Dependence patterns among Asian banking sector stocks: A copula approach Fulltext Access 53 Pages 2017
Assessing the effects of unconventional monetary policy and low interest rates on pension fund risk incentives Fulltext Access 53 Pages 2017
The power of the pen reconsidered: The media, CEO human capital, and corporate governance Fulltext Access 53 Pages 2017
Do wealthy investors have an informational advantage? Evidence based on account classifications of individual investors Fulltext Access 53 Pages 2017
Curbing the growth of stock trading? Order-to-trade ratios and financial transaction taxes Fulltext Access 53 Pages 2017
Does institutional ownership matter for international stock return comovement? Fulltext Access 53 Pages 2017
Strategic risk-taking and value creation: Evidence from the market for corporate control Fulltext Access 53 Pages 2017
Optimal government investment and public debt in an economic growth model Fulltext Access 53 Pages 2017
Seeing is not necessarily the truth: Do institutional investors' corporate site visits reduce hosting firms' stock price crash risk? Fulltext Access 53 Pages 2017
Bank rescues and bailout expectations: The erosion of market discipline during the financial crisis Fulltext Access 53 Pages 2017
The pros and cons of sick pay schemes: Testing for contagious presenteeism and noncontagious absenteeism behavior Fulltext Access 53 Pages 2017
Catering to behavioral demand for dividends and its potential agency issue Fulltext Access 53 Pages 2017
Helping hands or grabbing hands? An analysis of political connections and firm value Fulltext Access 53 Pages 2017
Interbank networks in the National Banking Era: Their purpose and their role in the Panic of 1893 Fulltext Access 54 Pages 2017
Risk-sharing, market imperfections, asset prices: Evidence from China's stock market liberalization Fulltext Access 54 Pages 2017
The relationship between equity and bond returns: An empirical investigation Fulltext Access 54 Pages 2017
The effects of domestic merger on exports: A case study of the 1998 Korean automobile industry Fulltext Access 54 Pages 2017
Inferences in panel data with interactive effects using large covariance matrices Fulltext Access 54 Pages 2017
The governance transfer of blockholders: Evidence from block acquisitions and earnings management around the world Fulltext Access 54 Pages 2017
Do banks and industrial companies have equal access to reputable underwriters in debt markets? Fulltext Access 54 Pages 2017
Institutional investment horizon, the information environment, and firm credit risk Fulltext Access 54 Pages 2017
Do financial analysts play a role in shaping the rival response of target firms? International evidence Fulltext Access 54 Pages 2017
Financial literacy, financial advisors, and information sources on demand for life insurance Fulltext Access 54 Pages 2017
Detecting speculative bubbles under considerations of the sign asymmetry and size non-linearity: New international evidence Fulltext Access 55 Pages 2017
Limited attention by lenders and small business debt financing: Advertising as attention grabber Fulltext Access 55 Pages 2017
Convergence in bank performance for commercial and Islamic banks during and after the Global Financial Crisis Fulltext Access 55 Pages 2017
Forecasting oil price realized volatility using information channels from other asset classes Fulltext Access 55 Pages 2017
The behavioralist as tax collector: Using natural field experiments to enhance tax compliance Fulltext Access 55 Pages 2017
Bank loan supply responses to Federal Reserve emergency liquidity facilities Fulltext Access 55 Pages 2017
Competition in the credit rating Industry: Benefits for investors and issuers Fulltext Access 55 Pages 2017
Working on the weekend: Do analysts strategically time the release of their recommendation revisions? Fulltext Access 55 Pages 2017
Internal capital market inefficiencies, shareholder payout, and abnormal leverage Fulltext Access 55 Pages 2017
The effects of credit default swap trading on information asymmetry in syndicated loans Fulltext Access 55 Pages 2017
Model-free approaches to discern non-stationary microstructure noise and time-varying liquidity in high-frequency data Fulltext Access 55 Pages 2017
Inflation targeting and inflation persistence: New evidence from fractional integration and cointegration Fulltext Access 55 Pages 2017
Hedging and speculative pressures and the transition of the spot-futures relationship in energy and metal markets Fulltext Access 56 Pages 2017
The effects of macroprudential policies on house prices: Evidence from an event study using Korean real transaction data Fulltext Access 56 Pages 2017
Capital structure and corporate reaction to negative stock return shocks Fulltext Access 56 Pages 2017
The real effects of mandated information on social responsibility in financial reports: Evidence from mine-safety records Fulltext Access 56 Pages 2017
Does CEO ownership affect payout policy? Evidence from using CEO scaled wealth-performance sensitivity Fulltext Access 56 Pages 2017
Governmental and independent venture capital investments in Europe: A firm-level performance analysis Fulltext Access 56 Pages 2017
Business-cycle variation in macroeconomic uncertainty and the cross-section of expected returns: Evidence for scale-dependent risks Fulltext Access 56 Pages 2017
Leverage and strategic preemption: Lessons from entry plans and incumbent investments Fulltext Access 56 Pages 2017
The sustainability of empire in a global perspective: The role of international trade patterns Fulltext Access 56 Pages 2017
Comovement or safe haven? The effect of corruption on the market risk of sovereign bonds of emerging economies during financial crises Fulltext Access 56 Pages 2017
Performance volatility, information availability, and disclosure reforms Fulltext Access 57 Pages 2017
Bank market power, asset liquidity and funding liquidity: International evidence Fulltext Access 57 Pages 2017
What drives investment-cash flow sensitivity around the World? An asset tangibility Perspective Fulltext Access 57 Pages 2017
Understanding the impact of monetary policy announcements: The importance of language and surprises Fulltext Access 57 Pages 2017
Intraday online investor sentiment and return patterns in the U.S. stock market Fulltext Access 57 Pages 2017
Country-specific determinants of cross-border mergers and acquisitions: A comprehensive review and future research directions Fulltext Access 57 Pages 2017
Short-term safety or long-term failure? Empirical evidence of the impact of securitization on bank risk Fulltext Access 57 Pages 2017
Promotion incentives in the public sector: Evidence from Chinese schools Fulltext Access 57 Pages 2017