Financial Management

Papers
(The TQCC of Financial Management is 4. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2022-06-01 to 2026-06-01.)
ArticleCitations
Announcements471
202
Announcements131
The disclosure perspective of firm‐specific political risk measure from conference calls40
Online voting and minority shareholder dissent: Evidence from China39
Disagreement and returns: The case of cryptocurrencies35
28
Affiliated Mutual Funds: Beyond the Reach of the Invisible Hand?25
What happens in Vegas stays in Vegas? Firsthand experience and EDGAR search activity in Las Vegas casino hotels22
A Theory of the Boundaries of Banks With Implications for Financial Integration and Regulation20
The consequences of non‐trading institutional investors19
Joint dynamics of stock returns and cash flows: A time‐varying present‐value framework18
Announcements17
17
Announcements16
Announcements15
Unraveling the impact of female CEOs on corporate bond markets14
Are founding families less willing to bear risk? Evidence from the currency exposure and internationalization strategy of family firms14
12
Predicting the equity premium with a high‐threshold risk level and the price of risk12
Financial debt contracting and managerial agency problems10
Geopolitical Risk and Domestic Bank Deposits10
The Role of Intangible Investment in Predicting Stock Returns: Six Decades of Evidence10
Political connections cause resource misallocation: Evidence from the fall of fascism in Italy9
9
Temperature trend and corporate cash holdings9
Anomalies, option volume, and disagreement9
Partisanship, optimism, and firm innovation9
Disagreement exploitation and the cross‐section of hedge fund performance9
Information Content of the Geography of Underwriters on Bond Market9
Issue Information9
Financial Statement Information and Equity Value: The Role of Real Options Characteristics8
Does Disclosing Well Lead to Doing Good?8
Minority state ownership and firm performance: Evidence from the Chinese stock market crash in 20158
Are sustainability‐linked loans designed to effectively incentivize corporate sustainability? A framework for review8
The Role of Index Fund Ownership in the Era of Say‐on‐Pay8
Employee demographic diversity and firm performance7
Does the US Cross‐Listing of a Non‐US Stock Influence the Impact of Economic Policy Uncertainty on Stock Liquidity?7
Portfolio Trading and Corporate Bond ETFs7
ESG news spillovers across the value chain6
Do investors affect financial analysts’ behavior? Evidence from short sellers6
Does hedge fund managers’ industry experience matter for hedge fund activism?5
Tick size and price efficiency: Further evidence from the Tick Size Pilot Program4
Price and Non‐price Terms of Syndicated Loans to Technology Firms4
Announcements4
Congressional Herding4
Climate change and corporate cash holdings: Global evidence4
Upstream propagation of shocks in supply chains: Evidence from earthquakes4
Zero‐beta risks and required returns: ESG and CAPM4
Diagnostics for asset pricing models4
Issue Information4
Announcements4
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