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《金融顶刊追踪》栏目旨在追踪当前国内外金融经管类顶级期刊最新发表动向,每月定期发布中、英文刊物目录各一期。
本期特别整理了9月份部分英文期刊的文章目录及内容提要,以飨读者。
《Academy of Management Journal》
Volume 67,Issue 4
目录
1. The Social Structure of Insiders and Outsiders: Toward a Network Community Perspective on Firm Performance
2. Change at Last, but When Does Change Last? Preserving Attentional Engagement around Past Failures and Their Lessons
3. Collaborating on the Edge of Failure: Frame Alignment across Multiple Interaction Arenas in Multi-Stakeholder Partnerships
4. Tick Off the Gender Diversity Box: Examining the Cross-Level Effects of Women’s Representation in Senior Management
5. A Theory of Host Country Sentiments: An Illustration in Cross-Border Acquisitions
6. Turning Work into a Refuge: Job Crafting as Coping with Personal, Grief-Inducing Events
7. Bricks without Straw: Overcoming Resource Limitations to Architect Ecosystem Leadership
8. Dirty Heroes? Healthcare Workers’ Experience of Mixed Social Evaluations during the Pandemic
《Academy of Management Reviewy》
Volume 49, Issue3
目录
1. Emotions and Client Participation in Jurisdictional Contestation
2. Creating Opportunities: Heuristic Reasoning in Proactive Dynamic Capability Deployment
3. Corporate Diversification, Economies of Scope, and the Risk–Return Relationship
4. Value Creation, Value Appropriation, and Cooperation in Team Production
5. Managers’ Perceptions and Microfoundations of Contract Design
6. Boundary Transitions in Dynamic Teamwork
7. Competitive Advantage Through Artificial Intelligence: Toward a Theory of Situated AI
8. A Meta-Theory of Global Work Encounters
9. Integrating the Shadow Within “Us” to Strengthen Our Field
10. Taking Situatedness Seriously in Theorizing About Competitive Advantage Through Artificial Intelligence: A Response to Kemp’s “Competitive Advantages Through Artificial Intelligence”
《Annals of Statistics A ASTIN Bulletin 》
Volume 54, Issue 2
目录
1. Machine Learning with High-Cardinality Categorical Features in Actuarial Applications
2. Telematics combined actuarial neural networks for cross-sectional and longitudinal claim count data
3. Integration of traditional and telematics data for efficient insurance claims prediction
4. A representation-learning approach for insurance pricing with images
5. Mack’s estimator motivated by large exposure asymptotics in a compound poisson setting
6. Expressive mortality models through Gaussian process kernels
7.A Markov multiple state model for epidemic and insurance modelling
8.Fair valuations of insurance policies under multiple risk factors: A flexible lattice approach
