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[金融经济学] 【独家发布】影响历史进程的50篇金融文章   [推广有奖]

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Captain-CUI 学生认证  发表于 2019-1-21 12:44:01 |只看作者 |倒序
本帖最后由 Captain-CUI 于 2019-1-21 12:50 编辑

点击头像下方的“+加关注”并订阅【Shibor文库】可以第一时间了解我的资料更新


由美国金融学会主办的学术杂志《金融学杂志》(Journal Of Finance),主要刊载金融理论及投资、货币、银行、保险和金融市场等方面的文章。该刊目前由美国出版商Wiley-Blackwell 代美国金融学会出版。2008年影响因子:4.018,在ISI 同类48 本期刊中排名第1,是金融领域同时也是经济领域被引用最多的期刊之一。


自1946年创刊以来,《金融学杂志》发表了众多广受关注的论文,其中一些可谓经久不衰,对金融理论和金融实务产生了重要影响。日前,该刊编辑特意筛选了《金融学杂志》自诞生以来引用次数最高的前50篇文章,供诸位读者参阅。


Harry Markowitz发表于1952年3月刊的论文《证券组合选择》,后来成了证券组合管理理论的基石;1961年,William Vickrey发表于该杂志的文章,对拍卖做了经典的分析。一年后,William F. Sharpe发表了《资本资产价格:风险条件下的市场均衡理论》一文,与Lintner等人的研究,共同发现了资本资产定价模型;1970年5月,Eugene F. Fama发表了《有效市场:理论与经验研究的评论》,正式提出了有效市场假说;四年后,Robert C. Merton发表了《企业债务的定价》,用期权定价模型解决了企业的定价问题;世纪末,Andrei Shleifer在该刊发表了对公司治理的研究,此文至今仍被大量引用……


现在,让我们一起看看那些曾经书写历史的学术论文吧。


本帖隐藏的内容

Journal of Finance.rar (40.43 MB, 售价: 2 个论坛币)


1) Portfolio Selection

Harry Markowitz

Volume 7, Issue 1

March 1952


2) Capital Asset Prices: A Theory Of Market Equilibrium Under

Conditions Of Risk

William F. Sharpe

Volume 19, Issue 3

September 1964


3) Efficient Capital Markets: Review Of Theory And Empirical Work

Eugene F. Fama

Volume 25, Issue 2

May 1970


4) The Cross-Section Of Expected Stock Returns

Eugene F. Fama, Kenneth R. French

Volume 47, Issue 2

June 1992


5) Counterspeculation, Auctions, And Competitive Sealed Tenders

William Vickrey

Volume 16, Issue 1

March 1961


6) A Survey Of Corporate Governance

Andrei Shleifer, Robert W. Vishny

Volume 52, Issue 2

June 1997


7) Legal Determinants Of External Finance

Rafael La Porta, Florencio Lopez-De-Silanes, Andrei Shleifer, Robert W. Vishny

Volume 52, Issue 3

July 1997


8) Corporate Ownership Around The World

Rafael La Porta, Florencio Lopez-De-Silanes, Andrei Shleifer

Volume 54, Issue 2

April 1999


9) On the Pricing Of Corporate Debt: The Risk Structure Of Interest Rates

Robert C. Merton

Volume 29, Issue 2

May 1974


10) Financial Ratios, Discriminant Analysis And Prediction Of Corporate Bankruptcy

Edward I. Altman

Volume 23, Issue 4

September 1968





来自:《管理学季刊》

https://mp.weixin.qq.com/s/Tj3fA-04d_qpvTNzIrpRvg



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Captain-CUI 学生认证  发表于 2019-1-21 12:47:32 |只看作者

11) The Modern Industrial Revolution, Exit, And The Failure Of Internal Control-Systems

Michael C. Jensen

Volume 48, Issue 3

July 1993


12) On Persistence In Mutual Fund Performance

Mark M. Carhart

Volume 52, Issue 1

March 1997


13) On The Relation Between The Expected Value And The Volatility Of The Nominal Excess Return On Stocks

Lawrence R. Glosten, Ravi Jagannathan, David E. Runkle

Volume 48, Issue 5

December 1993


14) Returns To Buying Winners And Selling Losers: Implications For Stock Market Efficiency

Narasimhan Jegadeesh, Sheridan Titman

Volume 48, Issue 1

March 1993


15) Informational Asymmetries, Financial Structure, And Financial Intermediation

Hayne E. Leland, David H. Pyle

Volume 32, Issue 2

May 1977


16) The Pricing Of Options On Assets With Stochastic Volatilities

John Hull, Alan White

Volume 42, Issue 2

June 1987


17) Efficient Capital Markets: II

Eugene F. Fama

Volume 46, Issue 5

December 1991


18) Does The Stock Market Overreact?

