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The Financial Review is pleased to announce the outstanding publications for 2012:
Shorting Restrictions: Revisiting the 1930s. The Financial Review Vol. 47 (1), pp. 1–35.
Short Selling: The Impact of SEC Rule 201 of 2010. The Financial Review Vol. 47 (1), pp. 37–64.
Chinmay Jain, Pankaj Jain, and Thomas McInish
Investors Do Respond to Poor Mutual Fund Performance: Evidence from Inflows and Outflows. The Financial Review Vol. 47 (4), pp. 719–739.
George Cashman, Daniel Deli, Federico Nardari, and Sriram Villupuram
The award winners were voted on by the editorial board of The Financial Review and the membership of the Eastern Finance Association.
Aims and Scope
The Financial Review publishes original empirical, theoretical and methodological research providing new insights into issues of importance in all areas of financial economics. Examples of topics include asset pricing, banking, corporate finance, corporate governance, derivative instruments, financial intermediation, financial research methodology, investment management, market microstructure, mergers and acquisitions, risk management, risk measurement, securities pricing and market equilibrium. We seek a global authorship and varied perspectives.
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