Journal of Financial
Economics, October 2020
Green Table of
Contents
Volume
138, Issue 1
Limited liability and investment: Evidence from changes in marital
property laws in the US South, 1840–1850
Peter Koudijs,
Laura Salisbury
Pages 1-26
Information arrival, delay, and clustering in financial markets with
dynamic freeriding
Cyrus
Aghamolla, Tadashi Hashimoto
Pages
27-52
Fiscal policy driven bond risk premia
Lorenzo
Bretscher, Alex Hsu, Andrea Tamoni
Pages
53-73
Location choice, portfolio choice
Ioannis
Branikas, Harrison Hong, Jiangmin Xu
Pages
74-94
On the performance of volatility-managed portfolios
Scott
Cederburg, Michael S. O’Doherty, Feifei Wang, Xuemin (Sterling) Yan
Pages
95-117
IQ from IP: Simplifying search in portfolio choice
Huaizhi
Chen, Lauren Cohen, Umit Gurun, Dong Lou, Christopher Malloy
Pages
118-137
Regulatory cooperation and foreign portfolio investment
Mark
Lang, Mark Maffett, James D. Omartian, Roger Silvers
Pages
138-158
Can ethics be taught? Evidence from securities exams and
investment adviser misconduct
Zachary
T. Kowaleski, Andrew G. Sutherland, Felix W. Vetter
Pages
159-175
The effect of exogenous information on voluntary disclosure and
market quality
Sivan
Frenkel, Ilan Guttman, Ilan Kremer
Pages
176-192
Debt collection agencies and the supply of consumer credit
Viktar
Fedaseyeu
Pages
193-221
Liquidity risk and exchange-traded fund returns, variances, and
tracking errors
Kyounghun
Bae, Daejin Kim
Pages
222-253
The timing and consequences of seasoned equity offerings: A
regression discontinuity approach
Amy
Dittmar, Ran Duchin, Shuran Zhang
Pages
254-276
How does labor market size affect firm capital structure? Evidence
from large plant openings
Hyunseob
Kim
Pages
277-294