Inside front cover - Editorial Board - Bottom half
Growing pains: The evolution of new stock index futures in emerging markets
Determinants of life insurance consumption in Africa
Liquidity, liquidity risk, and information flow: Lessons from an emerging market
The role of speculation in international futures markets on commodity prices
Does the expansion of regional cross-border banks affect competition in Africa? Indirect evidence
Does high frequency algorithmic trading matter for non-AT investors?
The impact of the Internet on global industry: New evidence of Internet measurement
Systemic risk of European financial institutions: Estimation and ranking by the Marginal Expected Shortfall
Tick test accuracy in foreign exchange ECN markets
Acquiring control in emerging markets: Foreign acquisitions in Eastern Europe and the effect on shareholder wealth
Are foreign earnings disclosures value-relevant?: Disaggregation solves the puzzle
Executive pay and performance in Portuguese listed companies
Freeing Greece from capital controls: Were the restrictions enforced in time?
Assessing the direct effect of financial development on poverty reduction in a panel of low- and middle-income countries
A new dataset of cultural distances for European countries and regions
Modelling the joint dynamics of oil prices and investor fear gauge
Analysis of market quality before and during short-selling bans
Bank loan terms and conditions: Is there a macro effect?
Determinants of corporate dividend policy in emerging markets: Evidence from MENA stock markets
The “four I's” of the international monetary system and the international role of the euro
Effects of national culture on bank risk-taking behavior
Do cross-border and domestic bidding firms perform differently? New evidence from continental Europe and the UK
Soft commodities and the global financial crisis: Implications for the economy, resources and institutions
Stock market recovery from the 2008 financial crisis: The differences across Europe
Does stock exchange consolidation improve market liquidity? A study of stock exchange acquisition in Russia
Distilling private information from plain-vanilla options to predict future underlying stock price volatility: Evidence from the H-shares of Chinese banks
The performance of the Italian mutual funds: Does the metric matter?
Idiosyncratic volatility and stock returns: Evidence from the MILA
Evaluating the sovereign and household credit risk in Singapore: A contingent claims approach
Rule of law or country level corporate governance: What matters more in emerging market acquisitions?
Governance and firm value: The effect of a recession
Regulation of securitisation in China: Learning from the US experience
The Halloween effect in European sectors
The determinants of bank net interest margins: A panel evidence from South Asian countries
What factors affect behavioral biases? Evidence from Turkish individual stock investors
Testing the stationarity of CO2 emissions series in Sub-Saharan African countries by incorporating nonlinearity and smooth breaks
Investing in socially responsible mutual funds: Proposal of non-financial ranking in Italian market
Contagion effects in selected European capital markets during the financial crisis of 2007–2009
Foreign news and the structure of co-movement in European equity markets: An intraday analysis
An investigation of return and volatility linkages among equity markets: A study of selected European and emerging countries
The financial Logos: The framing of financial decision-making by mathematical modelling
Stock market comovements around the Global Financial Crisis: Evidence from the UK, BRICS and MIST markets
Mastering risks: An illusion: Truth and tropes on jeopardy
Price formation, market quality and the effects of reduced latency in the very short run
The international transmission of risk: Causal relations among developed and emerging countries’ term premia
Cross-market information transfers of ADR firms: An investigation of emerging market economies