Uncertainty of political subsidy, heterogeneous beliefs, and IPO anomalies Bo LiuKemin Wang Original Research 23 May 2018 Pages: 923 - 951
Ranking consistency of systemic risk measures: a simulation-based analysis in a banking network model Peter Grundke Original Research 25 May 2018 Pages: 953 - 990
Distance, transportation and the underpricing of IPOs Zhangkai HuangJinyu LiuGuangrong Ma Original Research 03 May 2018 Pages: 991 - 1009
Did the regulatory changes of 1999 and 2001 affect income smoothing behavior of US banks? Abdullah MamunMd Didarul AlamGeorge Tannous Original Research 16 May 2018 Pages: 1011 - 1041
A Markov decision model for consumer term-loan collections Zhixin LiuPing HeBo Chen Original Research 14 June 2018 Pages: 1043 - 1064
Debt rollover-induced local volatility model Oleg Sokolinskiy Original Research 25 May 2018 Pages: 1065 - 1084
Does CEO managerial ability matter? Evidence from corporate investment efficiency Huiqi Gan Original Research 23 May 2018 Pages: 1085 - 1118
Relative option liquidity and price efficiency Brian Du Original Research 23 May 2018 Pages: 1119 - 1135
A new measure of firm-group accounting closeness Jonathan RossDavid ZiebartAnthony Meder Original Research 05 June 2018 Pages: 1137 - 1161
The link between the share of banks’ Level 3 assets and their default risk and default costs Ulf MohrmannJan Riepe Original Research 30 May 2018 Pages: 1163 - 1189
Recap of the 29th annual conference on financial economics and accounting, November 16–17, 2018 Gans NarayanamoorthyTed FeeCheng-Few Lee Review Paper 07 May 2019 Pages: 1191 - 1201