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JFE Accepted Papers Status Update

This document provides a status update on 199 papers accepted for future publication in the Journal of Financial Economics. It lists each paper's authors and title, decision date, whether revisions were requested, and progress dates including when papers were accepted outright or sent to the copy editor. The majority of papers were accepted with revisions and have been sent to the copy editor or author for copy changes.

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0% found this document useful (0 votes)
129 views17 pages

JFE Accepted Papers Status Update

This document provides a status update on 199 papers accepted for future publication in the Journal of Financial Economics. It lists each paper's authors and title, decision date, whether revisions were requested, and progress dates including when papers were accepted outright or sent to the copy editor. The majority of papers were accepted with revisions and have been sent to the copy editor or author for copy changes.

Uploaded by

said
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd

Journal of Financial Economics

Status of the 199 papers accepted for future publication in the JFE
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

1 Sebastian Gryglewicz; Simon Mayer and Erwan Morellec 11/3/2020 11/3/2020


Optimal financing with tokens

2 Jennie Bai; Turan G. Bali and Quan Wen 11/2/2020 11/5/2020


Is there a risk-return tradeoff in the corporate bond market? Time-series and cross-sectional evidence

3 Philip Bond and James Dow 11/1/2020


Failing to forecast rare events

4 Florian Hoffmann and Sebastian Pfeil 10/31/2020


Dynamic multitasking and managerial investment incentives

5 Winston Wei Dou; Lucian A. Taylor; Wenyu Wang and Wei Wang 10/31/2020
Dissecting bankruptcy frictions

6 Christine Laudenbach; Benjamin Loos; Jenny Pirschel and Johannes 10/31/2020


Wohlfart
The trading response of individual investors to local bankruptcies
7 Kjell Nyborg and Zexi Wang 10/30/2020
The effect of stock liquidity on cash holdings: The repurchase motive

8 Anna Cieslak and Hao Pang 10/30/2020 11/3/2020 10/30/2020


Common shocks in stocks and bonds

9 John M. Barrios and Yael V. Hochberg 10/26/2020


Risk perceptions and politics: Evidence from the COVID-19 pandemic

10 Rafael Zambrana and Fernando Zapatero 10/23/2020


A tale of two types: Generalists vs. specialists in asset management

11 Patrick Bolton and Marcin Kacperczyk 10/23/2020 10/30/2020


Do investors care about carbon risk?
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

12 Morten Bennedsen; Vikas Mehrotra; Jungwook Shim and Yupana 10/20/2020


Wiwattanakantang
Dynastic control without ownership: Evidence from post-war Japan
13 Shan Ge and Michael S. Weisbach 10/18/2020 10/18/2020
The role of financial conditions in portfolio choices: The case of insurers

14 Darrell Duffie and Piotr Dworczak 10/16/2020


Robust benchmark design

15 Sven Klingler and Olav Syrstad 10/15/2020 10/19/2020


Life after LIBOR

16 Anil Kashyap; Natalia Kovrijnykh; Jian Li and Anna Pavlova 10/15/2020 10/20/2020
The benchmark inclusion subsidy

17 Petra Vokata 10/15/2020 10/19/2020


Engineering lemons

18 Claire Liu; Ronald W. Masulis and Jared Stanfield 10/8/2020 10/8/2020


Why CEO option compensation can be a bad option for shareholders: Evidence from major customer relationships

19 Matteo Benetton and Davide Fantino 10/8/2020 10/26/2020 10/8/2020


Targeted monetary policy and bank lending behavior

20 Radhakrishnan Gopalan; Todd A. Gormley and Ankit Kalda 10/2/2020 10/8/2020


It’s not so bad: director bankruptcy experience and corporate risk-taking

21 Maureen O'Hara and Xing Zhou 9/30/2020 9/30/2020


Anatomy of a liquidity crisis: Corporate bonds in the Covid-19 crisis

22 Dominik Roesch 9/28/2020 10/1/2020


The impact of arbitrage on market liquidity

23 Bjorn Hagstromer 9/27/2020


Bias in the effective bid-ask spread
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

24 Ian Dew-Becker; Stefano Giglio and Bryan T. Kelly 9/26/2020 9/30/2020


Hedging macroeconomic and financial uncertainty and volatility

25 Matteo Crosignani 9/24/2020 10/4/2020


Bank capital, government bond holdings, and sovereign debt capacity

26 Konstantin Sokolov 9/23/2020 10/3/2020


Ransomware activity and blockchain congestion

27 Guido Baltussen; Zhi Da; Sten Lammers and Martin Martens 9/23/2020 9/23/2020
Hedging demand and market intraday momentum

