Editorial Board
Financial distress and equity returns: A leverage-augmented three-factor model
Tail risk and the return-volatility relation
Institutional Investors and firm characteristics: New evidence from India
Corporate governance and operational risk voluntary disclosure: Evidence from Islamic banks
Government cost and firm value: Evidence from Vietnam
Does strategic partnership matter to create value of a firm? An empirical study based on SBF 250 French firms
Exploring international economic integration through sukuk market connectivity: A network perspective
Nonlinearities in financial development–economic growth nexus: Evidence from sub-Saharan Africa
Should microfinance institutions diversify or focus? A global analysis
Is there momentum in factor premia? Evidence from international equity markets
Risk adjusted momentum strategies: A comparison between constant and dynamic volatility scaling approaches
Persistence in the cryptocurrency market
Predicting daily oil prices: Linear and non-linear models
African stock markets in the midst of the global financial crisis: Recoupling or decoupling?
Do shareholder coalitions affect agency costs? Evidence from Italian-listed companies
Examination of the information content of management range forecasts
Evidence of time-varying conditional discrete jump dynamics in sub-Saharan African foreign exchange markets
Investor sentiment and the mean-variance relationship: European evidence
Financial openness & institutions in developing countries
Do firms with state ownership in transitional economies take more risk? Evidence from Vietnam
Is there an optimal level of housing wealth in the long-run? Theory and evidence
Corporate debt and investment with financial constraints: Vietnamese listed firms
Currency crises in Turkey: An empirical assessment
The compensation of busy directors: An international analysis
Can the interaction between a single long-term attractor and heterogeneous trading explain the exchange rate conundrum?
Is Thailand’s credit default swap market linked to bond and stock markets? Evidence from the term structure of credit spreads
Does bank diversification heterogeneously affect performance and risk-taking in ASEAN emerging economies?
A theory of joint venture instability under inter-partner learning
CEO power, product market competition and firm value
Initial public offerings in China: Underpricing, statistics and developing literature
Revisiting the finance-inequality nexus in a panel of African countries
Inter- and intra-regional analysis on spillover effects across international stock markets
Determinants of the domestic credits in developing economies: The role of political risks
Corrigendum to “Socially responsible, are they profitable?” [Res. Int. Bus. Finance 42 (2017) 1504–1515]
The economic value of business cycle forecasts for potential investors – Evidence from Germany
Variance risk premium and equity returns
Gulf Cooperation Council cross-border M&A: Institutional determinants of target nation selection
Chemical industry disasters and the sectoral transmission of financial market contagion
Monitoring or empowering CEOs? The moderating effect of shareholder rights
Exchange rates and macro news in emerging markets
Price discovery in emerging currency markets