Journal of Financial Economics, February, 2019
Green Table of Contents
Volume 131, Issue 2
Pages 251-506
Regulating a model
Yaron Leitner, Bilge Yilmaz
Pages 251-268
The CAPM strikes back? An equilibrium model with disasters
Hang Bai, Kewei Hou, Howard Kung, Erica X.N. Li, Lu Zhang
Pages 269-298
Collateralizing liquidity
Cecilia Parlatore
Pages 299-322
Inferring latent social networks from stock holdings
Harrison Hong, Jiangmin Xu
Pages 323-344
Who benefits in a crisis? Evidence from hedge fund stock and option holdings
George O. Aragon, J. Spencer Martin, Zhen Shi
Pages 345-361
The profitability and investment premium: Pre-1963 evidence
Sunil Wahal
Pages 362-377
How effective are trading pauses?
Nikolaus Hautsch, Akos Horvath
Pages 378-403
Mark Twain’s Cat: Investment experience, categorical thinking, and stock selection
Xing Huang
Pages 404-432
The impact of jumps on carry trade returns
Suzanne S. Lee, Minho Wang
Pages 433-455
Firms’ innovation strategy under the shadow of analyst coverage
Bing Guo, David Pérez-Castrillo, Anna Toldrà-Simats
Pages 456-483
Trade credit and supplier competition
Jiri Chod, Evgeny Lyandres, S. Alex Yang
Pages 484-505