28 David J. Denis and Stephen B. McKeon 9/21/2020 9/30/2020


Persistent negative cash flows, staged financing, and the stockpiling of cash balances

29 Thomas A. Maurer and Ngoc-Khanh Tran 9/20/2020 10/9/2020


Entangled risks in incomplete FX markets

30 Hans Degryse; Artashes Karapetyan and Sudipto Karmakar 9/20/2020 9/28/2020 9/20/2020
To ask or not to ask? Bank capital requirements and loan collateralization

31 Mahyar Kargar 9/16/2020 9/28/2020 9/16/2020


Heterogeneous intermediary asset pricing

32 Michael Reher 9/14/2020 9/15/2020


Finance and the supply of housing quality

33 Giovanni Favara; Janet Gao and Mariassunta Giannetti 9/14/2020 9/16/2020 9/14/2020
Uncertainty, access to debt, and firm precautionary behavior

34 Yifeng Guo and Lira Mota 9/14/2020 9/22/2020


Should information be sold separately? Evidence from MiFID II

35 Shiyang Huang; Tse-Chun Lin and Hong Xiang 9/11/2020 9/21/2020


Psychological barrier and cross-firm return predictability
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

36 Franklin H. Allen; Marlene Haas; Eric Nowak and Angel Tengulov 9/11/2020 9/21/2020 9/11/2020
Market efficiency and limits to arbitrage: Evidence from the Volkswagen short squeeze

37 Jun Chen; Shenje Hshieh and Feng Zhang 9/10/2020 9/28/2020


The role of high-skilled foreign labor in startup performance: Evidence from two natural experiments

38 Matti Keloharju; Juhani Linnainmaa and Peter Nyberg 9/5/2020 9/10/2020


Long-term discount rates do not vary across firms

39 Giulio Girardi; Kathleen Weiss Hanley; Stanislava Nikolova; Loriana 9/4/2020 10/9/2020 9/4/2020
Pelizzon and Mila Getmansky Sherman
Portfolio similarity and asset liquidation in the insurance industry
40 Alexander Borisov; Andrew Ellul and Merih Sevilir 9/2/2020 9/2/2020
Access to public capital markets and employment growth

41 Hang Bai 8/30/2020 9/21/2020


Unemployment and credit risk

42 Wolfram Schlenker and Charles A. Taylor 8/30/2020 9/2/2020


Market expectations of a warming climate

43 Edward Denbee; Christian Julliard; Ye Li and Kathy Yuan 8/29/2020 9/16/2020 8/29/2020
Network risk and key players: A structural analysis of interbank liquidity

44 Ali Sharifkhani and Mikhail Simutin 8/27/2020 8/27/2020


Feedback loops in industry trade networks and the term structure of momentum profits

45 Yi Li 8/27/2020 8/31/2020
Reciprocal lending relationships in shadow banking

46 Jonathan Fullwood; Jessica James and Ian W. Marsh 8/24/2020 9/23/2020


Volatility and the cross-section of returns on fx options

47 Campbell R. Harvey and Yan Liu 8/22/2020 9/1/2020 8/22/2020


Lucky factors
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

48 Angelo Ranaldo; Patrick Schaffner and Michalis Vasios 8/19/2020 8/27/2020


Regulatory effects on short-term interest rates

49 Adrien Matray 8/18/2020 8/18/2020 8/18/2020


The local innovation spillovers of listed firms

50 Maciej Albinowski and Irem Guceri 8/17/2020 9/2/2020


Investment responses to tax policy under uncertainty

51 Joel Hasbrouck and Richard Levich 8/12/2020 8/24/2020


Network structure and pricing in the FX market

52 Ines Chaieb; Hugues Langlois and Olivier Scaillet 8/11/2020 8/21/2020 8/11/2020
Factors and risk premia in individual international stock returns

53 Mathias Kronlund; Veronika K. Pool; Clemens Sialm and Irina 8/10/2020 10/1/2020
Stefanescu
Out of sight no more? The effect of fee disclosures on 401(k) investment allocations
54 Renee B. Adams; Vanitha Ragunathan and Robert Tumarkin 8/5/2020 10/30/2020
Death by committee? An analysis of corporate board (sub-) committees

55 Frank Weikai Li; Abhiroop Mukherjee and Rik Sen 8/3/2020 9/7/2020
Inside brokers

56 Qifei Zhu 8/2/2020 8/24/2020 8/2/2020


Capital supply and corporate bond issuances: Evidence from mutual fund flows

57 Wenzhi Ding; Ross Levine; Chen Lin and Wensi Xie 7/31/2020 8/10/2020 7/31/2020
Corporate immunity to the COVID-19 pandemic

