Effects of financial flexibility value and accounting conservatism on investment: evidence from mispricing Chao Chin-FangYi-Mien LinTeng-Shih Wang OriginalPaper 05 May 2023 Pages: 690 - 706
Expected vs. real growth of companies listed on the London Stock Exchange Piotr PietraszewskiAgata Gniadkowska-SzymańskaMonika Bolek OriginalPaper Open access 25 March 2023 Pages: 646 - 668
Firms’ socially responsible activities: the role of the Big Three Lukai Yang OriginalPaper 18 March 2023 Pages: 859 - 883
Using property rights to fight crime: the Khaya Lam project Kerianne Lawson OriginalPaper 09 March 2023 Pages: 269 - 302
Social bonds and the “social premium” Costanza TorricelliEleonora Pellati OriginalPaper 24 February 2023 Pages: 600 - 619
The long-run effects of government expenditure on private investments: a panel CS-ARDL approach Gianni Carvelli OriginalPaper Open access 16 February 2023 Pages: 620 - 645
The impact of regulation on credit card market competition: evidence from Australia Ming-Hua LiuDimitris MargaritisYang Zhang OriginalPaper 10 February 2023 Pages: 669 - 689
Predicting the contribution of artificial intelligence to unemployment rates: an artificial neural network approach Mihai MutascuScott W. Hegerty OriginalPaper 09 February 2023 Pages: 400 - 416
Bank performance before and after the subprime crisis: Evidence from pooled data on big US banks Christian CalmèsRaymond Théoret OriginalPaper 02 February 2023 Pages: 472 - 516
Impact of futures’ trader types on stock market quality: evidence from Taiwan Ya-Wen Lai OriginalPaper 24 January 2023 Pages: 417 - 436
CO2, SO2 and economic growth: a cross-national panel study T. Daniel Coggin OriginalPaper 21 January 2023 Pages: 437 - 457
Does a CEO’s ability to hedge affect the firm’s payout policy? Lee M. DunhamSijing WeiJiarui (Iris) Zhang OriginalPaper 11 January 2023 Pages: 303 - 322
An empirical investigation of COVID-19 effects on herding behaviour in USA and UK stock markets using a quantile regression approach Richard T. AmpofoEric N. AidooDaniel Sasu OriginalPaper 06 January 2023 Pages: 517 - 540
Oil price uncertainty and climate risks Apostolos SerletisLibo Xu OriginalPaper 27 December 2022 Pages: 323 - 332
Economic policy statements, social media, and stock market uncertainty: An analysis of Donald Trump’s tweets Daniel Perico Ortiz OriginalPaper Open access 20 December 2022 Pages: 333 - 367
Volatility and dependence in energy markets Jinan LiuApostolos Serletis OriginalPaper 12 December 2022 Pages: 15 - 37
Productivity-conditioned market reaction of US Bank acquisitions during regulation-deregulation eras Jamal Ali Al-KhasawnehNaceur EssaddamBenito A. Sanchez OriginalPaper 03 December 2022 Pages: 368 - 385
Regulation of data breach publication: the case of US healthcare and the HITECH act Lorenz BohnDirk Schiereck OriginalPaper Open access 17 November 2022 Pages: 386 - 399
Profitability of private equity: mean reversion and transitory shocks Luis Alberiko Gil-AlanaFrancisco Puertolas-Montanes OriginalPaper Open access 09 November 2022 Pages: 458 - 471
The trilogy of economic policy uncertainty, earnings management and firm performance: empirical evidence from France Ines KahloulJocelyn GriraKhawla Hlel OriginalPaper 05 November 2022 Pages: 184 - 206
Firm specific pass through and heterogeneity Zahra Sheidaei OriginalPaper 07 October 2022 Pages: 142 - 156
A synthetic control analysis of U.S. state level COVID-19 stay-at-home orders on new jobless claims John GibsonXiaojin Sun OriginalPaper 23 September 2022 Pages: 1 - 14
Non-linear structures, chaos, and bubbles in U.S. regional housing markets Benjamas JirasakuldechRiza EmekterThuy Bui OriginalPaper 17 September 2022 Pages: 63 - 93
The Predictive Power of Financial Stress on the Financial Markets Dynamics: Hidden Markov Model Hayet SoltaniMouna Boujelbène Abbes OriginalPaper 18 August 2022 Pages: 94 - 115
Stock and oil price returns in international markets: Identifying short and long-run effects Theophilus Teye OsahAndre Varella Mollick OriginalPaper 17 August 2022 Pages: 116 - 141
Growth opportunities and earnings management by cross-listed and U.S. firms Shrikant P. JategaonkarLinda M. LovataXiaoxiao Song OriginalPaper 10 August 2022 Pages: 157 - 183
