Inside front cover - Editorial Board - Bottom half
An empirical study of audit expectation-performance gap: The case of Libya
Is the regime of risk transfer sustainable? Impossible contract and inequality
Risk management process: Profiling of islamic microfinance providers
EU unification and linkages among the European currencies: new evidence from the EU and the EEA
Estimating the credibility of Brazilian monetary policy using a Kalman filter approach
How efficient ownership structure monitors income manipulation? Evidence of real earnings management among Malaysian firms
Employee stock ownership and the cost of capital1
Media independence and crime as an obstacle to firms’ business operations
The impacts of risk-taking behaviour and competition on technical efficiency: Evidence from the Chinese banking industry
Creation of an Islamic stock index in West Africa
Does bonding really bond? Liability of foreignness and cross-listing of Chinese firms on international stock exchanges
Note on a non-structural model using the disequilibrium approach: Evidence from Vietnamese banks
Does sukuk market development spur economic growth?
News surprises and volatility spillover among agricultural commodities: The case of corn, wheat, soybean and soybean oil
Is high-frequency trading tiering the financial markets?
Determinants of idiosyncratic volatility: Evidence from the Indian stock market
The effect of reducing information asymmetry on loan price and quantity in the African banking industry
Breaking up big banks
Investor heterogeneity, trading account types and competing liquidity channels for Malaysian stocks
The fixed income securities market in the West African Economic and Monetary zone: Are credit spread abnormally low?
A lack of space—The birth-crises of ultracapital
Asymmetric exchange rate pass-through in an emerging market economy: The case of Mexico
Explaining banking stability in Sub-Saharan Africa
Financial globalisation uncertainty/instability is good for financial development
Seasonality in government bond returns and factor premia
Do credit commitments compromise credit quality?
Foreign bank subsidiaries’ risk-taking behavior: Impact of home and host country national culture
Access to credit by SMEs in South Asia: do women entrepreneurs face discrimination
The impact of FIFA’s official announcements on the stock market of Qatar: The case of the 2022 World Cup
What determines the Japanese corporate credit spread? A new evidence
Merger and acquisitions in South African banking: A network DEA model
Can (unusual) weather conditions in New York predict South African stock returns?
The global financial crisis—Market misconduct and regulation from a behavioral view
The use of open source internet to analysis and predict stock market trading volume
Empirical assessment of the competitive conduct of Nigerian banks in a post-consolidation era
Student satisfaction and commitment towards a blended learning finance course: A new evidence from using the investment model
Foreign direct investment, exports and economic growth: ADRL and causality analysis for South Africa
Accounting quality, information risk and the term structure of implied volatility around earnings announcements
Does gold Liquidity learn from the greenback or the equity?
Driving force of globalization: A multi- paradigmatic look
Price dynamics and speculative trading in bitcoin
Banking system reform and investment–cash flow relation: Case of a small transition economy
Dependence patterns among Asian banking sector stocks: A copula approach
Positive asymmetric information in volatile environments: The black market dollar and sovereign bond yields in Venezuela
Ripple effects of the 2011 Japan earthquake on international stock markets
The behaviour of asset return and volatility spillovers in Turkey: A tale of two crises
The effect of independent directors’ characteristics on firm performance: Tenure and multiple directorships
The impact of the Arab Spring and the Ebola outbreak on African equity mutual fund investor decisions