Editorial Board
The housing market and the credit default swap premium in the UK banking sector: A VAR approach
Predicting bank failure: An improvement by implementing a machine-learning approach to classical financial ratios
Bank profitability during and before the financial crisis: Domestic versus foreign banks
Analyzing the governance structure of French banking groups
Spillover effects among financial institutions within Germany and the United Kingdom
Does international-reserves targeting decrease the vulnerability to capital flights?
The relationship between volume imbalance and spread
Trading intensity and the volume-volatility relationship on the Tunis Stock Exchange
The zero lower bound and market spillovers: Evidence from the G7 and Norway
Self and bank credit rationing: a trivariate probit with double selection
Relationships between Chinese stock market and its index futures market: Evaluating the impact of QFII scheme
Is the turn of the month effect an “abnormal normality”? Controversial findings, new patterns and…hidden signs(?)
Modelling long memory in volatility in sub-Saharan African equity markets
The pass-through to consumer prices in CIS economies: The role of exchange rates, commodities and other common factors
Chief Executive Officer attributes, board structures, gender diversity and firm performance among French CAC 40 listed firms
Exchange rate linkages between the ASEAN currencies, the US dollar and the Chinese RMB
The effect of ex ante and ex post conservatism on the cost of equity capital: A quantile regression approach for MENA countries
The effect of macroeconomic announcements at a sectoral level in the US and European Union
Emotional intelligence and financial decision making: Are we talking about a paradigmatic shift or a change in practices?
The role of stock exchange efficiency in earnings quality: Evidence from the MENA region
Pecking order and market timing theory in emerging markets: The case of Egyptian firms
Impact of regulatory capital on European banks financial performance: A review of post global financial crisis
The impact of monetary policy on gold price dynamics
What determines FDI inflow to MENA countries? Empirical study on Gulf countries: Sectoral level analysis
A two-stage study of momentum investing in Asia: A case of cognitive dissonance?
The impact of leverage on accrual-based earnings management: The case of listed French firms
Spillover effect of US dollar on the stock indices of BRICS
Do international markets overreact? Event study: International market reaction to U.S. local news events
Financial and monetary stability across Euro-zone and BRICS: An exogenous threshold VAR approach
On the relationship between corporate governance and firm performance: Evidence from GCC countries
Information transmission across stock indices and stock index futures: International evidence using wavelet framework
Change in value-relevance of disclosed RPT across accounting regimes: Evidence from Malaysia
Do trade and financial openness matter for financial development? Bank-level evidence from emerging market economies
Uncovering asymmetries in the relationship between fear and the stock market using a hidden co-integration approach
Performance-based payment scheme to hedge against credit rating inflation
Does investor attention affect trading volume in the Brazilian stock market?
Capital requirements, the cost of financial intermediation and bank risk-taking: Empirical evidence from Bangladesh
Stock markets, banks, and economic growth: Evidence from more homogeneous panels
ICT, information asymmetry and market power in African banking industry
Investor attention to market categories and market volatility: The case of emerging markets
Ownership, institutions and firm value: Cross-provincial evidence from China