58 Chen Lin; Chicheng Ma; Yuchen Sun and Yuchen Xu 7/29/2020 8/5/2020
The telegraph and modern banking development, 1881-1936

59 Stefan Lewellen and Emily Williams 7/28/2020 9/11/2020


Did technology contribute to the housing boom? Evidence from MERS
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

60 Umit G. Gurun; Noah Stoffman and Scott E. Yonker 7/28/2020 9/17/2020


Unlocking clients: The importance of relationships in the financial advisory industry

61 Hao Jiang; Sophia Zhengzi Li and Hao Wang 7/24/2020 7/31/2020


Pervasive underreaction: Evidence from high-frequency data

62 Haoyu Gao; Hong Ru and Dragon Yongjun Tang 7/23/2020 8/3/2020


Subnational debt of China: The politics-finance nexus

63 Andrei S. Goncalves 7/21/2020 10/9/2020 7/21/2020


The short duration premium

64 Geert Bekaert; Eric C. Engstrom and Andrey Ermolov 7/20/2020 7/23/2020


Macro risks and the term structure of interest rates

65 Thomas Hellmann; Paul H. Schure and Dan H. Vo 7/16/2020 8/3/2020


Angels and venture capitalists: Substitutes or complements?

66 Shiyang Huang; Byoung-Hyoun Hwang and Dong Lou 7/16/2020 8/4/2020 7/16/2020
The rate of communication

67 Taylor Begley and Amiyatosh Purnanandam 7/14/2020 8/6/2020


Color and credit: Race, regulation, and the quality of financial services

68 Vincent Bogousslavsky 7/12/2020 7/21/2020


The cross-section of intraday and overnight returns

69 Travis Box; Ryan L. Davis; Richard Burtis Evans and Andrew Lynch 7/11/2020 9/24/2020
Intraday arbitrage between ETFs and their underlying portfolios

70 Elena Carletti; Filippo De Marco; Vasso P. Ioannidou and Enrico Sette 7/10/2020 7/23/2020
Banks as patient lenders: Evidence from a tax reform

71 Jannis Bischof; Christian Laux and Christian Leuz 7/9/2020 7/31/2020


Accounting for financial stability: Bank disclosure and loss recognition in the financial crisis
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

72 Katharina Lewellen and Michelle Lowry 7/5/2020 7/14/2020


Does common ownership really increase firm coordination?

73 Matthew J. Bloomfield 7/5/2020 8/7/2020


Compensation disclosures and strategic commitment: Evidence from revenue-based pay

74 Bill B. Francis; Iftekar Hasan; Yingie (Victor) Shen and Qiang Wu 7/1/2020 7/1/2020
Do activist hedge funds target female CEOs? The role of CEO gender in hedge fund activism

75 Luisa Carpinelli and Matteo Crosignani 6/30/2020 7/17/2020


The design and transmission of central bank liquidity provisions

76 Georgy Chabakauri and Oleg Rytchkov 6/28/2020 7/20/2020 6/28/2020


Asset pricing with index investing

77 Bryan T. Kelly; Tobias J. Moskowitz and Seth Pruitt 6/27/2020 7/7/2020


Understanding momentum and reversal

78 Sophie Calder-Wang and Paul Gompers 6/25/2020 6/25/2020


And the children shall lead: Gender diversity and performance in venture capital

79 Alessandro Barattieri; Laura Moretti and Vincenzo Quadrini 6/25/2020 7/3/2020 6/25/2020
Banks funding, leverage, and investment

80 Tobias Berg; Anthony Saunders; Larissa Schaefer and Sascha Steffen 6/25/2020 7/11/2020
”Brexit” and the contraction of syndicated lending

81 Lakshmi Shankar Ramachandran and Jitendra Tayal 6/24/2020 6/24/2020


Mispricing, short-sale constraints, and the cross-section of option returns

82 Kam Fong Chan and Terry Marsh 6/20/2020 6/24/2020


Asset prices, midterm elections and political uncertainty

83 Ethan Cohen-Cole; Kyle Herkenhoff and Gordon Phillips 6/18/2020 7/17/2020


The impact of consumer credit access on self-employment and entrepreneurship
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

84 Kornelia Fabisik; Ruediger Fahlenbrach; René M. Stulz and Jerome P. 6/18/2020 7/20/2020 6/18/2020
Taillard
Why are firms with more managerial ownership worth less?
85 Federico M. Bandi; Shomesh E. Chaudhuri; Andrew W. Lo and Andrea 6/17/2020 8/7/2020 6/17/2020
Tamoni
Spectral factor models
86 Matteo Leombroni; Andrea Vedolin; Gyuri Venter and Paul Whelan 6/7/2020 6/9/2020
Central bank communication and the yield curve

87 Pedro Barroso and Andrew Detzel 6/5/2020 6/15/2020


Do limits to arbitrage explain the benefits of volatility-managed portfolios?