9. Signature-based validation of real-world economic scenarios
10. Optimal insurance with counterparty and additive background risk
11. ASB volume 54 issue 2 Cover and Front matter
12. ASB volume 54 issue 2 Cover and Back matter
《Contemporary Accounting Research》
Volume 41,Issue 3
目录
1. Oligarchy in professional accounting bodies: Challenges for governance and leader-member relations
2. Accounting and silence: The unspeakable, the unsaid, and the inaudible
3. Government subsidies and income smoothing
4. Bank sentiment and liquidity hoarding
5. Managers' career preferences and corporate culture
6. Firm-level political risk and bank loan contracting
7. The impacts of federal judge ideology on auditor litigation risk and auditor behavior
8. Does auditor style influence non-GAAP earnings disclosure?
9. Can second-chance provisions increase the effectiveness of penalty contracts? Evidence from a quasi field experiment
10. Political incentives and analyst bias: Evidence from China
11. CEO gender and responses to shareholder activism
12. Performance measure skewness and the structure of CEO compensation: Theory and evidence
13. The effect of securities litigation risk on firm value and disclosure
14. Institutional dual holdings and expected crash risk: Evidence from mergers between lenders and equity holders
15. The general anti-avoidance rule
16. How do investors value the publication of tax information? Evidence from the European public country-by-country reporting
17. Sell-side analysts as social intermediaries
18. Maintaining maintenance: The real effects of financial reporting for infrastructure
19. Trading off managerial and investor uncertainty in firm disclosure: Evidence from R&D investments and management guidance
20. The effects and potential benefits of audit committee oversight in a strategic setting
《Journal of Accounting Research》
Volume 62, Issue 4
目录
1.News Bias in Financial Journalists’ Social Networks
2.Using and Interpreting Fixed Effects Models
3.Equity Incentive Plans and Board of Director Discretion over Equity Grants
4.When Employees Go to Court: Employee Lawsuits and Talent Acquisition in Audit Offices
5.Social Comparison on Multiple Tasks: Sacrificing Overall Performance for Local Excellence?
6.Home Sweet Home: CEOs Acquiring Firms in Their Birth Countries
7.Show Your Hand: The Impacts of Fair Pricing Requirements in Procurement Contracting
8.Government Subsidies and Corporate Misconduct
9.The Capital Market Effects of Centralizing Regulated Financial Information
10.Algorithmic Trading and Forward-Looking MD&A Disclosures
《Journal of Labor Economics》
Volume 42,Number 4
目录
1.The Efficacy of Tournaments for Nonroutine Team Tasks
2.Measuring Labor Market Power in Developing Countries: Evidence from Colombian Plants
3.The Geography of Job Tasks
4.Do Less Informative College Admission Exams Reduce Earnings Inequality? Evidence from Colombia
5.Altruism or Money? Reducing Teacher Sorting Using Behavioral Strategies in Peru
6.The Impact of Selection into the Labor Force on the Gender Wage Gap
7. Is Parental Leave Costly for Firms and Coworkers?
8.Unemployed Job Search across People and over Time: Evidence from Applied-For Jobs
《Review of Accounting Studie》
Volume 9,Issue 3
目录
1.Voluntary disclosures by activist investors: the role of activist expectations
2.Financial information and diverging beliefs
3.Corporate carbon accounting: balance sheets and flow statements
4.Diversity targets
5.Decentralized Finance (DeFi) assurance: early evidence
6.Crypto-influencers
7.Market and regulatory implications of social identity cohorts: a discussion of crypto influencers
8.Is it all hype? ChatGPT’s performance and disruptive potential in the accounting and auditing industries
9.The productivity effect of digital financial reporting
10.Consensus credit ratings: a view from banks
11.Accounting-based expected loss given default and debt contract design
12.Creating visibility: voluntary disclosure by private firms pursuing an initial public offering
13.Myopic capital market concerns and investment incentives in business alliances
14.Does hedge fund activism improve investment efficiency?
15.Activist directors: determinants and consequences
16.Outside directors’ insider trading around board meetings
17.Managers’ use of humor on public earnings conference calls
18.Analyst following and R&D investment
19.Which multiples matter in M &A? An overview
20.Market for corporate control and demand for auditing: evidence from international M&A laws
21.How do financial executives respond to the use of artificial intelligence in financial reporting and auditing?
22.To tell or not to tell: the incentive effects of disclosing employer assessments
23.Classification shifting using income-decreasing special items: measurement and valuation issues
24.Tax avoidance and firm value: does qualitative disclosure in the tax footnote matter?
25.Naming as business strategy: an analysis of eponymy and debt contracting
《Journal of Monetary Economic》
Volume 147
目录
1.A research program on monetary policy for Europe
2.Stabilization vs. Redistribution: The optimal monetary–fiscal mix
3.The monetary financing of a large fiscal shock
4.Macro and micro of external finance premium and monetary policy transmission
5.Same actions, different effects: The conditionality of monetary policy instruments
6.The Credit Channel of Public Procurement
7.Mortgage choice and inflation experiences in the Eurozone
8.A HANK model of monetary unions
9.Energy prices and household heterogeneity: Monetary policy in a Gas-TANK
10.The real effects of borrower-based macroprudential policy: Evidence from administrative household-level data
11.Euro area monetary policy effects. Does the shape of the yield curve matter?
