Editorial Board
Effects of securitization and covered bonds on bank stability
The optimal bid-ask price strategies of high-frequency trading and the effect on market liquidity
Volatility spillovers and hedging effectiveness between the oil market and Eurozone sectors: A tale of two crises
Real estate market transparency and default on mortgages
Credit information sharing in the nexus between charter value and systemic risk in Asian banking
Entrepreneurs’ passion, home country’s institutional voids and small firm internationalization
Does financial deepening attract foreign direct investment? Fresh evidence from panel threshold analysis
The zero-leverage phenomenon: A bivariate probit with partial observability approach
Firms' profit instability and the cross-section of stock returns: Evidence from China
The determinants of cash flow sensitivity of cash: The family ownership effect
The impact of forced divestments on parent company stock prices: Buy on the rumor, sell on the news?
Bank business models and liquidity creation
Does Concentrated Founder Ownership Affect Related Party Transactions? Evidence from an Emerging Economy
Pricing Efficiency and Arbitrage in the Bitcoin Spot and Futures Markets
Financial industry lobbying and shareholder litigation outcomes: implications for managers and regulators
Does high profitability improve stability for European banks?
The role of political patronage in the risk-taking behaviour of banks in the Middle East and North Africa
The effects of board structure on corporate performance: Evidence from East African frontier markets
Uncovering the global network of economic policy uncertainty
Coskewness timing ability in the mutual fund industry
State ownership and adjustment speed toward target leverage: Evidence from a transitional economy
Examining the Effect of Globalization on Insurance Activities in Large Emerging Market Economies
How does economic policy uncertainty affect the bitcoin market?
Empirical investigation of changes in policy uncertainty on stock returns—Evidence from China’s market
Does bitcoin co-move and share risk with Sukuk and world and regional Islamic stock markets? Evidence using a time-frequency approach
Confucian Culture and Trade Credit: Evidence from Chinese Listed Companies
High-frequency trading and stock liquidity: An intraday analysis
Correlations among cryptocurrencies: Evidence from multivariate factor stochastic volatility model
Internal conflict and Bank liquidity creation: Evidence from the belt and Road initiative
Effects of uncertainty and risk aversion on the exposure of investment-style factor returns to real activity
Asymmetric volatility spillovers between economic policy uncertainty and stock markets: Evidence from China
Industry policy, investor sentiment, and cross-industry capital flow: Evidence from Chinese listed companies’ cross-industry M&As