88 Sida Li; Xin Wang and Mao Ye 6/5/2020 6/5/2020


Who provides liquidity, and when?

89 Christophe Cahn; Mattia Girotti and Augustin Landier 6/3/2020 8/24/2020 6/3/2020
Entrepreneurship and information on past failures: A natural experiment

90 Yongxin Xu; Yuhao Xuan and Gaoping Zheng 6/2/2020 6/5/2020


Internet searching and stock price crash risk: Evidence from a quasi-natural experiment

91 Jonathan Zandberg 6/1/2020 6/4/2020 6/1/2020


Family comes first: Reproductive health and the gender gap in entrepreneurship

92 Sean S. Cao; Vivian W. Fang and Lijun (Gillian) Lei 5/29/2020 6/5/2020 5/29/2020
Negative peer disclosure

93 Suzie Noh; Eric C. So and Rodrigo S. Verdi 5/29/2020 6/1/2020


Calendar rotations: A new approach for studying the impact of timing using earnings announcements

94 Kurt F. Lewis; Francis A. Longstaff and Lubomir Petrasek 5/27/2020 6/22/2020 5/27/2020
Asset mispricing
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

95 Meng Miao; Guanjie Niu and Thomas H. Noe 5/26/2020 7/27/2020 5/26/2020
Contracting without contracting institutions—The “trusted-assistant” loan in 19th century China

96 Jose Luis Peydro; Andrea Polo and Enrico Sette 5/24/2020 9/9/2020 5/24/2020
Monetary policy at work: Security and credit application registers evidence

97 Sebastian Doerr and Philipp Schaz 5/22/2020 6/15/2020 5/22/2020


Georgraphic diversification and bank lending during crisis

98 Winston Wei Dou; Yan Ji and Wei Wu 5/21/2020 5/21/2020


Competition, profitability, and discount rates

99 Andreas Neuhierl and Rasmus T. Varneskov 5/19/2020 6/30/2020 5/19/2020


Frequency dependent risk

100 Jiakai Chen; Joon Ho Kim and S. Ghon Rhee 5/19/2020 5/27/2020 5/19/2020 10/9/2020 10/30/2020
Do low search costs facilitate like-buys-like mergers? Evidence from common bank networks

101 Paul Adams; Stefan Hunt; Christopher Palmer and Redis Zaliauskas 5/18/2020 5/19/2020
Testing the effectiveness of consumer financial disclosure: Experimental evidence from savings accounts

102 Kee-Hong Bae; Warren B. Bailey and Jisok Kang 5/18/2020 6/29/2020
Why is stock market concentration bad for the economy?

103 Lubos Pastor; Robert F. Stambaugh and Lucian A. Taylor 5/14/2020 6/4/2020 5/14/2020
Sustainable investing in equilibrium

104 Christopher C. Geczy; Jessica S. Jeffers; David K. Musto and Anne M. 5/13/2020 6/13/2020
Tucker
Contracts with (social) benefits: The implementation of impact investing
105 Zigan Wang; Qie Ellie Yin and Luping Yu 5/12/2020 8/26/2020 5/12/2020 8/27/2020 9/21/2020 10/22/2020
Real effects of share repurchases legalization on corporate behaviors

106 Peter Dixon; Corbin A. Fox and Eric K. Kelley 5/11/2020 6/12/2020
To own or not to own: Stock loans around dividend payments
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

107 Xiang Fang and Yang Liu 5/10/2020 5/10/2020


Volatility, intermediaries, and exchange rate

108 Santosh Anagol; Vimal Balasubramaniam and Tarun Ramadorai 5/9/2020 6/19/2020 11/5/2020
Learning from noise: Evidence from India’s IPO lotteries

109 Angelo Ranaldo and Fabricius Somogyi 5/5/2020 5/27/2020 5/5/2020 10/28/2020
Asymmetric information risk in FX markets

110 Martijn K.J. Cremers; Matthias Fleckenstein and Priyank Gandhi 4/28/2020 10/28/2020 4/28/2020 10/28/2020
Treasury yield implied volatility and real activity

111 Dashan Huang; Jiangyuan Li and Liyao Wang 4/27/2020 5/20/2020 4/27/2020 10/27/2020 11/4/2020
Are disagreements agreeable? Evidence from information aggregation

112 Will J. Armstrong; Laura Cardella and Nasim Sabah 4/23/2020 4/23/2020 10/28/2020
Information shocks, disagreement, and drift

