy Access
Jonathan B. Cohn, Stuart L. Gillan, Jay C. Hartzell
Volume 71, Issue 4
August 2016

Advertising Expensive Mortgages
Umit G. Gurun, Gregor Matvos, Amit Seru
Volume 71, Issue 5
October 2016

Risk-Adjusting the Returns to Venture Capital
Arthur Korteweg, Stefan Nagel
Volume 71, Issue 3
June 2016

Return Seasonalities
Matti Keloharju, Juhani T. Linnainmaa, Peter Nyberg
Volume 71, Issue 4
August 2016

Who Borrows from the Lender of Last Resort?
Itamar Drechsler, Thomas Drechsel, David Marques-Ibanez, Philipp Schnabl
Volume 71, Issue 5
October 2016

Do Creditor Rights Increase Employment Risk? Evidence from Loan Covenants
Antonio Falato, Nellie Liang
Volume 71, Issue 6
December 2016

Procyclical Capital Regulation and Lending
Markus Behn, Rainer Haselmann, Paul Wachtel
Volume 71, Issue 2
April 2016

Valuation Risk and Asset Pricing
Rui Albuquerque, Martin Eichenbaum, Victor Xi Luo, Sergio Rebelo
Volume 71, Issue 6
December 2016

What Doesn't Kill You Will Only Make You More Risk-Loving: Early-Life Disasters and CEO Behavior
Gennaro Bernile, Vineet Bhagwat, P. Raghavendra Rau
Volume 72, Issue 1
February 2017

The Flash Crash: High-Frequency Trading in an Electronic Market
Andrei Kirilenko, Albert S. Kyle, Mehrdad Samadi, Tugkan Tuzun
Volume 72, Issue 3
June 2017

Boarding a Sinking Ship? An Investigation of Job Applications to Distressed Firms
Jennifer Brown, David A. Matsa
Volume 71, Issue 2
April 2016

Information Flows in Foreign Exchange Markets: Dissecting Customer Currency Trades
Lukas Menkhoff, Lucio Sarno, Maik Schmeling, Andreas Schrimpf
Volume 71, Issue 2
April 2016

It Pays to Set the Menu: Mutual Fund Investment Options in 401(k) Plans
Veronika K. Pool, Clemens Sialm, Irina Stefanescu
Volume 71, Issue 4
August 2016

Misspecified Recovery
Jaroslav Borovička, Lars Peter Hansen, José A. Scheinkman
Volume 71, Issue 6
December 2016

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