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文献信息
The European Journal of Finance publishes a full range of research into theoretical and empirical topics in finance. The emphasis is on issues that reflect European interests and concerns. The journal aims to publish work that is motivated by significant issues in the theory or practice of finance.
Stock ReturnsCorporate GovernanceStock MarketFinancial MarketsCapital StructureMarket EfficiencyFinancial CrisisAbnormal ReturnsEarnings ManagementInvestor SentimentAsset PricingTerm StructurePortfolio ChoiceMutual FundsFinancial ConstraintsPortfolio SelectionEmpirical EvidenceStochastic VolatilityInformation AsymmetryAsset Allocation
vol.32 (2026)
vol.31 (2025)
vol.30 (2024)
vol.29 (2023)
vol.28 (2022)
vol.27 (2021)
vol.26 (2020)
vol.25 (2019)
vol.24 (2018)
vol.23 (2017)
vol.22 (2016)
vol.21 (2015)
vol.20 (2014)
vol.19 (2013)
vol.18 (2012)
vol.17 (2011)
vol.16 (2010)
vol.15 (2009)
vol.14 (2008)
vol.13 (2007)