2.0(top 20%)
impact factor
964(top 20%)
papers
28.0K(top 10%)
citations
80(top 10%)
h-index
2.0(top 20%)
extended IF
1.3K
all documents
35.6K
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132(top 10%)
g-index

Top Articles

#TitleJournalYearCitations
1Value Maximisation, Stakeholder Theory, and the Corporate Objective FunctionEuropean Financial Management2001824
2Has Finance Made the World Riskier?European Financial Management2006659
3Herd Behaviour and Cascading in Capital Markets: a Review and SynthesisEuropean Financial Management2003627
4The Effect of Socially Responsible Investing on Portfolio PerformanceEuropean Financial Management2007594
5The Effect of Family Control on Firm Value and Performance: Evidence from Continental EuropeEuropean Financial Management2006550
6Examining the Relationships between Capital, Risk and Efficiency in European BankingEuropean Financial Management2007466
7Why Do Firms Hold Cash? Evidence from EMU CountriesEuropean Financial Management2004456
8The Co‐movement of Credit Default Swap, Bond and Stock Markets: an Empirical AnalysisEuropean Financial Management2009431
9Shareholder Wealth Effects of European Domestic and Cross-border Takeover BidsEuropean Financial Management2004376
10An Integrated Framework of Corporate Governance and Firm ValuationEuropean Financial Management2006376
11Corporate Governance and Expected Stock Returns: Evidence from GermanyEuropean Financial Management2004354
12The Economic Value of Corporate Eco-EfficiencyEuropean Financial Management2011347
13Optimal Portfolio Allocation under Higher MomentsEuropean Financial Management2006337
14Does Overconfidence Affect Corporate Investment? CEO Overconfidence Measures RevisitedEuropean Financial Management2005336
15Tweets and Trades: the Information Content of Stock MicroblogsEuropean Financial Management2014326
16Acquisitions, Overconfident Managers and Self-attribution BiasEuropean Financial Management2007289
17Understanding RegulationEuropean Financial Management2005288
18Paying People to Lie: the Truth about the Budgeting ProcessEuropean Financial Management2003287
19European Mutual Fund PerformanceEuropean Financial Management2002277
20Risk management lessons from Long-Term Capital ManagementEuropean Financial Management2000256
21Can Internet Search Queries Help to Predict Stock Market Volatility?European Financial Management2016247
22The Capital Structure of Swiss Companies: an Empirical Analysis Using Dynamic Panel DataEuropean Financial Management2005246
23Differences between European and American IPO MarketsEuropean Financial Management2003241
24Shareholder Value Creation in European M&AsEuropean Financial Management2004229
25Is the Aggregate Investor Reluctant to Realise Losses? Evidence from TaiwanEuropean Financial Management2007221
26Ownership and the Value of Political Connections: Evidence from ChinaEuropean Financial Management2012210
27Corporate Governance and Firm‐specific Stock Price CrashesEuropean Financial Management2016207
28The Subprime Panic*European Financial Management2009206
29Europe's Second Markets for Small CompaniesEuropean Financial Management2012204
30Board Overlap, Seat Accumulation and Share PricesEuropean Financial Management2002203
31Why Study Large Projects? An Introduction to Research on Project FinanceEuropean Financial Management2004203
32CEO Compensation and Firm Performance: an Empirical Investigation of UK Panel DataEuropean Financial Management2011196
33Is Investment-Cash Flow Sensitivity Caused by Agency Costs or Asymmetric Information? Evidence from the UKEuropean Financial Management2005184
34Rain or Shine: Where is the Weather Effect?European Financial Management2005184
35Is CEO Pay Really Inefficient? A Survey of New Optimal Contracting TheoriesEuropean Financial Management2009179
36Do Insider Trading Laws Work?European Financial Management2005169
37The Cross‐Section of Expected Stock Returns: What Have We Learnt from the Past Twenty‐Five Years of Research?European Financial Management2010166
38Family Control and Financing DecisionsEuropean Financial Management2011165
39Exchange traded funds and asset return correlationsEuropean Financial Management2018164
40The Determinants of Corporate Trade Credit Policies in a Bank-dominated Financial Environment: the Case of Finnish Small FirmsEuropean Financial Management2006160
41Acquisitions: Private versus PublicEuropean Financial Management2006159
42The Impact of Terrorist Attacks on International Stock MarketsEuropean Financial Management2010159
43The Performance of Socially Responsible Funds: Does the Screening Process Matter?European Financial Management2014159
44The Determinants of Debt Maturity Structure: Evidence from France, Germany and the UKEuropean Financial Management2006156
45Banking Competition and Capital RatiosEuropean Financial Management2012148
46An empirical analysis of corporate debt maturity structureEuropean Financial Management2000145
47Herding in the German Mutual Fund IndustryEuropean Financial Management2006144
48Political Connections, Financing Friction, and Corporate Investment: Evidence from Chinese Listed Family FirmsEuropean Financial Management2013143
49Debt, Equity and Hybrid Decoupling: Governance and Systemic Risk ImplicationsEuropean Financial Management2008142
50The Impact of Managerial Entrenchment on Agency Costs: An Empirical Investigation Using UK Panel DataEuropean Financial Management2009141