Werner F. M. De Bondt, Richard Thaler

Volume 40, Issue 3

July 1985


19) Multifactor Explanations Of Asset Pricing Anomalies

Eugene F. Fama, Kenneth R. French

Volume 51, Issue 1

March 1996


20) The Capital Structure Puzzle

Stewart C. Myers

Volume 39, Issue 3

July 1984


21) The Performance Of Mutual Funds In Period 1945-1964

Michael C. Jensen

Volume 23, Issue 2

May 1968


22) Debt And Taxes

Merton H. Miller

Volume 32, Issue 2

May 1977


23) What Do We Know About Capital Structure? Some Evidence From International Data

Raghuram G. Rajan, Luigi Zingales

Volume 50, Issue 5

December 1995


24) The Benefits Of Lending Relationships: Evidence From Small Business Data

Mitchell A. Petersen,Raghuram G. Rajan

Volume 49, Issue 1

March 1994


25) Measuring And Testing The Impact Of News On Volatility

Robert F. Engle, Victor K. Ng

Volume 48, Issue 5

December 1993


26) Investor Psychology And Security Market Under- And Overreactions

Kent Daniel, David Hirshleifer, Avanidhar Subrahmanyam

Volume 53, Issue 6

December 1998


27) Contrarian Investment, Extrapolation, And Risk

Josef Lakonishok, Andrei Shleifer, Robert W. Vishny

Volume 49, Issue 5

December 1994


28) A Simple Model Of Capital Market Equilibrium With Incomplete Information

Robert C. Merton

Volume 42, Issue 3

July 1987


29) Insiders And Outsiders: The Choice Between Informed And Arms-Length Debt

Raghuram G. Rajan

Volume 47, Issue 4

September 1992




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藤椅
Captain-CUI 学生认证  发表于 2019-1-21 12:49:00 |只看作者

30) Why Does Stock Market Volatility Change Over Time?

G. William Schwert

Volume 44, Issue 5

September 1989


31) The Determinants Of Capital Structure Choice

Sheridan Titman, Roberto Wessels

Volume 43, Issue 1

March 1988


32) Inferring Trade Direction From Intraday Data

Charles M.C. Lee, Mark J. Ready

Volume 46, Issue 2

June 1991


33) The New Issues Puzzle

Tim Loughran, Jay R. Ritter

Volume 50, Issue 1

March 1995


34) The Limits Of Arbitrage

Andrei Shleifer, Robert W. Vishny

Volume 52, Issue 1

March 1997


35) Noise

Fischer Black

Volume 41, Issue 3

July 1986


36) Investor Protection And Corporate Valuation

Rafael La Porta, Florencio Lopez-De-Silanes, Andrei Shleifer, Robert Vishny

Volume 57. Issue 3

June 2002


37) The Theory Of Capital Structure

Milton Harris, Artur Raviv

Volume 46, Issue 1

March 1991


38) The Long-Run Performance Of Initial Public Offerings

Jay R. Ritter

Volume 46, Issue 1

March 1991


39) Initial Public Offerings And Underwriter Reputation

Richard Carter, Steven Manaster

Volume 45, Issue 4

September 1990


40) Dividend Policy Under Asymmetric Information

Merton H. Miller, Kevin Rock

Volume 40, Issue 4

September 1985


41) A Simple Implicit Measure Of The Effective Bid-Ask Spread In An Efficient Market

Richard Roll

Volume 39, Issue 4

September 1984


42) Empirical Performance Of Alternative Option Pricing Models

Gurdip Bakshi, Charles Cao, Zhiwu Chen

Volume 52, Issue 5

December 1997


43) Compensation And Incentives: Practice vs. Theory

George P. Baker, Michael C. Jensen, Kevin J. Murphy

Volume 43, Issue 3

July 1988


44) Are Investors Reluctant To Realize Their Losses?

Terrance Odean

Volume 53, Issue 5

October 1998


45) Size And Book-To-Market Factors In Earnings And Returns

Eugene F. Fama, Kenneth R. French

Volume 50, Issue 1

March 1995


46) Security Prices, Risk, And Maximal Gains From Diversification

John Lintner

Volume 20, Issue 4

December 1965


47) An Empirical Comparison Of Alternative Models Of The Short-Term Interest-Rate

K. C. Chan, G. Andrew Karolyi, Francis A. Longstaff, Anthony B. Sanders

Volume 47, Issue 3

July 1992


48) Risk Management Coordinating Corporate Investment And Financing Policies

Kenneth A. Froot, David S. Scharfstein, Jeremy C. Stein

Volume 48, Issue 5

December 1993




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Captain-CUI 学生认证  发表于 2019-1-21 12:49:31 |只看作者

49) Disentangling The Incentive And Entrenchment Effects Of Large Shareholdings

Stijn Claessens, Simeon Djankov, Joseph P. H. Fan, Larry H. P. Lang

Volume 57, Issue 6

December 2002


50) Valuing Corporate Securities: Some Effects Of Bond Indenture Provisions

Fischer Black, John C. Cox

Volume 31, Issue 2

May 1976


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ekscheng 发表于 2019-1-21 14:34:03 |只看作者
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gqchen3 发表于 2019-1-21 14:52:29 |只看作者
you are so nice!Thank you very much!
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hustJim521666 学生认证  发表于 2019-1-21 16:00:39 |只看作者
感谢楼主分享!
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gewenhong66 发表于 2019-1-21 17:32:28 |只看作者
thank a lot
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duoduoduo 发表于 2019-1-21 19:20:26 |只看作者
历史的先声
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