Is it obligor or instrument that explains recovery rate: Evidence from US corporate bond Fulltext Access 39 Pages 2017
The role of jumps and leverage in forecasting volatility in international equity markets Fulltext Access 39 Pages 2017
On exchange rate comovements: New evidence from a Taylor rule fundamentals model with adaptive learning Fulltext Access 39 Pages 2017
Does foreign bank penetration affect the risk of domestic banks? Evidence from emerging economies Fulltext Access 39 Pages 2017
A tale of two tails: Productivity distribution and the gains from trade Fulltext Access 40 Pages 2017
Inverting the indirect-The ellipse and the boomerang: Visualizing the confidence intervals of the structural coefficient from two-stage least squares Fulltext Access 40 Pages 2017
Stock returns and interest rates around the World: A panel data approach Fulltext Access 40 Pages 2017
What do a bank's legal expenses reveal about its internal controls and operational risk? Fulltext Access 40 Pages 2017
On the exposure of insurance companies to sovereign risk-Portfolio investments and market forces Fulltext Access 40 Pages 2017
Foreign bank subsidiaries' default risk during the global crisis: What factors help insulate affiliates from their parents? Fulltext Access 40 Pages 2017
The interest rate effects of government bond purchases away from the lower bound Fulltext Access 40 Pages 2017
Capital liberalization and various financial markets: Evidence from Taiwan Fulltext Access 40 Pages 2017
Exchange rate dynamics and stock prices in small open economies: Evidence from Asia-Pacific countries Fulltext Access 40 Pages 2017
The effect of quantitative easing on the variance and covariance of the UK and US equity markets Fulltext Access 40 Pages 2017
Using eminent domain to refinance underwater mortgages: A welfare analysis Fulltext Access 40 Pages 2017
Markov-switching analysis of exchange rate pass-through: Perspective from Asian countries Fulltext Access 40 Pages 2017
The behaviour of asset return and volatility spillovers in Turkey: A tale of two crises Fulltext Access 40 Pages 2017
Factor specificity and wage inequality in a developing economy: The role of technology and trade in Indian manufacturing Fulltext Access 40 Pages 2017
Investor heterogeneity, trading account types and competing liquidity channels for Malaysian stocks Fulltext Access 40 Pages 2017
Do extreme returns matter in emerging markets? Evidence from the Chinese stock market Fulltext Access 40 Pages 2017
The shortage of safe assets in the US investment portfolio: Some international evidence Fulltext Access 41 Pages 2017
Research in finance: A review of influential publications and a research agenda Fulltext Access 41 Pages 2017
Dynamic co-integration and portfolio diversification of Islamic and conventional indices: Global evidence Fulltext Access 41 Pages 2017
The effects of the near-zero interest rate policy in a regime-switching dynamic stochastic general equilibrium model Fulltext Access 41 Pages 2017
The macroeconomic relevance of bank and nonbank credit: An exploration of U.S. data Fulltext Access 41 Pages 2017
Investor sentiment, idiosyncratic risk, and mispricing of American Depository Receipt Fulltext Access 41 Pages 2017
Precautionary savings, retirement planning and misperceptions of financial literacy Fulltext Access 41 Pages 2017
Student satisfaction and commitment towards a blended learning finance course: A new evidence from using the investment model Fulltext Access 41 Pages 2017
On the dynamic interactions between energy and stock markets under structural shifts: Evidence from Egypt Fulltext Access 41 Pages 2017
Competition, efficiency and soundness in European life insurance markets Fulltext Access 41 Pages 2017
Information externalities in the credit market and the spell of credit rationing Fulltext Access 41 Pages 2017
Monetary policy and bank risk-taking: Evidence from the corporate loan market Fulltext Access 41 Pages 2017
On the robustness of week-day effect to error distributional assumption: International evidence Fulltext Access 41 Pages 2017
Forecasting cointegrated nonstationary time series with time-varying variance Fulltext Access 41 Pages 2017
Determinants of the crude oil futures curve: Inventory, consumption and volatility Fulltext Access 41 Pages 2017
Gini-type measures of risk and variability: Gini shortfall, capital allocations, and heavy-tailed risks Fulltext Access 41 Pages 2017
What can we learn about the racial gap in the presence of sample selection? Fulltext Access 41 Pages 2017
Exchange rate volatility response to macroeconomic news during the global financial crisis Fulltext Access 41 Pages 2017
Assessing the impact of an EU financial transactions tax on asset volatility: An event study Fulltext Access 41 Pages 2017
Does institutional ownership influence firm performance? Evidence from China Fulltext Access 41 Pages 2017
Middle-income traps in East Asia: An inquiry into causes for slowdown in income growth Fulltext Access 42 Pages 2017
A two-factor cointegrated commodity price model with an application to spread option pricing Fulltext Access 42 Pages 2017
Does corporate social responsibility affect mutual fund performance and flows? Fulltext Access 42 Pages 2017
Does a manager's gender matter when accessing credit? Evidence from European data Fulltext Access 42 Pages 2017
The poverty implications of alternative tax reforms: Results from a numerical application to Pakistan Fulltext Access 42 Pages 2017
Empirical analysis of the effects of increasing wage inequalities on marriage behaviors in Japan Fulltext Access 42 Pages 2017
Momentum, idiosyncratic volatility and market dynamics: Evidence from China Fulltext Access 42 Pages 2017
International financial spillovers to emerging market economies: How important are economic fundamentals? Fulltext Access 42 Pages 2017
Cross-border spillover effects of unconventional monetary policies on Swiss asset prices Fulltext Access 42 Pages 2017
Violations of uncovered interest rate parity and international exchange rate dependences Fulltext Access 42 Pages 2017
The effect of a fiscal squeeze on tax enforcement: Evidence from a natural experiment in China Fulltext Access 42 Pages 2017
Do financial crises alter the dynamics of corporate capital structure? Evidence from GCC countries Fulltext Access 42 Pages 2017
The impact of natural disasters on the stock returns and volatilities of local firms Fulltext Access 42 Pages 2017
Financial intermediation, real exchange rates, and unconventional policies in an open economy Fulltext Access 42 Pages 2017
Political uncertainty and investment: Causal evidence from U.S. gubernatorial elections Fulltext Access 42 Pages 2017