Systematic mistakes in the mortgage market and lack of financial sophistication Fulltext Access 45 Pages 2017
Bank capital in the crisis: It's not just how much you have but who provides it Fulltext Access 45 Pages 2017
Government ownership and exposure to political uncertainty: Evidence from China Fulltext Access 45 Pages 2017
The economic impact of supply chain disruptions from the Great East-Japan earthquake Fulltext Access 45 Pages 2017
Agency hazard, managerial incentives, and the wealth effects of joint venture investments Fulltext Access 45 Pages 2017
Determinants of sub-sovereign bond yield spreads - The role of fiscal fundamentals and federal bailout expectations Fulltext Access 45 Pages 2017
Capital account liberalization and financial deepening: Does the private sector matter? Fulltext Access 46 Pages 2017
Displaced relative changes in historical simulation: Application to risk measures of interest rates with phases of negative rates Fulltext Access 46 Pages 2017
New goodness-of-fit diagnostics for conditional discrete response models Fulltext Access 46 Pages 2017
Asset pricing with investor sentiment: On the use of investor group behavior to forecast ASEAN markets Fulltext Access 46 Pages 2017
Long memory or structural breaks: Some evidence for African stock markets Fulltext Access 46 Pages 2017
Simulated minimum distance estimation of dynamic models with errors-in-variables Fulltext Access 46 Pages 2017
Stock return anomalies and individual investors in the Korean stock market Fulltext Access 46 Pages 2017
Local governance and the quality of local infrastructure: Evidence from village road projects in rural China Fulltext Access 46 Pages 2017
Does everyone exhibit loss aversion? Evidence from a panel quantile regression analysis of subjective well-being in Japan Fulltext Access 46 Pages 2017
Insurance activities, globalization, and economic growth: New methods, new evidence Fulltext Access 46 Pages 2017
Can macroeconomic dynamics explain the time variation of risk-return trade-offs in the U.S. financial market? Fulltext Access 46 Pages 2017
The persistence in real interest rates: Does it solve the intertemporal consumption behavior puzzle? Fulltext Access 46 Pages 2017
Do creditor rights and information sharing affect the performance of foreign banks? Fulltext Access 46 Pages 2017
Does bank competition reduce cost of credit? Cross-country evidence from Europe Fulltext Access 46 Pages 2017
Bank productivity growth and convergence in the European Union during the financial crisis Fulltext Access 46 Pages 2017
Trading restrictions and firm dividends: The share lockup expiration experience in China Fulltext Access 46 Pages 2017
Who needs big banks? The real effects of bank size on outcomes of large US borrowers Fulltext Access 46 Pages 2017
Do state and foreign ownership affect investment efficiency? Evidence from privatizations Fulltext Access 46 Pages 2017
The impact of heuristics on investment decision and performance: Exploring multiple mediation mechanisms Fulltext Access 47 Pages 2017
Bond finance, bank credit, and aggregate fluctuations in an open economy Fulltext Access 47 Pages 2017
Determining the effectiveness of the Eurosystem's Covered Bond Purchase Programs on secondary markets Fulltext Access 47 Pages 2017
Assessing the financial and outreach efficiency of microfinance institutions: Do age and size matter? Fulltext Access 47 Pages 2017
Stop losses momentum strategy: From profit maximization to risk control under White's Bootstrap Reality Check Fulltext Access 47 Pages 2017
Sovereign bond market reactions to no-bailout clauses and fiscal rules - The Swiss experience Fulltext Access 47 Pages 2017
Stock return predictability in emerging markets: Does the choice of predictors and models matter across countries? Fulltext Access 47 Pages 2017
Market liberalization and the extent of informed trading: Evidence from China's equity markets Fulltext Access 47 Pages 2017
The effects of test-based retention on student outcomes over time: Regression discontinuity evidence from Florida Fulltext Access 47 Pages 2017
The impact of sovereign rating changes on the activity of European banks Fulltext Access 47 Pages 2017
Do managerial risk-taking incentives influence firms' exchange rate exposure? Fulltext Access 47 Pages 2017
The effect of ownership concentration and composition on dividends: Evidence from Latin America Fulltext Access 47 Pages 2017
Path dependent and heterogeneity effects in investment risk ratings: A cross-country evidence Fulltext Access 47 Pages 2017
Strategic merger decisions across business cycles: Evidence from bidders' time-varying appetite for operating leverage Fulltext Access 47 Pages 2017
Shortability and asset pricing model: Evidence from the Hong Kong stock market Fulltext Access 47 Pages 2017
Temperature shocks and the cost of equity capital: Implications for climate change perceptions Fulltext Access 47 Pages 2017
Do busy directors influence the cost of debt? An examination through the lens of takeover vulnerability Fulltext Access 47 Pages 2017
Counting rotten apples: Student achievement and score manipulation in Italian elementary Schools Fulltext Access 47 Pages 2017
Minimum distance from independence estimation of nonseparable instrumental variables models Fulltext Access 47 Pages 2017
Stock market anomalies, market efficiency and the adaptive market hypothesis: Evidence from Islamic stock indices Fulltext Access 48 Pages 2017
Do political factors affect stock returns during presidential elections? Fulltext Access 48 Pages 2017
Do international students crowd-out or cross-subsidize Americans in higher education? Fulltext Access 48 Pages 2017
Sector heterogeneity and credit market imperfections in emerging markets Fulltext Access 48 Pages 2017
Risk transmission between Islamic and conventional stock markets: A return and volatility spillover analysis Fulltext Access 48 Pages 2017
Cross-border mergers and acquisitions: The importance of local credit and source country finance Fulltext Access 48 Pages 2017
The relationship between pension funds and the stock market: Does the aging population of Europe affect it? Fulltext Access 48 Pages 2017
The kidnapping of Europe: High-order moments' transmission between developed and emerging markets Fulltext Access 48 Pages 2017
Investment banking relationships and analyst affiliation bias: The impact of the global settlement on sanctioned and non-sanctioned banks Fulltext Access 48 Pages 2017
Effects of business diversification on asset risk-taking: Evidence from the U.S. property-liability insurance industry Fulltext Access 48 Pages 2017
Flight-to-liquidity, market uncertainty, and the actions of mutual fund investors Fulltext Access 48 Pages 2017
Influence of natural disasters on social engagement and post-disaster well-being: The case of the Great East Japan Earthquake Fulltext Access 48 Pages 2017