Editorial Board
Employee relations and firm risk: Evidence from court rooms
Liquidity risk, credit risk and stability in Islamic and conventional banks
Bank liquidity management through the issuance of bonds in the aftermath of the global financial crisis
Financial openness and entrepreneurship
The linguistic complexities of narrative accounting disclosure on financial statements: An analysis based on readability characteristics
Social institutions, corporate governance and firm-performance in the MENA region
The economic value of Bitcoin: A portfolio analysis of currencies, gold, oil and stocks
Non-macro-based Google searches, uncertainty, and real economic activity
Modelling volatility of cryptocurrencies using Markov-Switching GARCH models
The Ukrainian crisis, economic sanctions, oil shock and commodity currency: Analysis based on EMD approach
Is board turnover driven by performance in family firms?
The impact of tradeoff between risk and return on mean reversion in sovereign CDS markets
Dividend policy and political uncertainty: Evidence from the US presidential elections
The effects of economic policy and political uncertainties on economic activities
Investigating volatility transmission and hedging properties between Bitcoin and Ethereum
Stock return predictability: Using the cyclical component of the price ratio
Impacts of lagged returns on the risk-return relationship of Chinese aggregate stock market: Evidence from different data frequencies
Collectivism and connected lending
Implied volatility and the cross section of stock returns in the UK
Bank efficiency and non-performing loans: Evidence from Turkey
Remittances and credit in developed and developing countries: A dynamic panel analysis
Quantitative easing announcements and high-frequency stock market volatility: Evidence from the United States
Asymmetric monetary policy effects on cryptocurrency markets
Internationalization, related party transactions, and firm ownership structure: Empirical evidence from an emerging market
The impact of fintech M&A on stock returns
What drove the growth of the corporate bond markets in Asia?
Dynamical Volatility and Correlation among US Stock and Treasury Bond Cash and Futures Markets in Presence of Financial Crisis: A Copula Approach
Mergers and executive compensation changes: Evidence from African markets
Bitcoin return: Impacts from the introduction of new altcoins
Does increased disclosure of intangible assets enhance liquidity around new equity offerings?
Feedback trading: Strategies during day and night with global interconnectedness
Currency indexes and consistent currency misvaluation: Illustrations using Big Mac data
Ownership structure, overinvestment and underinvestment: Evidence from Brazil
The long run stability of money demand in the proposed West African monetary union
Corporate social responsibility and firm leverage: The impact of market competition
REMOVED: “The valuation of social impact bonds: An introductory perspective with the Peterborough SIB” [Research in International Business and Finance 35 (2015) 104–110]