Editorial Board
Trading behaviour connectedness across commodity markets: Evidence from the hedgers’ sentiment perspective
On the role of Islamic and conventional banks in the monetary policy transmission in Malaysia: Do size and liquidity matter?
Price discovery in bitcoin futures
Accrual mispricing: Evidence from European sovereign debt crisis
Economic engagement and within emerging markets integration
High and low prices and the range in the European stock markets: A long-memory approach
Earnings management in the pre-IPO process: Biases and predictors
Assessing banking sectors’ efficiency of financially troubled Eurozone countries
Ethical Investing Has No Portfolio Performance Cost
Causal relationship between spot and futures prices with multiple time horizons: A nonparametric wavelet Granger causality test
Threshold cointegration, nonlinearity, and frequency domain causality relationship between stock price and Turkish Lira
Historical evolution of monthly anomalies in international stock markets
Financial crisis, shareholder protection and cash holdings
Determinants of hedge fund performance during ‘good’ and ‘bad’ economic periods
The impact of industrial incidents on stock market volatility
Community and compensation: Director remuneration in Thailand
The forecasting ability of solar and space weather data on NASDAQ’s finance sector price index volatility
Systemic risk, economic policy uncertainty and firm bankruptcies: Evidence from multivariate causal inference
Regulatory reform and market efficiency: The case of Indian agricultural commodity futures markets
Estimation of conditional asset pricing models with integrated variables in the beta specification
Liquidity risk and stock performance during the financial crisis
The impact of business and political news on the GCC stock markets
The causal, linear and nonlinear nexus between sectoral FDI and infrastructure in Pakistan: Using a new global infrastructure index
Time-frequency dynamics of exchange rates in East Asia
Responsible investment in the Chinese stock market
High frequency momentum trading with cryptocurrencies
Internet search intensity, liquidity and returns in emerging markets
Internal pyramid structure, contract enforcement, minority investor protection, and firms’ performance: Evidence from emerging economies
Do differences in national cultures affect cross-country conditional conservatism behavior under IFRS?
Independence in bank governance structure: Empirical evidence of effects on bank risk and performance
Investors’ risk perceptions in the US and global stock market integration
Does innovation and financial constraints affect the propensity to save in emerging markets?
On the income diversification and bank market power nexus in the MENA countries: Evidence from a GMM panel-VAR approach
Exploring the causal relationships and allocation puzzle between portfolio investments and real sector growth in Sub-Saharan Africa
Capital regulation, deposit insurance and bank risk: International evidence from normal and crisis periods
The role of language connectedness in reducing home bias in trade, investment, information, and people flows
Seeking causality between liquidity risk and credit risk: TED-OIS spreads and CDS indexes
Predictive power of web search behavior in five ASEAN stock markets
The distributional impact of access to finance on poverty: evidence from selected countries in Sub-Saharan Africa
Impact of stock market trading on currency market volatility spillovers
Greenwashing in environmental, social and governance disclosures
Does financial globalization still spur growth in emerging and developing countries? Considering exchange rates
The impact of co-jumps in the oil sector
The role of future economic conditions in the cross-section of stock returns: Evidence from the US and UK
Is current institutional quality linked to legal origins and disease endowments? Evidence from Africa
The fair value of a token: How do markets price cryptocurrencies?
Is heterogeneous capital depreciation important for estimating firm-level productivity? Evidence from Chinese manufacturing firms
Uncertainty and R&D investment: Does product market competition matter?
Is knowledge powerful? Evidence from financial education and earnings quality
State ownership and the cost of debt: Evidence from corporate bond issuances in China
FRC intervention, financial reporting quality and due diligence
Regime shift, speculation, and stock price
Analysis of brand influence in the rockets and feathers effect using disaggregated data