The Journal of Finance

The Journal of Finance publishes leading research across all the major fields of finance. It is one of the most widely cited journals in academic finance, and in all of economics. Each of the six issues per year reaches over 8,000 academics, finance professionals, libraries, and government and financial institutions around the world. The journal is the official publication of The American Finance Association, the premier academic organization devoted to the study and promotion of knowledge about financial economics.

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A Discrete Time Option Model Dependent on Expected Return: A Note

Published: 06/01/1986   |   DOI: 10.1111/j.1540-6261.1986.tb05052.x

THOMAS J. O'BRIEN


Testing Rationality in the Point Spread Betting Market

Published: 09/01/1988   |   DOI: 10.1111/j.1540-6261.1988.tb02617.x

JOHN GANDAR, RICHARD ZUBER, THOMAS O'BRIEN, BEN RUSSO

This paper presents empirical tests of market rationality using data from the point spread betting market on National Football League games. Data from this market avoid many common pitfalls of tests of rationality in conventional financial markets. The authors test for rationality with two types of tests, statistical and economic. Results of the tests reveal that the statistical tests cannot reject market rationality while the economic tests do reject market rationality.