12.Cross-country unemployment insurance, transfers, and trade-offs in international risk sharing
《The Review of Economics and Statistic》
Volume 106,Issue 5
目录
1. Productivity, Place, and Plants
2. Publication and Attenuation Biases in Measuring Skill Substitution
3. Discrimination, Migration, and Economic Outcomes: Evidence from World War I
4. The Vagaries of the Sea: Evidence on the Real Effects of Money from Maritime Disasters in the Spanish Empire
5. Legal Protection against Retaliatory Firing Improves Workplace Safety
6. Impacts of Environmental Degradation: Forest Loss, Malaria, and Child Outcomes in Nigeria ( 环境退化的影响:尼日利亚的森林损失、疟疾和儿童后果 )
7. Freeway Revolts! The Quality of Life Effects of Highways
8. Import Competition, Quality Upgrading, and Exporting: Evidence from the Peruvian Apparel Industry
9. The Value of Private Schools: Evidence from Pakistan
10. Intertemporal Consumption with Risk: A Revealed Preference Analysis
11. Forecaster (Mis-)Behavior
12. Skeptical Employers: Experimental Evidence on Biased Beliefs Constraining Firm Growth
13. Identifying Rule-Based Rationality
14. Behavioral Biases among Producers: Experimental Evidence of Anchoring in Procurement Auctions
15. The Value of Health Insurance during a Crisis: Effects of Medicaid Implementation on Pandemic Influenza Mortality
16. Addressing COVID-19 Outliers in BVARs with Stochastic Volatility
17. Trade, Gravity, and Aggregation
《The Accounting Review》
Volume 99,Issue 5
目录
1.Sequential Reporting Bias
2.How Large Is the Pay Premium from Executive Incentive Compensation?
3.The Influence of Labor Market Power in the Audit Profession
4.Platform-Provided Disclosure on Investor Base and Entrepreneurial Success: Evidence from Crowdfunding
5.Auditing from a Distance: The Impact of Remote Auditing and Supervisor Monitoring on Analytical Procedures Judgments
6.Access to Financial Disclosure and Knowledge Spillover
7.Do Auditors View Off-the-Clock Misbehavior by Company Leadership as a Signal of Tone at the Top?
8.Does Status Equal Substance? The Effects of Specialist Social Status on Auditor Assessments of Complex Estimates
9.Financial Analysis on Social Media and Disclosure Processing Costs: Evidence from Seeking Alpha
10.Emission Taxes and Capital Investments: The Role of Tax Incidence
11.Powerful Politicians, Political Costs, and Income Smoothing
12.Strategic Alliances and Lending Relationships
13.CEO Overconfidence and Bonus Target Ratcheting
14.The Real Effects of PCAOB Inspection Reports on the M&A Deals of Non-Big 4 Accounting Firms
15.Wall Street and Product Quality: The Duality of Analysts
16.Do Firms Withhold Loan Covenant Details?
17.Loan-Level Disclosure and the Convenience Yield of Asset-Backed Securities
《Management Science》
Volume 70,Issue 9
目录
1.Impact of Media Ownership on News Coverage
2.Housing Cycles and Exchange Rates
3.Ambiguous Dynamic Treatment Regimes: A Reinforcement Learning Approach
4.Debtors at Play: Gaming Behavior and Consumer Credit Risk
5.Breadth of Ownership and the Cross-Section of Corporate Bond Returns
6.Selling Assets: Are Sellers Better Off with Strong Buyers?
