Evaluating inflation targeting based on the distribution of inflation and inflation volatility Fulltext Access 22 Pages 2013
Underwriter reputation and the underwriter-investor relationship in IPO markets Fulltext Access 22 Pages 2013
Modeling the horizon-dependent ex-ante risk premium in the foreign exchange market: Evidence from survey data Fulltext Access 22 Pages 2013
How do bank competition, regulation, and institutions shape the real effect of banking crises? International evidence Fulltext Access 22 Pages 2013
Exchange rate pass-through and the effects of tariffs on economic performance and welfare Fulltext Access 22 Pages 2013
Market-oriented banking, financial stability and macro-prudential indicators of leverage Fulltext Access 22 Pages 2013
An international trend in market design: Endogenous effects of limit order book transparency on volatility, spreads, depth and volume Fulltext Access 22 Pages 2013
Combined use of foreign debt and currency derivatives under the threat of currency crises: The case of Latin American firms Fulltext Access 22 Pages 2013
Credit-risk valuation in the sovereign CDS and bonds markets: Evidence from the euro area crisis Fulltext Access 22 Pages 2013
An empirical investigation of mergers and acquisitions by Chinese listed companies, 1997–2007 Fulltext Access 22 Pages 2013
Individual account investment options and portfolio choice: Behavioral lessons from 401(k) plans Fulltext Access 22 Pages 2013
The relation of trade size and price contribution in a traditional foreign exchange brokered market Fulltext Access 22 Pages 2013
How does the stock market value bank diversification? Empirical evidence from Japanese banks Fulltext Access 22 Pages 2013
Volatility arbitrage around earnings announcements: Evidence from the Korean equity linked warrants market Fulltext Access 22 Pages 2013
Time-varying monetary-policy rules and financial stress: Does financial instability matter for monetary policy? Fulltext Access 22 Pages 2013
Internal auditors’ roles: From watchdogs to helpers and protectors of the top manager Fulltext Access 22 Pages 2013
Enterprise risk management and continuous re-alignment in the pursuit of accountability: A German case Fulltext Access 22 Pages 2013
Can advanced markets help diversify risks in frontier stock markets? Evidence from Gulf Arab stock markets Fulltext Access 22 Pages 2013
La formation de l’intention entrepreneuriale des étudiants suivant des programmes en entrepreneuriat Fulltext Access 22 Pages 2013
Do stock prices influence corporate decisions? Evidence from the technology bubble Fulltext Access 22 Pages 2013
Generalists versus specialists: Lifetime work experience and chief executive officer pay Fulltext Access 22 Pages 2013
Conflicts of interest between banks and firms: Evidence from Japanese mergers Fulltext Access 23 Pages 2013
Conditional correlations and volatility spillovers between crude oil and stock index returns Fulltext Access 23 Pages 2013
Political connections, corporate governance and preferential bank loans Fulltext Access 23 Pages 2013
The performance of corporate alliances: Evidence from oil and gas drilling in the Gulf of Mexico Fulltext Access 23 Pages 2013
Implied Sharpe ratios of portfolios with options: Application to Nikkei futures and listed options Fulltext Access 23 Pages 2013
Hedging performance of Chinese stock index futures: An empirical analysis using wavelet analysis and flexible bivariate GARCH approaches Fulltext Access 23 Pages 2013
The quality of securities firms' earnings forecasts and stock recommendations: Do informational advantages, reputation and experience matter in China? Fulltext Access 23 Pages 2013
Effects of universal health insurance on health care utilization, and supply-side responses: Evidence from Japan Fulltext Access 23 Pages 2013
Financial restatements by Canadian firms cross-listed and not cross-listed in the U.S. Fulltext Access 23 Pages 2013
Analyst coverage, optimism, and stock price crash risk: Evidence from China Fulltext Access 23 Pages 2013
Developing country vulnerability in light of the global financial crisis: Shock therapy? Fulltext Access 23 Pages 2013
The impact of board governance on director compensation in West African IPO firms Fulltext Access 23 Pages 2013
Extending Dunning's Investment Development Path: The role of home country institutional determinants in explaining outward foreign direct investment Fulltext Access 23 Pages 2013
An institutional perspective on the changes in management accountants’ professional role Fulltext Access 23 Pages 2013
Corporate social responsibility and stakeholder value maximization: Evidence from mergers Fulltext Access 23 Pages 2013
Evaluation of board reforms: An examination of the appointment of outside directors Fulltext Access 23 Pages 2013
Liquidity, volume and price efficiency: The impact of order vs. quote driven trading Fulltext Access 23 Pages 2013
Stock price response to S&P 500 index inclusions: Do options listings and options trading volume matter? Fulltext Access 23 Pages 2013
Why are stock exchange IPOs so underpriced and yet outperform in the long run? Fulltext Access 23 Pages 2013
Banks’ responses to funding liquidity shocks: Lending adjustment, liquidity hoarding and fire sales Fulltext Access 23 Pages 2013
Prospect theory and utility theory: Temporary versus permanent attitude toward risk Fulltext Access 23 Pages 2013
Key currency status: An exorbitant privilege and an extraordinary risk Fulltext Access 23 Pages 2013
Bank failures and the cost of systemic risk: Evidence from 1900 to 1930 Fulltext Access 23 Pages 2013
The time-varying response of foreign stock markets to U.S. monetary policy surprises: Evidence from the Federal funds futures market Fulltext Access 24 Pages 2013
On the determinants of SME capital structure in Central and Eastern Europe: A dynamic panel analysis Fulltext Access 24 Pages 2013
Bank dependence and financial constraints on investment: Evidence from the corporate bond market paralysis in Japan Fulltext Access 24 Pages 2013
CEO inside debt and hedging decisions: Lessons from the U.S. banking industry Fulltext Access 24 Pages 2013
The intraday behavior of information misreaction across various categories of investors in the Taiwan options market Fulltext Access 24 Pages 2013
Investment allocation decisions, home bias and the mandatory IFRS adoption Fulltext Access 24 Pages 2013
The benefit of modeling jumps in realized volatility for risk prediction: Evidence from Chinese mainland stocks Fulltext Access 24 Pages 2013
The role of the audit committee and the informativeness of accounting earnings in East Asia Fulltext Access 24 Pages 2013
The contribution of US bond demand to the US bond yield conundrum of 2004–2007: An empirical investigation Fulltext Access 24 Pages 2013
Effects of dividend tax and signaling on firm valuation: Evidence from taxable stock dividend announcements Fulltext Access 24 Pages 2013
Does idiosyncratic volatility matter in emerging markets? Evidence from China Fulltext Access 24 Pages 2013
The stock market reaction to the public announcement of a supranational list of too-big-to-fail banks during the financial crisis Fulltext Access 24 Pages 2013
The effects of exchange-rate volatility on commodity trade between the U.S. and Brazil Fulltext Access 24 Pages 2013
The mechanics of VAR forecast pooling—A DSGE model based Monte Carlo study Fulltext Access 24 Pages 2013
Insider trading, accrual abuse, and corporate governance in emerging markets — Evidence from Taiwan Fulltext Access 24 Pages 2013
CEO gender, executive compensation and firm performance in Chinese‐listed enterprises Fulltext Access 24 Pages 2013
The price impact of options and futures volume in after-hours stock market trading Fulltext Access 24 Pages 2013
Interest rate pass-through in the EMU – New evidence from nonlinear cointegration techniques for fully harmonized data Fulltext Access 24 Pages 2013