113 Travers Barclay Child; Nadia Massoud; Mario Schabus and Yifan Zhou 4/21/2020 4/24/2020 10/12/2020 10/28/2020
Surprise elections for Trump connections

114 Nikolay Gospodinov and Cesare Robotti 4/20/2020 4/21/2020 10/12/2020 10/28/2020
Common pricing across asset classes: Empirical evidence revisited

115 Shuran Zhang 4/20/2020 5/7/2020 9/30/2020 10/12/2020


Directors’ career concerns: Evidence from proxy contests and board interlocks

116 Caroline Flammer 4/14/2020 4/16/2020 9/30/2020 10/12/2020


Corporate green bonds

117 Mariano M. Croce; Thien T. Nguyen and S. Raymond 4/13/2020 9/21/2020 10/12/2020 10/28/2020
Persistent government debt and aggregate risk distribution

118 Mathijs Cosemans and Rik Frehen 4/13/2020 5/4/2020 9/30/2020 10/12/2020
Salience theory and stock prices: Empirical evidence
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

119 Tomasz Piskorski and Amit Seru 4/11/2020 5/29/2020 9/21/2020 10/6/2020
Debt relief and slow recovery: A decade after Lehman

120 S. Lakshmi Naaraayanan and Kasper Meisner Nielsen 4/5/2020 7/27/2020 9/15/2020 10/1/2020
Does personal liability deter individuals from serving as independent directors?

121 Walter Pohl; Karl Schmedders and Ole Wilms 3/31/2020 5/14/2020 3/31/2020 9/15/2020 10/1/2020
Asset pricing with heterogeneous agents and long-run risk

122 Cyrus Aghamolla and Byeong-Je An 3/31/2020 5/1/2020 3/31/2020 9/15/2020 10/6/2020
Voluntary disclosure with evolving news

123 Toni Ahnert; Kristin J. Forbes; Christian Friedrich and Dennis 3/29/2020 4/20/2020 3/29/2020 8/5/2020 9/3/2020 10/16/2020
Reinhardt
Macroprudential FX regulations: Shifting the snowbanks of FX vulnerability?
124 Zhi Da; Xing Huang and Lawrence J. Jin 3/26/2020 4/6/2020 8/11/2020 8/26/2020 10/15/2020
Extrapolative beliefs in the cross-section: What can we learn from the crowds?

125 Colleen Honigsberg and Matthew Jacob 3/14/2020 3/16/2020 8/11/2020 8/26/2020 10/8/2020
Deleting misconduct: The expungement of brokercheck records

126 Vineet Bhagwat; Jonathan A. Brogaard and Brandon R. Julio 3/9/2020 3/18/2020 8/5/2020 8/18/2020
A BIT goes a long way: Bilateral investment treaties and cross-border mergers

127 Alex Chinco; Andreas Neuhierl and Michael Weber 3/6/2020 3/10/2020 7/28/2020 8/12/2020
Estimating the anomaly base rate

128 Patrick Augustin; Mikhail Chernov; Lukas M. Schmid and Dongho Song 2/26/2020 8/6/2020 8/11/2020 8/26/2020 10/22/2020
Benchmark interest rates when the government is risky

129 Lasse Heje Pedersen; Shaun Fitzgibbons and Lukasz Pomorski 2/26/2020 8/6/2020 9/9/2020 10/1/2020 11/3/2020
Responsible investment: The ESG-efficient frontier
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

130 Ralph S.J. Koijen; Francois Koulischer; Benoit Nguyen and Motohiro 2/26/2020 9/29/2020 10/6/2020 10/27/2020
Yogo
Inspecting the mechanism of quantitative easing in the Euro area
131 Zijun Wang 2/25/2020 2/25/2020 7/28/2020 8/12/2020 10/20/2020
The high-volume return premium and economic fundamentals

132 Maureen O'Hara and Xing Zhou 2/24/2020 3/25/2020 7/20/2020 7/30/2020
The electronic evolution of corporate bond dealers

133 Andres Liberman; Daniel Paravisini and Vikram Pathania 2/20/2020 2/26/2020 7/10/2020 7/27/2020
High-cost debt and perceived creditworthiness: Evidence from the UK

134 Nicolae Garleanu and Stavros Panageas 2/18/2020 6/25/2020 2/18/2020 7/10/2020 7/28/2020 10/21/2020
What to expect when everyone is expecting: Self-fulfilling expectations and asset-pricing puzzles

135 Gregory W. Eaton; Paul J. Irvine and Tingting Liu 2/16/2020 3/2/2020 2/16/2020 7/10/2020 7/27/2020 9/10/2020
Measuring institutional trading costs and the implications for finance research: The case of tick size reductions