7.Friend or Foe? Teaming Between Artificial Intelligence and Workers with Variation in Experience
8.How Do Product Recommendations Help Consumers Search? Evidence from a Field Experiment
9.Current Account Uncertainty and Currency Premia
10.The Editor and the Algorithm: Recommendation Technology in Online News
11.The Effect of Language on Income Smoothing: Cross-Country Evidence
12.The Benefit of the Doubt: Patent Examination Under Strategic Obfuscation
13.The Effects of a Short-Term Corporate Social Impact Activity on Employee Turnover: Field Experimental Evidence
14.Virtual Shareholder Meetings
15.A Bayesian Hierarchical Model of Crowd Wisdom Based on Predicting Opinions of Others
16.Contrarians, Extrapolators, and Stock Market Momentum and Reversal
17.Dynamic Pricing with External Information and Inventory Constraint
18.Spanning Analysis of Stock Market Anomalies Under Prospect Stochastic Dominance
19.Help-and-Haggle: Social Commerce Through Randomized, All-or-Nothing Discounts
20.(How) Does User-Generated Content Impact Content Generated by Professionals? Evidence from Local News
21.Dynamic Information Regimes in Financial Markets
22.Incentives from Career Concerns in a Contract Package: An Empirical Investigation
23.Optimal Portfolio Choice with Unknown Benchmark Efficiency
24.Bandits atop Reinforcement Learning: Tackling Online Inventory Models with Cyclic Demands
25.Blockchain Adoption in a Supply Chain with Manufacturer Market Power
26.The Value of Virtual Engagement: Evidence from a Running Platform
27.Information Technology and Credit: Evidence from Public Guarantees
28.Too Much Information: When Does Additional Testing Benefit Schools?
29.When Myopic Managers Must Mark to Market
30.Information Reliability and Market Outcomes
31.Are Financial Statements More Comparable When GAAP Restricts Managers’ Discretion?
32.Optimal Accounting Rules, Private Benefits of Control, and Efficient Liquidation
33.The Stickiness of Category Labels: Audience Perception and Evaluation of Producer Repositioning in Creative Markets
34.The Challenge of Understanding What Users Want: Inconsistent Preferences and Engagement Optimization
35.Are Third-Party Fundamental Valuations Relevant in Public Company Takeovers?
36.The Global Determinants of International Equity Risk Premiums
37.When Bonuses Backfire: Evidence from the Workplace
38.Nonregular Employment and Payout Policy: Evidence from the Massachusetts Independent Contractor Law
39.Inflation, Monetary Policy, and Portfolio Decisions of U.S. Households
40.From Feeds to Inboxes: A Comparative Study of Polarization in Facebook and Email News Sharing
41.Data-Driven Mergers
《The Rand Journal of Economic》
Volume 55,Issue 2
目录
1.Worker reallocation, firm innovation, and Chinese import competition
2.A generalization of the Symmetric Translog functional form
3.Financial crises, bailouts and monetary policy in open economies
4.Global knowledge and trade flows: Theory and measurement
5.Inflation expectations and risk premia in emerging bond markets: Evidence from Mexico
6.All aboard: The effects of port development
7.Consumption, exchange rate, and external adjustment during a crisis
8.Capital controls and trade policy
9.Dynamic trade, education and intergenerational inequality
10.Bond convenience curves and funding costs
11.Underinvestment and capital misallocation under sovereign risk
《Journal of International Business Studies》
Volume 55,Number 7
目录
1.Nationalist sentiments and the multinational enterprise: insights from organizational sociology
2.International business and decentralized finance
3.Referral bonuses in global talent acquisition: the role of social networks in China and the US
4.Veto rights in international joint ventures
5.Foreign bank entry and the outward foreign direct investment of companies: evidence from China
6.Revealed and reserved: a compensating approach of voluntary disclosure by family multinationals
7.Horizontal subcontracting and the global factory
8.Chip war: the fight for the world’s most critical technology
《Journal of the American Statistical Association》
Volume 119,Issue547
目录