Asymmetric effects of exchange rate volatility on trade flows: evidence from G7 Mohsen Bahmani-OskooeeHuseyin KaramelikliFarhang Niroomand OriginalPaper 09 August 2022 Pages: 38 - 62
Economic and Institutional Determinants of Corruption: The Case of Developed and Developing Countries Ali AcaravciSeyfettin ArtanSinan Erdogan OriginalPaper 06 August 2022 Pages: 207 - 231
The level of African forex markets integration and Eurobond issue Lord MensahCharles AndohEric Boachie-Yiadom OriginalPaper 05 August 2022 Pages: 232 - 250
Publisher Correction: Is fund performance driven by flows into connected funds? spillover effects in the mutual fund industry Bing ZhuRené-Ojas Woltering Publisher Correction Open access 01 August 2022 Pages: 267 - 268
Why has the median real income of lawyers been declining? James V. KochBarbara Blake-Gonzalez OriginalPaper 26 July 2022 Pages: 646 - 665
Banks’ financial soundness during the COVID-19 pandemic Dung Viet TranM. Kabir HassanNam Dau OriginalPaper 14 July 2022 Pages: 713 - 735
On the uncertainty-global bank linkage nexus: The moderation of crises, financial regulations, and institutional quality Tien Van NguyenDung Phuong HoangThang Ngoc Doan OriginalPaper 13 July 2022 Pages: 623 - 645
Oil price uncertainty and real exchange rate in a global VAR framework: a note Abdullahi MusaAfees A. SalisuChinecherem D. Okoronkwo BriefCommunication 11 July 2022 Pages: 704 - 712
Time–frequency return co-movement among asset classes around the COVID-19 outbreak: portfolio implications Seyed Alireza AthariNgo Thai Hung BriefCommunication 09 July 2022 Pages: 736 - 756
The role of domestic and foreign economic uncertainties in determining the foreign exchange rates: an extended monetary approach S. M. Woahid Murad OriginalPaper Open access 06 July 2022 Pages: 666 - 677
Testing Effects of the Treasury single account system on the cost of borrowing in the OECD Countries Saliha ÇınarAygül AnavatanFatih Deyneli OriginalPaper 05 July 2022 Pages: 757 - 770
Covid-19 pandemic and stock returns in India Munusamy DharaniM. Kabir HassanMohammad Zoynul Abedin OriginalPaper 02 July 2022 Pages: 251 - 266
Trilemma of pandemic-related health emergency, economic policy uncertainty and partisan conflict in the United States: A time-varying analysis evidence Seyi Saint AkadiriAndrew Adewale AlolaAhdi Noomen Ajmi BriefCommunication 02 July 2022 Pages: 771 - 784
Examining the spillover effects of volatile oil prices on Iran’s stock market using wavelet-based multivariate GARCH model Siab MamipourSanaz YazdaniElmira Sepehri OriginalPaper 30 June 2022 Pages: 785 - 801
Ex-date variables and DIPO parent returns Thomas H. Thompson OriginalPaper 16 June 2022 Pages: 553 - 565
Predicting distress: a post Insolvency and Bankruptcy Code 2016 analysis Paras AroraSuman Saurabh OriginalPaper 09 June 2022 Pages: 604 - 622
The impact of global economies on US inflation: A test of the Phillips curve Hany GuirguisVaneesha Boney DutraZoe McGreevy OriginalPaper 02 June 2022 Pages: 575 - 592
Shareholder response to pension deficit: evidence from the COVID-19 pandemic Amanjot SinghHarminder Singh BriefCommunication 18 May 2022 Pages: 566 - 574
Persistence in ESG and conventional stock market indices Guglielmo Maria CaporaleLuis Gil-AlanaInna Makarenko OriginalPaper Open access 07 May 2022 Pages: 678 - 703
Evaluating measures of dependence for linearly generated nonlinear time series along with spurious correlation Christos AgiakloglouAnil BeraEmmanouil Deligiannakis OriginalPaper 24 April 2022 Pages: 535 - 552
Social media sentiment and the stock market Amir FekrazadSyed M. HarunNaafey Sardar OriginalPaper 09 April 2022 Pages: 397 - 419
Mortgage rate predictability and consumer home-buying assessments Hamid Baghestani OriginalPaper 07 April 2022 Pages: 593 - 603
Adjustable consumption model for retirees to balance spending and risk Barry R. CobbTim MurrayJeffrey S. Smith OriginalPaper 07 April 2022 Pages: 420 - 451
Determinants of Interest rate swap spreads: A quantile regression approach Kenneth A. Tah OriginalPaper 06 April 2022 Pages: 522 - 534