Journal of Financial and Quantitative Analysis Issues Research Articles in February 2022 Edition
January 13, 2022
January 13, 2022
CAMBRIDGE, England, Jan. 13 -- The Journal of Financial and Quantitative Analysis, a journal that focuses on financial economics, published research articles on the following topics in its February 2022 edition:
Research Articles:
* A Global Macroeconomic Risk Model for Value, Momentum, and Other Asset Classes
* Proactive Capital Structure Adjustments: Evidence from Corporate Filings
* Moment Risk Premia and Stock Return Predictability
< . . .
Research Articles:
* A Global Macroeconomic Risk Model for Value, Momentum, and Other Asset Classes
* Proactive Capital Structure Adjustments: Evidence from Corporate Filings
* Moment Risk Premia and Stock Return Predictability
< . . .