136 Andra Ghent 2/13/2020 3/10/2020 6/23/2020 7/9/2020 8/17/2020


What's wrong with Pittsburgh? Delegated investors and liquidity concentration

137 Mara Faccio; Randall Morck and M. Deniz Yavuz 2/12/2020 3/16/2020 2/12/2020 6/23/2020 7/23/2020 9/23/2020
Business groups and the incorporation of firm-specific shocks into stock prices

138 Robert J. Barro and Gordon Y. Liao 2/12/2020 2/19/2020 2/12/2020 6/23/2020 7/23/2020 10/7/2020
Rare disaster probability and options-pricing

139 Yan Liu 2/10/2020 3/25/2020 2/10/2020 6/2/2020 6/23/2020 8/13/2020


Index option returns and generalized entropy bounds

140 Laura Alfaro; Manuel Garcia-Santana and Enrique Moral-Benito 2/10/2020 6/23/2020 2/10/2020 6/26/2020 7/6/2020 9/10/2020
On the direct and indirect real effects of credit supply shocks

141 Jennifer Carpenter; Fangzhou Lu and Robert F. Whitelaw 2/5/2020 3/2/2020 2/5/2020 6/2/2020 6/23/2020 8/13/2020
The real value of China’s stock market
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

142 Gregory W. Brown; Robert S. Harris; Wendy Hu; Tim Jenkinson; 2/4/2020 2/4/2020 6/3/2020 6/23/2020 8/17/2020
Steven N. Kaplan and David T. Robinson
Can investors time their exposure to private equity?
143 Dion Bongaerts and Mark Van Achter 2/4/2020 2/4/2020 6/23/2020 7/9/2020 11/5/2020
Competition among liquidity providers with access to high-frequency trading technology

144 Felix Zhiyu Feng and Mark M. Westerfield 2/1/2020 2/17/2020 2/1/2020 5/27/2020 6/3/2020
Dynamic resource allocation with hidden volatility

145 Roni Michaely; Stefano Rossi and Michael Weber 1/31/2020 2/3/2020 1/31/2020 5/7/2020 5/27/2020 8/17/2020
Signaling safety

146 Christian Schlag; Julian Thimme and Rudiger Weber 1/29/2020 2/13/2020 1/29/2020 5/7/2020 5/27/2020 10/13/2020
Implied volatility duration: Measure for the timing of uncertainty resolution

147 Daniel Green and Ernest Liu 1/28/2020 2/15/2020 5/12/2020 5/27/2020 8/18/2020
A dynamic theory of multiple borrowing

148 Pablo Slutzky 1/21/2020 1/28/2020 1/21/2020 4/21/2020 5/6/2020 7/31/2020


The hidden costs of being public: Evidence from multinational firms operating in emerging markets

149 Pasquale Della Corte; Roman Kozhan and Anthony Neuberger 1/20/2020 3/31/2020 4/28/2020 5/6/2020 8/10/2020
The cross-section of currency volatility premia

150 Craig W. Holden; Dong Lu; Volodymyr Lugovskyy and Daniela Puzzello 1/20/2020 7/22/2020 7/28/2020 8/12/2020 10/15/2020
What is the impact of introducing a parallel OTC market? Theory and evidence from the Chinese interbank FX market

151 Matthew Gustafson; Ivan T. Ivanov and Ralf R. Meisenzahl 1/20/2020 1/20/2020 6/2/2020 6/23/2020 8/19/2020
Bank monitoring: Evidence from syndicated loans

152 Juliane Begenau and Berardino Palazzo 1/20/2020 2/20/2020 4/21/2020 5/6/2020 8/31/2020
Firm selection and corporate cash holdings

153 Kristoph Kleiner; Noah Stoffman and Scott E. Yonker 1/17/2020 2/25/2020 4/21/2020 5/6/2020 8/3/2020
Friends with bankruptcy protection benefits
Paper Progress
Author(s) and Title Decision Date Accepted with Accept Outright Date Sent to Sent to Author Sent to Publisher
Revision Date Copy Editor for Copy Changes
-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

154 Pedro Barroso; Martijn Boons and Paul Karehnke 1/12/2020 1/21/2020 4/20/2020 4/28/2020 7/28/2020
Time-varying state variable risk premia in the ICAPM

155 Vincent Bogousslavsky; Pierre Collin-Dufresne and Mehmet Saglam 1/11/2020 1/24/2020 3/26/2020 4/1/2020 8/10/2020
Slow-moving capital and execution costs: Evidence from a major trading glitch

156 Brad Barber; Adair Morse and Ayako Yasuda 1/10/2020 3/17/2020 4/1/2020 4/20/2020 7/10/2020
Impact investing

157 Pat Akey; Rawley Z. Heimer and Stefan Lewellen 1/7/2020 1/28/2020 3/26/2020 4/1/2020 7/29/2020
Politicizing consumer credit

