Inside front cover - Editorial Board - Bottom half
Re-embedding financial stakes within ethical and social values in socially responsible investing (SRI)
Herding and excessive risk in the American stock market: A sectoral analysis
Dynamic correlations and hedging effectiveness between gold and stock markets: Evidence for BRICS countries
The role of the swiss franc in Switzerland’s European stance
Returns, volatility and investor sentiment: Evidence from European stock markets
Financial fragility of banks, ownership structure and income diversification: Empirical evidence from the GCC region
Determinants of bank profitability in transition countries: What matters most?
InkLocal credit rating agencies: a new dataset
Credit risk, managerial behaviour and macroeconomic equilibrium within dual banking systems: Interest-free vs. interest-based banking industries
Credit rating model development: An ordered analysis based on accounting data
Bank earnings volatility in the UK: Does size matter? A comparison between commercial and investment banks
Asset fixity and backward-bending investment demand functions
Evidence on complementarity and substitution contingency in monitoring and bonding mechanisms
Do academic investment insights benefit society?
Efficient market hypothesis and fraud on the market theory a new perspective for class actions
Periodically collapsing bubbles in the South African stock market
The role of ICT in reducing information asymmetry for financial access
Bank efficiency determinant: Evidence from the gulf cooperation council countries
On the determinants of expected corporate bond returns in Tunisia
Financial centers and ownership concentration: When is ownership concentration value relevant? Evidence from an emerging market
Dynamic transmissions between Sukuk and bond markets
Lead-lag relationships in an embryonic stock market: Exploring the role of institutional ownership and liquidity
Stock markets’ bubbles burst and volatility spillovers in agricultural commodity markets
Pernicious effects: How the credit rating agencies disadvantage emerging markets
Debt structure and corporate performance in emerging markets
The price of freedom: Idiosyncratic currency devaluations
Crowdfunding: The collaborative economy for channelling institutional and household savings
Central bank transparency and the consensus forecast: What does The Economist poll of forecasters tell us?
Are there profit (returns) in Shariah-compliant exchange traded funds? The multiscale propensity
Executive pensions, risk-shifting, and foreign exchange exposure
Capital investment, internationalization, and firm performance: Evidence from Southeast Asian countries
The impact of SEPA in credit transfer payments: Evidence from the euro area
More on the relationship between corporate governance and firm performance in the UK: Evidence from the application of generalized method of moments estimation
Are US-Dollar-Hedged-ETF investors aggressive on exchange rates? A panel VAR approach
The role of institutional investors in propagating the 2007 financial crisis in Southern Europe
Dynamics of financial markets and transaction costs: A graph-based study
Archival data of financial analysts' earnings forecasts in the euro zone: Problems with euro conversions
The volatility dynamics of spot and futures gold prices: Evidence from Russia
Analysing the financial strength of Tunisia: An approach to estimate an index of financial safety
Euphoria in financial markets: How Indian companies generate value in their cross-border acquisitions
Guiding through the Fog: Does annual report readability reveal earnings management?
Bank efficiency in emerging Asian countries
Capital structure and internationalization: The case of Portuguese industrial SMEs
Is there momentum in equity anomalies? Evidence from the Polish emerging market
“Rookies to the stock market: A portrait of new shareholders”
Western sanctions—Only half the challenge to Russia’s economic union
Financial crises and estimation bias in international bond markets