Editorial Board
Responses of REITs index and commercial property prices to economic uncertainties: A VAR analysis
Let's lessen conditionality in times of force majeure events. The archaic righteousness of the policy of conditionality of international Institutions amid COVID-19
Shareholder litigation rights and corporate payout policy: Evidence from universal demand laws
The dynamics of U.S. REITs returns to uncertainty shocks: A proxy SVAR approach
Do specialist funds outperform? Evidence from European non-listed real estate funds
Bank executive pay limits and discretionary loan loss provisions: Evidence from China
Estimating the reaction of Bitcoin prices to the uncertainty of fiat currency
The financial impact of COVID-19: Evidence from an event study of global hospitality firms
Impact of interest rates on the life insurance market development: Cross-country evidence
Working online or offline: Which is more effective?
Asset pricing during pandemic lockdown
Do Chinese managers listen to the media?: Evidence from mergers and acquisitions
Interbank relationship lending revisited: Are the funds available at a similar price?
Freedom gas to Europe: Scenarios analyzed using the Global Gas Model
Debt Issues around Mergers & Acquisitions
Economic policy uncertainty: Persistence and cross-country linkages
Board governance and bank performance: A meta- analysis
Textual sentiment of comments and collapse of P2P platforms: Evidence from China's P2P market
Multiscale stock-bond correlation: Implications for risk management
Labour market conditions and the corporate financing decision: A European analysis
Negative oil price shocks transmission: The comparative effects of the GFC, shale oil boom, and Covid-19 downturn on French gasoline prices
Stock and bond joint pricing, consumption surplus, and inflation news
Does interest rate and its volatility affect banking sector development? Empirical evidence from emerging market economies
How demand scale affect services exports? Evidence from financial development perspective
Do tourism receipts affect bank profitability? Analytical evidence from 85 tourism economies
The impact of sovereign credit ratings on Eurobond yields: Evidence from Africa
Gender Diversity Index. Measuring persistence
In search of safe haven assets during COVID-19 pandemic: An empirical analysis of different investor types
The stabilizing effect of social distancing: Cross-country differences in financial market response to COVID-19 pandemic policies
Does low-carbon pilot city program reduce carbon intensity? Evidence from Chinese cities
What determines interest rates for bitcoin lending?
Fixed price and book building methods in an exogenous environment: Evidence from Indonesia stock market
Comovements between heavily shorted stocks during a market squeeze: Lessons from the GameStop trading frenzy
The maturity effect of stock index futures: Speculation or carry arbitrage?
Impact of special economic zones on firm performance
Vulnerability of financial markets in India: The contagious effect of COVID-19
Impact of COVID-19 on stock market efficiency: Evidence from developed countries
How does intellectual property protection in the host country affect outward foreign direct investment?
Policy uncertainty and overseas property purchases: Evidence from China
Did COVID-19 change spillover patterns between Fintech and other asset classes?
Policy uncertainty, the use of derivatives: Evidence from U.S. bank holdingcompanies (BHCs)
Does economic policy uncertainty affect cryptocurrency markets? Evidence from Twitter-based uncertainty measures
Does the US-China trade war affect co-movements between US and Chinese stock markets?
Banks’ interconnections and peer effects: Evidence from Chile
Time and frequency dynamics of connectedness and hedging performance in global stock markets: Bitcoin versus conventional hedges
Determinants of corporate tone in an initial public offering: Powerful CEOs versus well-functioning boards
COVID-19 Sentiment and the Chinese Stock Market: Evidence from the Official News Media and Sina Weibo
Asymmetric effect of COVID-19 pandemic on E7 stock indices: Evidence from quantile-on-quantile regression approach
Bilateral investment treaties and foreign direct investment: Evidence from emerging market firms
Perceived vs actual financial crisis and bank credit standards: Is there any indication of self-fulfilling prophecy?
Economic policy uncertainty, agency problem, and funding structure: Evidence from U.S. banking industry
Bitcoin’s price efficiency and safe haven properties during the COVID-19 pandemic: A comparison
The financial conservatism of firms in emerging economies
The historic oil price fluctuation during the Covid-19 pandemic: What are the causes?
Capture the contagion network of bitcoin – Evidence from pre and mid COVID-19
Assessing the impact of COVID-19 on major industries in Japan: A dynamic conditional correlation approach
A firefly algorithm modified support vector machine for the credit risk assessment of supply chain finance
Product line transformation, foreign sales, and firm value: Evidence from COVID-19 pandemic governance in urban China
COVID-19, government interventions and emerging capital markets performance
Acceptance of digital investment solutions: The case of robo advisory in Germany
Risk contagion of COVID-19 in Japanese firms: A network approach
Asymmetric multifractal features of the price–volume correlation in China’s gold futures market based on MF-ADCCA
Impact of the Covid-19 induced panic on the Environmental, Social and Governance leaders equity volatility: A time-frequency analysis
IFRS adoption and stock misvaluation: Implication to Korea discount
Financial statement comparability, state ownership, and the cost of debt: Evidence from China
How do partial acquisitions affect the wealth of acquiring firms? The case of Japanese firms
Chinese jigsaw: Solving the equity market response to the COVID-19 crisis: Do alternative asset provide effective hedging performance?
Bond market development and bank stability: Evidence from emerging markets
Human Capital Allocation and Enterprise Innovation Performance: An Example of China's Knowledge-Intensive Service Industry
The crossroads of ESG and religious screening on firm risk
Do investors prefer borrowers from high level of trust cities? Evidence from China’s P2P market
Downside risk in Dow Jones Islamic equity indices: Precious metals and portfolio diversification before and after the COVID-19 bear market
The impact of personality traits on attitude to financial risk
Be a better boss. Employee treatment, trust level and family business innovation: Evidence from China
The entry and exit dynamics of the cryptocurrency market
Banking sector reactions to COVID-19: The role of bank-specific factors and government policy responses
Institutional determinants of bid–ask spreads in Caribbean offshore stock exchanges
Disaggregated oil shocks and stock-market tail risks: Evidence from a panel of 48 economics
Funding for BOP in Emerging Markets: Organizational Forms and Capital Structures of Microfinance Institutions