158 Natalie Bachas; Olivia S Kim and Constantine Yannelis 1/2/2020 3/5/2020 1/2/2020 4/1/2020 4/20/2020 8/6/2020
Loan guarantees and credit supply

159 Nancy R. Xu 1/2/2020 1/6/2020 3/10/2020 3/31/2020 7/21/2020


Procyclicality of the comovement between dividend growth and consumption growth

160 Abhiroop Mukherjee; George Panayotov and Janghoon Shon 12/26/2019 4/21/2020 5/7/2020 5/27/2020
Eye in the sky: Private satellites and government macro data

161 Boris Nikolov; Lukas M. Schmid and Roberto Steri 12/24/2019 12/24/2019 3/11/2020 3/19/2020 7/29/2020
The sources of financing constraints

162 Xinjie Wang; Yangru Wu; Hongjun Yan and Zhaodong Zhong 12/23/2019 1/13/2020 4/1/2020 4/20/2020 8/3/2020
Funding liquidity shocks in a quasi-experiment: Evidence from the CDS big bang

163 Juanita Gonzalez-Uribe and Santiago Reyes 12/18/2019 1/27/2020 12/18/2019 3/11/2020 3/19/2020 7/20/2020
Identifying and boosting “Gazelles”: Evidence from business accelerators

164 Ricardo Barahona; Joost Driessen and Rik Frehen 12/16/2019 1/30/2020 12/16/2019 3/26/2020 4/1/2020 8/6/2020
Can unpredictable risk exposure be priced?

165 Turan G. Bali; Avanidhar Subrahmanyam and Quan Wen 12/16/2019 12/19/2019 12/16/2019 2/26/2020 3/10/2020 8/6/2020
Long-term reversals in the corporate bond market
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166 Hui Chen; Yu Xu and Jun Yang 12/13/2019 2/26/2020 2/26/2020 3/10/2020 9/10/2020
Systematic risk, debt maturity, and the term structure of credit spreads

167 John M. Griffin; Samuel Kruger and Gonzalo Maturana 12/11/2019 1/17/2020 2/12/2020 2/26/2020 6/24/2020
What drove the 2003-2006 house price boom and subsequent collapse? Disentangling competing explanations

168 Pedro Bordalo; Nicola Gennaioli; Spencer Yongwook Kwon and 11/29/2019 1/6/2020 3/11/2020 3/19/2020 6/26/2020
Andrei Shleifer
Diagnostic bubbles
169 Nuri Ersahin; Rustom M. Irani and Hanh Le 11/29/2019 11/29/2019 2/26/2020 3/10/2020 7/1/2020
Creditor control rights and resource allocation within firms

170 Fariborz Moshirian; Xuan Tian; Bohui Zhang and Wenrui Zhang 11/26/2019 12/2/2019 1/29/2020 3/9/2020 8/20/2020
Stock market liberalization and innovation

171 Matti Keloharju; Juhani Linnainmaa and Peter Nyberg 11/26/2019 12/27/2019 11/26/2019 1/29/2020 3/4/2020 7/10/2020
Are return seasonalities due to risk or mispricing?

172 Lyndon Moore; Sturla Fjesme and Neal Galpin 11/21/2019 12/24/2019 11/21/2019 1/29/2020 3/4/2020 8/4/2020
Rejected stock exchange applicants

173 Jesse Fried; Ehud Kamar and Yishay Yafeh 11/20/2019 11/25/2019 11/20/2019 1/28/2020 3/4/2020 6/24/2020
The effect of minority veto rights on controller pay tunneling

174 John Chalmers; Yu (Steve) Liu and Z. Jay Wang 11/18/2019 2/28/2020 3/31/2020 4/13/2020 7/22/2020
The difference a day makes: Timely disclosure and trading efficiency in the muni market

175 Theresa Kuchler and Michaela Pagel 11/11/2019 12/30/2019 11/11/2019 1/28/2020 3/4/2020 7/31/2020
Sticking to your plan: The role of present bias for credit card paydown

176 Bibo Liu; Huijun Wang; Jianfeng Yu and Shen Zhao 11/8/2019 11/11/2019 1/28/2020 3/4/2020 6/24/2020
Time-varying demand for lottery: Speculation ahead of earnings announcements

177 Ehsan Azarmsa and Lin William Cong 11/7/2019 11/7/2019 2/12/2020 2/26/2020 6/26/2020
Persuasion in relationship finance
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178 Georgy Chabakauri and Brandon Yueyang Han 11/7/2019 11/27/2019 11/7/2019 1/13/2020 1/28/2020 6/12/2020
Collateral constraints and asset prices

