Investor behavior in the mutual fund industry: evidence from gross flows George D. CashmanFederico NardariSriram V. Villupuram OriginalPaper 25 April 2012 Pages: 541 - 567
An asset protection scheme for banks exposed to troubled loan portfolios Anders GrosenPernille JessenThomas Kokholm OriginalPaper 17 May 2012 Pages: 568 - 588
Monetary policy implications of housing shift-contagion across regional markets MeiChi Huang OriginalPaper 01 June 2012 Pages: 589 - 608
The impact of private benefits on institutional ownership change: evidence from markets with different sentiments Yong Wang OriginalPaper 07 June 2012 Pages: 609 - 626
Causality-in-variance and causality-in-mean between the Greek sovereign bond yields and Southern European banking sector equity returns Go TamakoshiShigeyuki Hamori OriginalPaper 09 September 2012 Pages: 627 - 642
The long-term performance following dividend initiations and resumptions revisited Sheng-Syan ChenRobin K. ChouYun-Chi Lee OriginalPaper 09 October 2012 Pages: 643 - 657
Herding in the strategic allocations of Spanish pension plan managers Laura AndreuCristina OrtizJosé Luis Sarto ReviewPaper 20 December 2012 Pages: 658 - 671
Technological change and the U.S. real interest rate Constantine Alexandrakis OriginalPaper 20 December 2012 Pages: 672 - 686
Greek sovereign bond index, volatility, and structural breaks Go TamakoshiShigeyuki Hamori OriginalPaper 08 March 2013 Pages: 687 - 697
The impact of the disposition effect on asset prices: insight from the NBA Richard Borghesi OriginalPaper 21 May 2013 Pages: 698 - 711
An exploratory empirical inquiry into the impact of federal budget deficits on the ex post real interest rate yield on ten year Treasury notes over the last half century Richard J. CebulaFiorentina Angjellari-DajciMaggie Foley OriginalPaper 08 March 2014 Pages: 712 - 720