The Journal of Finance publishes leading research across all the major fields of financial research. It is one of the most widely cited academic journals on finance and one of the most widely cited journals in all of economics as well. Each issue of the journal reaches over 8,000 academics, finance professionals, libraries, government and financial institutions around the world. Published six times a year, the journal is the official publication of The American Finance Association, the premier academic organization devoted to the study and promotion of knowledge about financial economics.
2021 | 2017 | 2015
|Sebastien Betermier, Laurent E. Calvet and Paolo Sodini, "Who Are the Value and Growth Investors?" Journal of Finance, Forthcoming.
|George M. Constantinides and Anisha Ghosh, "Asset Pricing with Countercyclical Household Consumption Risk," Journal of Finance, Vol. 72, No. 1, 2017, pp. 415-460.
|Bouvard Matthieu, Pierre Chaigneau and Adolfo de Motta, “Transparency in the Financial system, Rollover Risk and Crises,” Journal of Finance, Vol. 70, No. 4, 2015, pp. 1805–1837.
|Oleg Chuprinin, Massimo Massa and David Schumacher, “Outsourcing in the International Mutual Fund Industry: An Equilibrium View,” Journal of Finance, Vol. 70, No. 5, 2015, pp. 2275-2308.