179 Lubos Pastor; Robert F. Stambaugh and Lucian A. Taylor 11/7/2019 1/9/2020 1/28/2020 2/5/2020 6/11/2020
Fund tradeoffs

180 Joseph Briggs; David Cesarini; Erik Lindqvist and Robert Ostling 11/6/2019 1/13/2020 1/28/2020 2/5/2020 7/21/2020
Windfall gains and stock market participation

181 Stefan Avdjiev; Bilyana Bogdanova; Patrick Bolton; Wei Jiang and 11/5/2019 11/20/2019 11/5/2019 12/17/2019 1/7/2020 6/11/2020
Anastasia V. Kartasheva
CoCo Issuance and Bank Fragility
182 Azi Ben-Rephael; Jaewon Choi and Itay Goldstein 11/5/2019 11/18/2019 12/17/2019 1/23/2020 7/1/2020
Mutual fund flows and fluctuations in credit and business cycles

183 Marco Cipriani and Gabriele La Spada 10/27/2019 11/14/2019 12/17/2019 1/23/2020
Investors’ appetite for money-like Assets: The MMF industry after the 2014 regulatory reform

184 Sohnke M. Bartram and Mark Grinblatt 10/25/2019 11/4/2019 12/5/2019 12/17/2019 7/16/2020
Global market inefficiencies

185 Stephan Jank; Christoph Roling and Esad Smajlbegovic 10/22/2019 10/30/2019 11/21/2019 1/8/2020 7/16/2020
Flying under the radar: The effects of short-sale disclosure rules on investor behavior and stock prices

186 Mahsa S. Kaviani; Lawrence Kryzanowski; Hosein Maleki and Pavel 10/18/2019 12/1/2019 10/18/2019 12/17/2019 1/7/2020 6/29/2020
Savor
Policy uncertainty and corporate credit spreads
187 Rui Albuquerque; Shiyun Song and Chen Yao 10/13/2019 10/13/2019 1/13/2020 1/28/2020 6/30/2020
The price effects of liquidity shocks: A study of SEC's tick-size experiment

188 Andrew Koch; Marios Panayides and Shawn E. Thomas 10/9/2019 2/5/2020 2/12/2020 2/26/2020 7/2/2020
Common ownership and competition in product markets
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189 Terrance Hendershott; Dmitry Livdan and Dominik Roesch 9/24/2019 11/29/2019 12/5/2019 12/17/2019 6/11/2020
Asset pricing: A tale of night and day

190 Niels S. Groenborg; Asger Lunde; Allan Timmermann and Russ 9/12/2019 9/17/2019 11/6/2019 11/19/2019 6/30/2020
Wermers
Picking funds with confidence
191 Travis L. Johnson and Nathan Swem 9/12/2019 10/2/2019 10/16/2019 11/21/2019 7/1/2020
Reputation and investor activism: A structural approach

192 Hengjie Ai; Kai Li and Fang Yang 9/7/2019 12/24/2019 1/28/2020 2/5/2020 6/26/2020
Financial intermediation and capital reallocation

193 Alexander K. Zentefis 9/7/2019 9/22/2019 10/16/2019 11/21/2019 6/11/2020


Bank net worth and frustrated monetary policy

194 Francesca Carapella and Cyril Monnet 8/21/2019 8/30/2019 9/18/2019 10/2/2019 6/12/2020
Dealers' insurance, market structure, and liquidity

195 Ming Gao; Yu-Jane Liu and Yushui Shi 7/23/2019 7/23/2019 9/6/2019 10/16/2019 6/11/2020
Do people feel less at risk? Evidence from disaster experience

196 Rui Dai; Hao Liang and Lilian Ng 7/1/2019 7/5/2019 7/1/2019 7/31/2019 9/4/2019 1/29/2020
Socially responsible corporate customers

197 Rui Dong; Raymond Fisman; Yongxiang Wang and Nianhang Xu 6/13/2019 7/10/2019 7/24/2019 8/27/2019 12/12/2019
Air pollution, affect, and forecasting bias: Evidence from Chinese financial analysts

198 Shinichi Kamiya; Jun-Koo Kang; Jungmin Kim; Andreas Milidonis and 5/22/2019 7/31/2019 8/7/2019 8/20/2019 1/9/2020
René M. Stulz
Risk management, firm reputation, and the impact of successful cyberattacks on target firms
199 Jennifer (Jie) Li; Massimo Massa; Hong Zhang and Jian Zhang 1/31/2019 3/27/2019 4/11/2019 4/18/2019 9/19/2019
Air pollution, behavioral bias, and the disposition effect in China

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