Review of Finance

Papers
(The H4-Index of Review of Finance is 32. 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 2021-10-01 to 2025-10-01.)
ArticleCitations
Optimal Capital Structure and Risk Management Policies of Banks That Use CoCo Futures to Hedge Financial-Sector Risk1642
Sources of Value Creation in Private Equity Buyouts of Private Firms210
The effect of mortgage securitization on asset liquidation decisions166
Mortgage Debt, Hand-to-Mouth Households, and Monetary Policy Transmission150
Climate Change Risk and the Cost of Mortgage Credit148
Building trust takes time: limits to arbitrage for blockchain-based assets148
Director Expertise and Corporate Sustainability132
Impact of Corporate Subsidies on Borrowing Costs of Local Governments: Evidence from Municipal Bonds120
Do Banks Worry about Attentive Depositors? Evidence from Multiple-Brand Banks118
How Important is Affiliation Between Mutual Funds and Distributors for Fund Flows?110
Supervisory cooperation and regulatory arbitrage105
Comparing Past and Present Inflation98
The cryptocurrency elephant in the room92
A disaster explanation of equity term structures86
Asymmetric Information and Corporate Lending: Evidence from SME Bond Markets86
Tick Size Wars: The Market Quality Effects of Pricing Grid Competition73
Property rights, political connections, and corporate investment68
Securities financing and asset markets: new evidence60
Contracting when enforcement is weak: evidence from an audit study58
Are Carbon Emissions Associated with Stock Returns? Comment54
Bank presence and health51
Move a little closer? Information sharing and the spatial clustering of bank branches49
Trust and delegated investing: a Money Doctors experiment48
Debt Renegotiations Outside Distress47
Privacy policies and consumer data extraction: evidence from US firms43
Not in my backyard: intrinsic motivation and corporate pollution abatement40
Political Beta39
The term structure of equity yields—a bottom-up approach37
Bear Beta or Speculative Beta?—Reconciling the Evidence on Downside Risk Premium37
Liquidity and the strategic value of information36
Debt and taxes: the role of corporate group structure34
Fresh air eases work—the effect of air quality on individual investor activity33
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