1.Weighted Functional Data Analysis for the Calibration of a Ground Motion Model in Italy
2.Bayesian Integrative Region Segmentation in Spatially Resolved Transcriptomic Studies
3.Assessing COVID-19 Prevalence in Austria with Infection Surveys and Case Count Data as Auxiliary Information
4.Evaluating Dynamic Conditional Quantile Treatment Effects with Applications in Ridesharing
6.Coexchangeable Process Modeling for Uncertainty Quantification in Joint Climate Reconstruction
6.Tree-Guided Rare Feature Selection and Logic Aggregation with Electronic Health Records Data
《Journal of Economic Theory》
Volume 222
目录
1.Optimal banking with delegated monitoring
2.Understanding uncertainty shocks and the role of black swans
3.Inequality, openness, and growth through creative destruction
4.The epistemic spirit of divinity
5.Interest rate dynamics and commodity prices
《Journal of Econometrics》
Volume 244,Issue1
目录
1.Tuning-parameter-free propensity score matching approach for causal inference under shape restriction
2.An unbounded intensity model for point processes
3. Fixed-b asymptotics for panel models with two-way clustering
4. Threshold spatial autoregressive model
5. Testing for sparse idiosyncratic components in factor-augmented regression models
6. A method of moments approach to asymptotically unbiased Synthetic Controls
7. Measuring diagnostic test performance using imperfect reference tests: A partial identification approach
8. A gentle introduction to matrix calculus
9. Large Bayesian SVARs with linear restrictions
10. Heterogeneous treatment effect bounds under sample selection with an application to the effects of social media on political polarization
11. Empirical risk minimization for time series: Nonparametric performance bounds for prediction
12. GMM estimation for high-dimensional panel data models
13. Identification in discrete choice models with imperfect information
14. Identification and estimation of unconditional policy effects of an endogenous binary treatment: An unconditional MTE approach
15. Latent utility and permutation invariance: A revealed preference approach
16. High-dimensional model-assisted inference for treatment effects with multi-valued treatments
《Economic Journal》
Volume 128,Issue 616
目录
1. Commuting and Taxes: Theory, Empirics and Welfare lmplications
2. Labour Market Effects of International Trade When Mobility is Costly
3. Higher Education and Prosperity: From Catholic Missionaries to Luminosity in India
4. To Rebate or Not to Rebate: Fuel Economy Standards Versus Feebates
5. Looking Down the Barrel of a Loaded Gun: The Effect of Mandatory Handgun Purchase Delays on Homicide and Suicide
6. Access to Citizenship and the Economic Assimilation of lmmigrants
7. Risk and Temptation: A Meta-study on Prisoner's Dilemma Games
8. Trade and Geography in the Spread of lslam
9. Commodity Prices and Growth
10. Identifying Uncertainty Shocks Using the Price of Gold
11. Additional Returns to Investing in Girls' Education: lmpact on Younger Sibling Human Capital
12. Political Budget Cycles with Informed Voters: Evidence from ltaly
《International Economic Review》
Volume 65,Issue3
目录
1. HIGHER-ORDER INCOME RISK OVER THE BUSINESS CYCLE
2. THE COST OF TRADE DISRUPTIONS AT DIFFERENT STAGES OF DEVELOPMENT
3. ENDING WASTEFUL YEAR-END SPENDING: ON OPTIMAL BUDGET RULES IN ORGANIZATIONS
4. FINANCIAL DOLLARIZATION IN EMERGING MARKETS: AN INSURANCE ARRANGEMENT
5. ENTRY BARRIERS AND GROWTH: THE ROLE OF ENDOGENOUS MARKET STRUCTURE
6. PROMINENCE AND MARKET POWER: ASYMMETRIC OLIGOPOLY WITH SEQUENTIALCONSUMER SEARCH
7. INTERTEMPORAL CONSUMPTION WITH ANTICIPATING, REMEMBERING, AND EXPERIENCINGSELVES
8. ASSET DIVERSIFICATION VERSUS CLIMATE ACTION
9. STATISTICAL DISCRIMINATION AND DURATION DEPENDENCE IN A SEMISTRUCTURAL MODEL
10. UNCERTAINTY, LONG-RUN, AND MONETARY POLICY RISKS IN A TWO-COUNTRY MACROMODEL
11. THE INS AND OUTS OF SELLING HOUSES: UNDERSTANDING HOUSING-MARKET VOLATILITY
12. MONETARY POLICY UNDER NATURAL DISASTER SHOCKS
13. Source Dependence in Effort Provision
14. INFRAMARGINAL TRAVELERS AND TRANSPORTATION POLICY
LABOR MARKET INSTITUTIONS AND FERTILITY
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