Editorial Board
Publisher's Note
Posterior analysis of mergers and acquisitions in the international financial market: A re-appraisal
Cryptocurrencies and stock market indices. Are they related?
Who moves the stock market in an emerging country – Institutional or retail investors?
Financial regulation and financial inclusion in Sub-Saharan Africa: Does financial stability play a moderating role?
Decomposing financial (in)stability in emerging economies
National culture and bank risk-taking: Contradictory case of individualism
Forecasting financial time-series using data mining models: A simulation study
Large shareholders’ power and the quality of corporate governance: An analysis of Brazilian firms
The regulations–risk taking nexus under competitive pressure: What about the Islamic banking system?
When spread bites fast – Volatility and wide bid-ask spread in a mixed high-frequency and low-frequency environment
Taming the blockchain beast? Regulatory implications for the cryptocurrency Market
Corporate governance and life cycles in emerging markets
Feedback trading and the ramadan effect in frontier markets
Measuring the multi-faceted dimension of liquidity in financial markets: A literature review
On the investment credentials of Bitcoin: A cross-currency perspective
The role of venture capital in SME loans in China
Corporate governance, institutions, markets, and social factors
The impact of corporate governance on financial performance of Indian and GCC listed firms: An empirical investigation
The political economy of relationship banking
The impact of family-CEOs and their demographic characteristics on dividend payouts: Evidence from Latin America
The effects of information disclosure regulation on stock markets: Evidence from Vietnam
Stock price crash risk and CEO power: Firm-level analysis
Which form of hedging matters — Operational or financial? Evidence from the US oil and gas sector
The impact of Russian sanctions on the return of agricultural commodity futures in the EU
What drives U.S. financial sector volatility? A Bayesian model averaging perspective
Information-driven stock return comovements across countries
Is commercial real estate a good hedge against inflation? Evidence from South Africa
Islamic and conventional portfolios optimization under investor sentiment states: Bayesian vs Markowitz portfolio analysis
Vulnerability to climate change: Are innovative countries in a better position?
Market concentration and bank competition in emerging asian countries over pre and post the 2008 global financial crisis
Do foreign investments increase firm value and firm performance? Evidence from Japan
Household portfolio optimization with XTFs? An empirical study using the SHS-base
Mutual fund liquidity timing ability in the higher moment framework
Public policy and venture capital: Pursuing the disclosure goal
The effects of trading rights and ownership structures on the informativeness of accounting earnings: Evidence from China’ split share structure reform
Unconventional monetary policy and stock repurchases: Firm-level evidence from a comparison between the United States and Japan
Can China reduce the carbon emissions of its manufacturing exports by moving up the global value chain?
Does supply network location affect corporate investment efficiency?
Commodity financialization and sector ETFs: Evidence from crude oil futures
Economic policy uncertainty and stock price crash risk
An international analysis of the economic cost for countries located in crisis zones
The dynamics of earnings management in IPOs and the role of venture capital
Firm profitability and expected stock returns: Evidence from Latin America
Do GCC market-oriented labor policies encourage inward FDI flows?
Economic policy uncertainty and credit growth: Evidence from a global sample
The decade-long cryptocurrencies and the blockchain rollercoaster: Mapping the intellectual structure and charting future directions
Volatility dynamics of crypto-currencies’ returns: Evidence from asymmetric and long memory GARCH models
Sukuk market development and Islamic banks’ capital ratios
Islamic finance development and banking ESG scores: Evidence from a cross-country analysis
Bank risk, competition and bank connectedness with firms: A literature review
Competition and diversification in the European Banking Sector
Multiple banking relationships: Do SMEs mistrust their banks?
How do European banks portray the effect of policy interest rates and prudential behavior on profitability?
Correlation between the 2014 EU-wide stress tests and the market-based measures of systemic risk
The impact of central bank transparency on systemic risk—Evidence from Central and Eastern Europe
Board diversity and stock price crash risk