Inside front cover - Editorial Board - Bottom half
Sustainability and the reconstruction of academic finance
The way we live now: Financialization and securitization
Financialisation, financial chains and uneven geographical development: Towards a research agenda
The need for an alternative to shareholder value creation? The Ethomed student experience
Capital structure theory: Reconsidered
Socially responsible investing (SRI): From mainstream to margin?
Uncertainty and risk management from Islamic perspective
Financial innovation as a potential force for a positive social change: The challenging future of social impact bonds
Social and solidarity finance: A conceptual approach
The new monetary and financial initiatives: Finance regaining its position as servant of the economy
Introduction to recent research topics in banking and finance
Investigating the leverage effect in commodity markets with a recursive estimation approach
Liquidity, information, strategic trading in an electronic order book: New insights from the European carbon markets
Risk sentiment and firms’ liquidity in the French market
Forecasting realized volatility: HAR against Principal Components Combining, neural networks and GARCH
Assessing financial and housing wealth effects through the lens of a nonlinear framework
Does the equity premium puzzle persist during financial crisis? The case of the French equity market
How does electronic trading affect efficiency of stock market and conditional volatility? Evidence from Toronto Stock Exchange
The implication of banking competition: Evidence from African countries
Overview on the recent developments of banking and risk management
Data sources for the credit-card augmented Divisia monetary aggregates
The procyclicality of loan loss provisions in Islamic banks
The effects of activity and geographic diversification on performance: Evidence from French financial institutions
Bank-to-bank lending channel and the transmission of bank liquidity shocks: Evidence from France
Interest rate dynamic effect on stock returns and central bank transparency: Evidence from emerging markets
Pricing CDS spreads with Credit Valuation Adjustment using a mixture copula
Oil vs. gasoline: The dark side of volatility and taxation
Characterizing investor expectations for assets with varying risk
Financial intermediary leverage spillovers