Journals Journal of Business Finance & Accounting

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Journal of Business Finance & Accounting
Corporate Finance
Corporate Governance
Financial Regulation
Capital Markets Research
Valuation Theory
Information Intermediaries
Journal of Business Finance and Accounting exists to publish high quality research papers in accounting, corporate finance, corporate governance and their interfaces. The interfaces are relevant in many areas such as financial reporting and communication, valuation, financial performance measurement and managerial reward and control structures. A feature of JBFA is that it recognises that informational problems are pervasive in financial markets and business organisations, and that accounting plays an important role in resolving such problems. JBFA welcomes both theoretical and empirical contributions. Nonetheless, theoretical papers should yield novel testable implications, and empirical papers should be theoretically well-motivated. The Editors view accounting and finance as being closely related to economics and, as a consequence, papers submitted will often have theoretical motivations that are grounded in economics. JBFA, however, also seeks papers that complement economics-based theorising with theoretical developments originating in other social science disciplines or traditions. While many papers in JBFA use econometric or related empirical methods, the Editors also welcome contributions that use other empirical research methods. Although the scope of JBFA is broad, it is not a suitable outlet for highly abstract mathematical papers, or empirical papers with inadequate theoretical motivation. Also, papers that study asset pricing, or the operations of financial markets, should have direct implications for one or more of preparers, regulators, users of financial statements, and corporate financial decision makers, or at least should have implications for the development of future research relevant to such users.
Impact Factor (2 years)
Journal type
Subscription Journal

Journals Publications

Results 1-8 of 8 (Search time: 0.002 seconds).

Issue DateTitleAuthor(s)
11-Jan-2018Are analyst stock recommendation revisions more informative in the post-IFRS period?Charitou, Andreas ; Karamanou, Irene ; Kopita, Anastasia 
21-Jan-2016Bank Liquidity Creation and Risk-Taking: Does Managerial Ability Matter?Andreou, Panayiotis ; Philip, Dennis ; Robejsek, Peter 
32012Credit Rating Migration Risk and Business CyclesFei, Fei ; Fuertes, Ana Maria ; Kalotychou, Elena 
4Jan-2009Cross-listing and operating performance: evidence from exchange-listed American depositary receiptsCharitou, Andreas ; Louca, Christodoulos 
510-May-2007Cross-listing, bonding hypothesis and corporate governanceCharitou, Andreas ; Louca, Christodoulos ; Panayides, Stelios 
6Jul-1996Financial distress and corporate acquisitions: further empirical evidenceKahya, Emel ; Saidi, Reza ; Theodossiou, Panayiotis 
7Mar-1995Relation between volatility and expected returns across international stock marketsTheodossiou, Panayiotis 
8Sep-1991Alternative models for assessing the financial condition of business in GreeceTheodossiou, Panayiotis